![]() | Up a level |
- Library of Congress Subject Areas (28)
- H Social Sciences (28)
- HG Finance (28)
- HG4501 Investment, capital formation, speculation (28)
- HG Finance (28)
- H Social Sciences (28)
A
Agyei-Ampomah, Sam, Gounopoulos, Dimitrios and Mazouz, Khelifa (2014) Does gold offer a better protection against sovereign debt crisis than other metals? Journal of Banking and Finance, 40. pp. 507-521. ISSN 0378-4266
Alexander, Carol and Venkatramanan, Aanand (2008) Commodity options. In: Fabozzi, Frank J, Fuss, Roland and Kaiser, Dieter G (eds.) The handbook of commodity investing. Frank J Fabozzi Series . Wiley, Hoboken, New Jersey, pp. 570-595. ISBN 978-0470117644
B
Bergman, Noam (2018) Impacts of the fossil fuel divestment movement: effects on finance, policy and public discourse. Sustainability, 10 (7). 25291 1-18. ISSN 2071-1050
Berry, David M, Belfrage, Claes and Bergmann, Eirikur (2015) A critique of neo-mercantilist analyses of Icelandic political economy and crisis. Capital and Class, 39 (3). pp. 515-536. ISSN 0309-8168
H
Haidar, Haidar (2014) An empirical analysis of controlled risk and investment performance using risk measures: a study of risk controlled environment. Doctoral thesis (PhD), University of Sussex.
Hall, Stephen, Foxon, Timothy J and Bolton, Ronan (2016) Financing the civic energy sector: How financial institutions affect ownership models in Germany and the United Kingdom. Energy Research & Social Science, 12. pp. 5-15. ISSN 2214-6296
Hall, Stephen, Foxon, Timothy J and Bolton, Ronan (2017) Investing in low-carbon transitions: energy finance as an adaptive market. Climate Policy, 17 (3). pp. 280-298. ISSN 1469-3062
J
Jory, S, Hemphill, T and Perry, M (2008) An analysis of sovereign wealth funds' recent venture in developed capital markets. Management Online Review. pp. 1-8. ISSN 1996-3300
Jory, Surendranath and Ngo, Thanh N (2008) Cross-sectional variation in the long-run performance of capital-raising depositary receipts and their underlying stocks. Global Business and Finance Review, 13 (1). pp. 1-13. ISSN 1088-6931
K
Kaeck, Andreas, Rodrigues, Paulo and Seeger, Norman (2017) Equity index variance: evidence from flexible parametric jump–diffusion models. Journal of Banking & Finance, 83. pp. 85-103. ISSN 0378-4266
Kallias, Antonios (2016) Managing uncertainty in the process of going public. Doctoral thesis (PhD), University of Sussex.
M
Mamatzakis, E C (2013) Revealing asymmetries in the loss function of WTI oil futures market. Empirical Economics. ISSN 0377-7332
P
Papanikolaou, Nikolaos (2013) "Bank runs" und Staatliche Interventionen: Die Kolumne der "Luxembourg School of Finance“. Luxemburger Wort [Online article, 18 April 2013].
Perry, Mark, Jory, Surendranath and Hemphill, Thomas A (2009) Shanghai, Dubai, Mumbai or Goodbye? Review of Economic and Business Studies, 2 (2). pp. 103-124. ISSN 1843-763X
Z
Zhang, Xiaoxiang and Wen, Jie (2016) The impacts of economic importance difference of a joint venture (JV) held by partners and partners' size difference on the extraction of rivalrous and non-rivalrous private benefits in a JV. International Review of Financial Analysis. ISSN 1057-5219