Transparency governance and markets
Material type: TextOriginal language: Spanish Publisher: Londres ; Elsevier ; 2006Description: 417 pISBN: 978-0-444-52722-6Subject(s): Mercado de capitales | Finanzas | Gobierno corporativoLOC classification: HG/4523/T73/2006Item type | Current location | Call number | Status | Date due | Barcode |
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Libros | Biblioteca de la Superintendencia del Mercado de Valores - SMV | HG/4523/T73/2006 (Browse shelf) | Available | 00003120 |
Contiene: 1. Theoretical explanations of why banks promise to pay par on demand.- 2. Productivity and efficiency measurement using parametric econometric methods.- 3. Firm, market and stractegic factors in venture capital exits.- 4. Financial development, inflation uncertainty and growth volatility.- 5. Mathematical, characterization of behavioral market dynamics.- 6. Conditional asset pricing model.- 7. Dividend policy of bank initial public offerings.- 8. Financial sector development and growth.- 9. The equity risk premium.- 10. Asset and default correlations between non financial corporations.- 11. Margin requirements with intraday dynamics.- 12. Nonparametric techniques to validate credit clasification models.- 13. Transparency, institucional framework and capital structure.- 14. Money la undering and financial offshore centres.- 15. Networks and stock market integration.
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