Gregoriou, Greg N., 1956-....
Gregoriou, Greg N.
Gregoriou, Greg N. 1956-2018
Greg N. Gregoriou Canadian financial economist
VIAF ID: 85293158 (Personal)
Permalink: http://viaf.org/viaf/85293158
Preferred Forms
- 100 0 _ ‡a Greg N. Gregoriou ‡c Canadian financial economist
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- 200 _ | ‡a Gregoriou ‡b Greg N. ‡f 1956-....
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- 100 1 _ ‡a Gregoriou, Greg N.
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- 100 1 _ ‡a Gregoriou, Greg N. ‡d 1956-
- 100 1 _ ‡a Gregoriou, Greg N. ‡d 1956-...
- 100 1 _ ‡a Gregoriou, Greg N. ‡d 1956-2018
- 100 1 _ ‡a Gregoriou, Greg N., ‡d 1956-
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- 100 1 _ ‡a Gregoriou, Greg N., ‡d 1956-
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- 100 1 _ ‡a Gregoriou, Greg N., ‡d 1956-....
4xx's: Alternate Name Forms (7)
5xx's: Related Names (2)
Works
Title | Sources |
---|---|
Asset allocation and international investments | |
The banking crisis handbook | |
Corporate governance and regulatory impact on mergers and acquisitions : research and analysis on activity worldwide since 1990 | |
The credit derivatives handbook : global perspectives, innovations, and market drivers | |
Emerging markets : performance, analysis and innovation | |
Encyclopedia of alternative investments | |
Financial econometrics modeling : derivatives pricing, hedge funds and term structure models | |
Financial markets and sovereign wealth funds | |
Handbook of Asian finance : REIT's, trading, and fund performance | |
The handbook of credit portfolio management | |
Handbook of environmental and sustainable finance | |
Handbook of frontier markets : the African, European and Asian evidence | |
Handbook of investors' behavior during financial crises | |
Handbook of short selling | |
The handbook of trading : strategies for navigating and profiting from currency, bond, and stock markets | |
Hedge fund replication | |
Hedge funds and managed futures : a handbook for institutional investors | |
Hedge funds : insights in preformance measurement, risk analysis, and portfolio allocation | |
Hedge funds : strategies, risk assessment, and returns | |
Initial public offerings : an international perspective | |
Insider trading : global developments and analysis | |
International accounting standards, regulations and financial reporting | |
International corporate governance after Sarbanes-Oxley | |
Market microstructure, factor models and financial risk measures | |
Markov switching models, persistence and nonlinear cointegration | |
Mergers and acquisitions : current issues | |
Nonlinear financial econometrics : forecasting models, computational and Bayesian models | |
Operational risk toward Basel III : best practices and issues in modeling, management and regulation | |
Pension fund risk management | |
Performance evaluation of hedge funds, 2003: | |
Reconsidering funds of hedge funds : the financial crisis and best practices in UCITS, tail risk, performance, and due diligence | |
Rethinking valuation and pricing models : lessons learned from the crisis and future challenges | |
The risk modeling evaluation handbook : rethinking financial risk management methodologies in the global capital markets | |
Stock market liquidity : implications for market microstructure and asset pricing | |
Stock market volatility | |
The VaR implementation handbook | |
Venture capital in Europe |