Research in Finance. Volume 25

Research in Finance. Volume 25 - Research in Finance

Hardback (20 Feb 2009)

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Publisher's Synopsis

This volume contains contributions on a range of important issues in current research in finance and economics. Topics include the design of a country's financial safety nets, the effective policies of acquiring failed banks in reducing moral hazard problems, the voluntary disclosure of real options by corporate managers, and the interrelationship between the housing and general economic activities. Some important topics such as the choice between stock and options as compensation vehicles in the presence of bankruptcy risk, the NUA tax benefits in asset allocation in the retirement accounts, the heuristic approach of using ri/stdi to select securities in forming efficient portfolio, and the arbitrage opportunity in index options at the initial stage are also included in this volume. Finally, the contributions to this volume also address some problems that include the explanations of risk premiums on futures contracts, the optimal hedging decision in futures markets, and the pricing of Asian options subject to credit risk.

Book information

ISBN: 9781848554467
Publisher: Emerald Group Publishing Limited
Imprint: Emerald Publishing
Pub date:
DEWEY: 332
DEWEY edition: 22
Language: English
Number of pages: 369
Weight: 680g
Height: 229mm
Width: 152mm
Spine width: 28mm