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Journal of Financial Risk Management
Volume 4, Number 1, March 2015 (Special Issue on )
Cover Page, Table of Contents and Others: PDF (size: 114KB)
Two Main Conditions for Collapse of the Bubble Economy of China—Large Number of Unsold Houses and Deregulation of Deposit Interest Rates ()
Goro Takahashi
Journal of Financial Risk Management Vol.4 No.1, March 27, 2015
DOI: 10.4236/jfrm.2015.41005 4,752 Downloads 5,637 Views Citations This article belongs to the Special Issue on
Franchise Revenue Guarantee Valuation: Real Options Approach ()
Lukito Adi Nugroho
Journal of Financial Risk Management Vol.4 No.1, March 5, 2015
DOI: 10.4236/jfrm.2015.41004 3,489 Downloads 4,115 Views Citations This article belongs to the Special Issue on
Rearrangement Invariant, Coherent Risk Measures on L0 ()
Christos E. Kountzakis, Dimitrios G. Konstantinides
DOI: 10.4236/jfrm.2015.41003 3,755 Downloads 4,208 Views Citations This article belongs to the Special Issue on
Bargaining Power of Suppliers and Buyers, and Accounting Conservatism—Evidence from Chinese Manufacturing Listed Companies ()
Ziqiang Zhao, Dixi Wu, Sha Sha
Journal of Financial Risk Management Vol.4 No.1, March 4, 2015
DOI: 10.4236/jfrm.2015.41002 4,693 Downloads 6,027 Views Citations This article belongs to the Special Issue on
A Study of Coupling Relationship between Financial Supervision and Innovation: Based on the Data of China’s Commercial Bank Listed in the Form of A Shares ()
Wei Song, Chao Yan, Xiaobao Peng, Shanshan Zheng
Journal of Financial Risk Management Vol.4 No.1, February 11, 2015
DOI: 10.4236/jfrm.2015.41001 5,027 Downloads 6,168 Views Citations This article belongs to the Special Issue on
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