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    From journals and magazines

    1. REITs’ Stock Return Volatility: Property Market Risk Versus Equity Market Risk

      by Zhu, Bing and Li, Lingxiao

      The Journal Of Real Estate Finance And Economics, Volume 69, Issue 3, pp. 452 - 476

      Journal Article : Full Text Online

    2. Impact of climate risk on energy market risk spillover: Evidence from dynamic (...)

      by Tian, Sihua; Li, Shaofang; Gu, Qinen and Wang, Yuyouting

      Energy Economics, Volume 137, p. 107775

      Journal Article : Full Text Online

    3. Can market risk explain the systemic risk? Evidence from the US banking industry

      by Tzouvanas, Panagiotis

      Journal Of Economic Studies (Bradford), Volume 51, Issue 1, pp. 165 - 184

      Journal Article : Full Text Online

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    1. Measuring market risk

      Kevin Dowd.

      Book : View Online

    2. Measuring market risk

      Kevin Dowd.

      Book : View Online

    3. Measuring market risk

      Kevin Dowd.

      Book

      Check Holdings for this item's availability Ford Library, HG6024.3 .D683 2002 c.1

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    Guides, policies, news more

    1. Finding Market Research

      IBISWorld – Provides an extensive collection of industry market research and industry risk ratings on U.S. industries.

    2. Passport - Risk - LibGuides at Duke University

      Passport - Risk - LibGuides at Duke University Skip to Main Content Home LibGuides Risk Passport Search this (...)

    3. Book Reviews: Fatal Risk and The Monster

      Then in 1986, seeking additional growth opportunities, Greenberg raided Drexel Burnham Lambert and launched AIG Financial Products, entering in (...)

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    Detailed inventories of archival collections

    1. Market Value, Time, and Risk, 1961

      Unpublished. One folder includes a copy of the paper in the SSRN eLibrary Collection with an abstract by Craig W. French.

    2. Outlook for the Developing Countries and World Financial Markets, and Managing Country Risk, (...)

      Draft papers

    See results from 12 Collection Guides

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    Archival MaterialsSee all archival materials results »

    Manuscripts and archival materials

    1. Does risk pay? : an analysis of short gamma trading strategies and volatility forecasting in (...)

      Tasha Stær Bollerslev and Michael Scott Kuritzky.

      Archival and manuscript material, Book

      Check Holdings for this item's availability University Archives, HC21 .D854 2008-BO 

    2. Risk and return on technology stocks and the aggregate stock market

      by Varoujan Khatchatrian.

      Archival and manuscript material

      This item is currently Available University Archives, Library Service Center

    3. Analysis of auction price risk : an empirical study of the Australian aboriginal art market

      Ilya Voytov.

      Archival and manuscript material, Book

      This item is currently Available University Archives, HC21 D854 2006-IS c.1

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