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1
Strategic risk management practice how to deal effectively with major corporate exposures per Andersen, Torben Juul
Publicat 2010Signatura: loading...
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2
Global derivatives a strategic risk management perspective per Andersen, Torben Juul
Publicat 2006Signatura: loading...
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3
Modeling and forecasting realized volatility
Publicat 2001Signatura: loading...
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4
The distribution of stock return volatility
Publicat 2000Signatura: loading...
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5
Exchange rate returns standardized by realized volatility are (nearly) Gaussian
Publicat 2000Signatura: loading...
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6
DM-dollar volatility intraday activity patterns, macroeconomic announcements, and longer run dependences per Andersen, Torben G.
Publicat 1996Signatura: loading...Click here to download the fulltext
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7
Heterogeneous information arrivals and return volatility dynamics uncovering the long-run in high frequency returns per Andersen, Torben
Publicat 1996Signatura: loading...Click here to download the fulltext
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8
Currency and interest rate hedging a user's guide to options, futures, swaps, and forward contracts per Andersen, Torben Juul
Publicat 1987Signatura: loading...
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The information content of quantity signals and downward inflexible prices. per Andersen, Torben M.
Publicat 1983Signatura: loading...
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Prices
Risk management
Foreign exchange
Foreign exchange futures
Hedging (Finance)
Rate of return
Derivative securities
Dow Jones industrial average
Econometric model
Econometric models
Financial futures
Forecasting
Foreign exchange rates
Interest rate futures
Mark, German
Mathematical models
Money
Options (Contract)
Risk
Securities
Stocks
Strategic planning