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Journal of Financial Risk Management
Volume 2, Number 4, December 2013 (Special Issue on )
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The Herd Behavior of Risk-Averse Investor Based on Information Cost ()
Guangming Deng
Journal of Financial Risk Management Vol.2 No.4, December 31, 2013
DOI: 10.4236/jfrm.2013.24015 5,017 Downloads 9,018 Views Citations This article belongs to the Special Issue on
The Challenge of Managing Government-Industry Relationships ()
Shi Li
Journal of Financial Risk Management Vol.2 No.4, December 26, 2013
DOI: 10.4236/jfrm.2013.24014 5,127 Downloads 8,305 Views Citations This article belongs to the Special Issue on
Excessive Base Money and Global Financial Crisis in Relation to the Essence of the So-Called “Abenomics” ()
Goro Takahashi
Journal of Financial Risk Management Vol.2 No.4, November 7, 2013
DOI: 10.4236/jfrm.2013.24013 4,946 Downloads 10,036 Views Citations This article belongs to the Special Issue on
Empirical Study on Overreaction and Underreaction in Chinese Stock Market Based on ANAR-TGARCH Model ()
Yong Fang
Journal of Financial Risk Management Vol.2 No.4, October 31, 2013
DOI: 10.4236/jfrm.2013.24012 5,724 Downloads 9,736 Views Citations This article belongs to the Special Issue on
Pricing Double Barrier Parisian Option Using Finite Difference ()
Xuemei Gao
DOI: 10.4236/jfrm.2013.24011 4,348 Downloads 8,131 Views Citations This article belongs to the Special Issue on
Financial Engineering, Corporate Goverance and Nigeria Economic Development ()
John Ifeanyichukwu Osuoha
Journal of Financial Risk Management Vol.2 No.4, October 9, 2013
DOI: 10.4236/jfrm.2013.24010 5,032 Downloads 12,278 Views Citations This article belongs to the Special Issue on
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