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Keyword: investment
Found
1239 papers
in total
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Innovation diffusion uncertainty, advertising and pricing policies
2005,
Kamrad Bardia
We develop and analyze a normative and structurally stochastic model of innovation...
Hedge fund performance appraisal using data envelopment analysis
2005,
Zhu Joe
In this paper we apply data envelopment analysis (DEA) to evaluate the performance of...
Impact of corruption on foreign direct investment and tax revenues
2005,
Ketkar Kusum W.
Using Transparency International's Corruption Perceptions Index (CPI), this paper...
Country level corruption and frequency of issue in the US market
2005,
Khumawala Saleha
This paper examines if country level corruption affects the size of a country's stock...
Public sector corruption: Lessons from Daiwa, Sumitomo, and Bank of Estonia
2005,
Wallace Wanda A.
Daiwa, Sumitomo, and Bank of Estonia experiences display patterns from which lessons...
Corruption and taxation: Lessons from the Indian experience
2005,
Vijayakumar Jayaraman
This paper examines the results of a series of steps taken by the Customs and Excise...
Assets, liabilities and risk
2001,
Thomson Rob
Financial economists and actuaries do not always talk the same language. One...
A multi-criteria model for the justification of IT investments
2005,
Borenstein Denis
Investments in Information Technology (IT) are in essence strategic decision...
Real options and information technology platform adoption: Implications for theory and practice
2004,
Fichman Robert G.
The decision processes surrounding investments in innovative information technology...
An economic model of product quality and information technology value
2004,
Pingry David E.
We use an economic model to formalize the complex relationships among IT investments,...
Optimal security liquidation algorithms
2005,
Uryasev Stanislav
This paper develops trading strategies for liquidation of a financial security, which...
Supply chain coordination with downstream operating costs: Coordination and investment to improve downstream operating efficiency
2005,
Gerchak Yigal
We endow the downstream firm in a supply chain with operating costs in addition to the...
Macro variables and international stock return predictability
2005,
Wohar Mark E.
In this paper, we examine the predictability of stock returns using macroeconomic...
On “Investment decisions in the theory of finance: Some antinomies and inconsistencies”
2005,
Reyck Bert D.
In the paper “Investment Decisions in the Theory of Finance: Some antinomies and...
The theory of bank risk taking and competition revisited
2005,
Boyd John H.
There is a large body of literature that concludes that – when confronted with...
Decision analysis and real options: A discrete time approach to real option valuation
2005,
Dyer James S.
In this paper we seek to enhance the real options methodology developed by Copeland...
Forecasting volatility: A reality check based on option pricing, utility function, value-at-risk, and predictive likelihood
2004,
Lee Tae-Hwy
We analyze the predictive performance of various volatility models for stock returns....
The social–economic–psychological model of technology adoption and usage: an application to online investing
2005,
Konana Prabhudev
We champion the view that a richer understanding of electronic markets is obtained...
www.Personal_Asset_Allocation
2004,
Zenios Stavros A.
Today consumers demand delivery of financial services anytime and anywhere, and their...
Construction of ‘CIDEAR’ model for selecting and evaluating cross impact R&D projects
2004,
Kwon Chul-Shin
The purpose of this paper is to construct ‘CIDEAR’ (Cross Impact-DEA-AR),...
Two-layer investment decision-making using knowledge about investor's risk-preference: model and empirical testing
2004,
Kim Chulsoo
There have been many studies to build a model that can help investors construct...
The structure of the short and the long-run variations in the domestic bank earnings
2004,
Kim Tae-Ho
This study analyzes the structure of the variations in the domestic bank earnings and...
Valuation of options in incomplete markets
2004,
Choi Byung-Wook
The purpose of this paper is studying the valuation of option prices in incomplete...
Setting optimal bounds on risk in asset allocation – a convex program
2004,
Falk James E.
The ‘Portfolio Selection Problem’ is traditionally viewed as selecting a...
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