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Research in finance. Volume 26 /

Annotation

Detalles Bibliográficos
Clasificación:Libro Electrónico
Otros Autores: Kensinger, John W.
Formato: Electrónico eBook
Idioma:Inglés
Publicado: Bingley : Emerald, 2010.
Edición:1st ed.
Colección:Research in finance ; v. 26.
Temas:
Acceso en línea:Texto completo

MARC

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245 0 0 |a Research in finance.  |n Volume 26 /  |c edited by John W. Kensinger. 
250 |a 1st ed. 
260 |a Bingley :  |b Emerald,  |c 2010. 
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490 1 |a Research in finance ;  |v v. 26 
504 |a Includes bibliographical references. 
588 0 |a Print version record. 
520 8 |a Annotation  |b The theme of this volume is "Coping with Systemic Risk." The Lead chapter sets the theme by giving insight into economic systems as packages containing multiple real options. The rational exercise of these options then shapes the outcomes from the system. As many of the decision makers are public officials rather than business people, it would be helpful to gain insight into the different ways of thinking that pervade the public sector. The second chapter (co-authored by a finance professor and a secondary school principal) gives insight into how school administrators and other public officials consider exercise decisions for the real options they control, in ways sometimes very different from the choices that would be picked in the for-profit sector. The third chapter offers tests of the reliability (or lack thereof) for traditional accounting measures to predict the onset of financial distress. Hence, sudden catastrophic disturbances may not be at all predictable. Remaining chapters explore the use of commodities such as oil as a means for improving the diversification of portfolios containing equities, the behavior of metal prices such as aluminum and steel, and other issues relevant for a better-diversified investor. Book jacket. 
505 0 |t Introduction --  |t Real options "in" economic systems /  |r S.B. von Helfenstein --  |t Managing real options in not-for-profit organizations /  |r John W. Kensinger and Stanley T. Crawford --  |t O-score financial distress risk asset pricing /  |r Syou-Ching Lai ... [et al.] --  |t The long-term relations under climate change between economic activity and metal utilizations using the the forgetting factor /  |r Andrew H. Chen, Jack Penn and R.D. Terrell --  |t Improved diversification through a mix of oil and equities /  |r Helen Xu --  |t Changes in trading volume and return volatility associated with S&P 500 index additions and deletions /  |r Eric C. Lin --  |t Modelling the US swap spread /  |r Hon-Lun Chung, Wai-Sum Chan and Jonathan A. Batten --  |t Pricing and risk management of variable annuities and equity-indexed annuities /  |r Guanghua Cao, Andrew H. Chen and Zhangxin Chen. 
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776 0 8 |i Print version:  |t Research in Finance.  |d Gardners Books 2010  |z 9781849507264  |w (OCoLC)505425870 
830 0 |a Research in finance ;  |v v. 26. 
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