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Adding The Time Dimension: Optimal Rebalancing  

Mark Kritzman, Simon Myrgren, and Sebastien Page

Print publication date:
Dec 2011
Online publication date:
Nov 2012
A technique called dynamic programming can be used to identify an optimal rebalancing schedule, which significantly reduces rebalancing and sub-optimality costs. Dynamic programming ... More

The Admission and Regulation of Overseas Issuers: A Survey of the Top Four Financial Centers  

Horace Yeung

Print publication date:
Jan 2019
Online publication date:
Dec 2018
This chapter examines the potential discrepancies in the regulation applied to overseas issuers, as opposed to domestic issuers, of four leading financial centers. They are New York, ... More

Advances in Cost Frontier Analysis of the Firm  

C.A. Knox Lovell and Emili Grifell-Tatje

Print publication date:
Jul 2013
Online publication date:
Oct 2013
We study various analytical frameworks relating productivity change to change in the cost structure and cost efficiency of the firm. We begin by motivating a focus on the cost side, and ... More

Affluent and Devout: Men Paying for Sex in the United Kingdom  

Marina Della Giusta, Maria Laura di Tommaso, and Sarah L. Jewell

Print publication date:
Oct 2016
Online publication date:
Dec 2016
In this chapter, we analyze the demand for paid sex of British men utilizing the British National Survey of Sexual Attitudes and Lifestyles based on interviews in the period 2010–2012. The ... More

Agency Problems and the Fate of Capitalism  

Randall Morck and Bernard Yeung

Print publication date:
Apr 2012
Online publication date:
Nov 2012
This article discusses agency problems and capitalism. It suggests that real social costs of agency problems lie deeper, in the inner workings of the economy. Inefficient resource ... More

Algorithmic Trading, Optimal Execution, and Dyna Mic Port Folios  

Petter N. Kolm and Lee Maclin

Print publication date:
Dec 2011
Online publication date:
Nov 2012
This article discusses the portfolio optimization with market impact costs, combining execution and portfolio risk, and dynamic portfolio analysis. A multi-period portfolio optimization ... More

All Ties Are Not Created Equal: Institutional Equity Ties, IPO Performance, and Market Growth of New Ventures  

Yong Li and Beiqing Yao

Print publication date:
Jan 2019
Online publication date:
Dec 2018
This chapter examines whether and how different types of institutional ties affect new venture performance at different organizational stages. The authors propose that equity ties to ... More

Alternative Types Of Entrepreneurial Finance  

Armin Schwienbacher and Benjamin Larralde

Print publication date:
Mar 2012
Online publication date:
Sep 2012
This article discusses crowdfunding as an alternative way of financing projects, with a focus on small, entrepreneurial ventures. It first provides a description of crowdfunding and ... More

Analyzing Three-Dimensional Panel Data of Forecasts  

Antony Davies, Kajal Lahiri, and Xuguang Sheng

Print publication date:
Jul 2011
Online publication date:
Sep 2012
This article illustrates how frameworks built around multidimensional panel data of forecasts can be used not only to test the rational expectations hypothesis correctly, but also to study ... More

Asset Liability Management For Sovereign Wealth Funds  

Francis Breedon and Robert Kosowski

Print publication date:
Dec 2011
Online publication date:
Nov 2012
The article aims to discuss the optimal asset allocation for sovereign wealth funds (SWF). The main purpose of a commodity based sovereign wealth fund is to create a permanent income ... More

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