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Items where Division is "Financial Markets Group" and Year is 1992

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Number of items: 5.

A

Aghion, Philippe ORCID: 0000-0002-9019-1677, Hart, Oliver and Moore, John (1992) The economics of bankruptcy reform. CEPDP (93). London School of Economics and Political Science. Centre for Economic Performance, London, UK.

C

Curcio, Riccardo and Goodhart, C. A. E. (1992) When support/resistance levels are broken, can profits be made? Evidence from the foreign exchange market. Financial Markets Group Discussion Papers (142). Financial Markets Group, The London School of Economics and Political Science, London, UK.

D

de Meza, David ORCID: 0000-0002-5638-8310 and Webb, David C. (1992) Efficent credit rationing. European Economic Review, 36 (6). pp. 1277-1290. ISSN 0014-2921

F

Foldes, Lucien (1992) Existence and uniqueness of an optimum in the infinite-horizon portfolio-cum-saving model with semimartingale investments. Stochastics and Stochastic Reports, 41 (4). pp. 241-267. ISSN 1045-1129

Foldes, Lucien (1992) Semimartingale calculus in portfolio theory. In: Oberwolfach Conference on Mathematical Finance, 1992-08-23 - 1992-08-29, Oberwolfach, Germany, DEU. (Submitted)

This list was generated on Tue Jun 18 03:44:53 2024 BST.