Forecasting Realized Volatility Using A Nonnegative Semiparametric Model
|
January 2009
|
|
Stochastic Dominance and Mean-Variance Measures of Profit and Loss for Business Planning and Investment
|
April 2007
|
|
Why Does Japan’s Saving Rate Decline So Rapidly?
|
December 2006
|
|
What Determines Private Investment? The Case of Pakistan
|
January 2007
|
|
Report on “The Committee on
Yen Risk-free-rate Model Estimationâ€
|
January 2007
|
|
Reforming India’s Fiscal Transfer System: Resolving Vertical and Horizontal Imbalances
|
January 2008
|
|
Firms’ Perceptions of the Business Cycle and Their Managerial and Financial Conditions
|
January 2007
|
|
Internal Promotion and the Effect of Board Monitoring: A Comparison of Japan and the United States
|
January 2010
|
|
Insecurities of the old and marginalized: Inflation, Oil Shocks, Financial Crisis and Social Security
|
January 2009
|
|
Explosive Behavior in the 1990s Nasdaq: When Did Exuberance Escalate Asset Values?
|
January 2009
|
|
E-Finance Development in Korea
|
April 2011
|
|
Do Banks Respond to Capital Requirement? Evidence from Indonesia
|
September 2007
|
|
The Future of Financial Liberalization in South Asia
|
January 2010
|
|
Foreign Direct Investment and Economic Growth: The Role of Domestic Financial Sector
|
January 2007
|
|
Structural Change in Japanese Business Fluctuations and Nikkei 225 Stock Index Futures Transactions
|
January 2005
|
|
An Analysis of Life Insurance Demand Determinants for Selected Asian Economies and India
|
January 2008
|
|
The Changes of Accounting Standards and Structural Reform in Japanese companies
|
January 2006
|
|
Regulatory Structure for Financial Stability and Development
|
January 2010
|
|
Causality between Foreign Direct Investment and Tourism: Empirical Evidence from India
|
January 2009
|
|
Dating the Timeline of Financial Bubbles During the Subprime Crisis
|
January 2009
|
|