178 results on '"Roca, Eduardo"'
Search Results
2. Predicting the returns of the US real estate investment trust market: evidence from the group method of data handling neural network
3. Water as an investment and the impact of regulatory risk
4. Portfolio diversification impact of oil and asymmetric interaction between oil, equity and bonds in the global market: fresh evidence from alternative approaches
5. Moments and momentum in the returns of securitized real estate: A cross-country study of risk factors driving real estate investment trusts before and during COVID-19
6. Geopolitical risk and corporate investment in the metals and mining industry: Evidence from Australia
7. Geopolitics and rare earth metals
8. A win-win partnership for affordable homeownership solutions by connecting responsible investors, community housing providers, and government
9. Do foreign investors have a positive impact on the domestic government bonds market? A panel pooled mean group approach
10. An industry-guided review of responsible investing: Bridging the divide between academia and industry
11. Do birds of the same feather flock together? The cultural geography of global housing price interaction.
12. Prognostic factors of pediatric ependymomas at a National Cancer Reference Center in Peru
13. Does responsible investing pay during economic downturns: Evidence from the COVID-19 pandemic
14. The impact of bond market development on economic growth before and after the global financial crisis: Evidence from developed and developing countries
15. Effectiveness of policy interventions during financial crises in China and Russia: Lessons for the COVID-19 pandemic
16. A new insight into the profitability of social housing in Australia: A Real Options approach
17. Arbitrage risk and the cross-section of stock returns: Evidence from China
18. Mortgage asymmetric pricing, cash rate and international funding cost: Australian evidence
19. International funding cost and heterogeneous mortgage interest-rate pass-through: a bank-level analysis
20. Price Interdependence between the Equity Markets of Australia and its Major Trading Partners
21. Introduction
22. Price Interdependence among the ASEAN Equity Markets
23. Summary of Results, Implications and Conclusion
24. Equity Market Price Interdependence between Australia and ASEAN
25. Price Interdependence Among Equity Markets in the Asia-Pacific Region
26. Investigation of Equity Markets Interdependence Allowing for Autoregressive Conditional Heteroskedasticity (ARCH) Effects
27. Statistical Framework
28. Equity Market Integration: Concept, Measurement and Existing Evidence
29. Do birds of the same feather flock together? The cultural geography of global housing price interaction
30. New Perspectives on the Real Estate Market Based on Machine Learning and Artificial Intelligence Approaches
31. Values of Real Assets: Focus on Infrastructure and Housing in Australia
32. Affordable Housing as an Infrastructure Asset: A Public-Private Partnerships Approach
33. Affordable housing risk and returns to investors: Evidence from Australia
34. Linkages between the ADR market and home country macroeconomic fundamentals: Evidence in the context of the BRICs
35. Does the carbon market help or hurt the stock price of electricity companies? Further evidence from the European context
36. Stock return predictability in South Africa: The role of major developed markets
37. Summary of Results, Implications and Conclusion
38. Introduction
39. Equity Market Integration: Concept, Measurement and Existing Evidence
40. Statistical Framework
41. Price Interdependence between the Equity Markets of Australia and its Major Trading Partners
42. Price Interdependence Among Equity Markets in the Asia-Pacific Region
43. Equity Market Price Interdependence between Australia and ASEAN
44. Investigation of Equity Markets Interdependence Allowing for Antoregressive Conditional Heteroskedasticity (ARCH) Effects
45. Price Interdependence among the ASEAN Equity Markets
46. Are the regional Gulf stock markets weak-form efficient as single stock markets and as a regional stock market?
47. Geopolitics and rare earth metals
48. Efficiency, innovation and competition: evidence from Vietnam, China and India
49. The impact of industrial policy on capital structure with financial flexibility, macroeconomic conditions and economic growth and development taken into account: Evidence from Taiwan
50. Portfolio diversification impact of oil and asymmetric interaction between oil, equity and bonds in the global market: fresh evidence from alternative approaches
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