JARF Summer 2010 Issue (pdf file)
Anand BANSAL, J.S. PASRICHA
Impact of Foreign Capital on Economic Growth in India: 1992 – 2009 … 9
Gustavo FERRO
Insurance Regulation and the Credit Crisis. What’s New? … 14
Francesco GUIDI
Modelling and Forecasting Volatility of East Asian Newly Industrialized Countries
and Japan Stock Markets with Non-Linear Models … 27
Drama Bedi Guy HERVE, Yao SHEN, Amzath AMED
The Effects of Real Exchange Rate on Trade Balance in Cote D’ivoire:
Evidence from the Cointegration Analysis and Error-Correction Models … 44
Taisei KAIZOJI
Modelling of Stock Return Volatility … 61
Nader NAIFAR
Does the Subprime Crisis affect Credit Default Swap Markets? … 68
Nobuyoshi YAMORI, Yoshihiro ASAI
Did Market Reform make Risk Evaluation on Japanese Firms Easier?:
An Evidence from Credit Ratings … 74
Xiaolou YANG
The Effect Of Annual Earnings Announcement Delay On Stock Returns … 84
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