Publications

Year:

A new approach to asset integration: Methodology and mystery

journal articles
Rose AK and Flood RP
Year
2005

Perpetual call options with non-tradability

journal articles
Srinivasan A, Kadam A and Lakner P
Year
2005

Executive stock options and incentive effects due to systematic risk

conference/seminars
Duan JC and Wei J
Year
2005

Financial integration: A new methodology and an illustration

journal articles
Rose AK and Flood RP
M I T Press
Year
2005

Dividend taxation and corporate governance

journal articles
Yeung B and Morck R
Year
2005

Estimating the expected marginal rate of substitution: A systematic exploitation of idiosyncratic risk

journal articles
Rose AK and Flood RP
Elsevier
Year
2005

Is trade good or bad for the environment? sorting out the causality

journal articles
Rose AK and Frankel JA
Year
2005

Limited partnerships and reputation formation

journal articles
Liu CH, Srinivasan A and Kallberg JG
Year
2004

Banking in Japan: Will “Too Big To Fail” Prevail?

books/monographs
Yupana Wiwattanakantang, van Rixtel Adrian, Toshiyuki Soma and Kazunori Suzuki
Year
2004

The determinants of financial health of Asian insurance companies

journal articles
Chen R and Wong KA
Year
2004