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Group by: Item Type | Author | No Grouping
Jump to: Journal Article | Working or Discussion Paper
Number of items: 18.

Journal Article

Davies, Jonathan, 1966-. (2002) Urban regime theory : a normative-empirical critique. Journal of Urban Affairs, Vol.24 (No.1). pp. 1-17. ISSN 0735-2166

Davies, Jonathan, 1966-. (2002) The governance of urban regeneration: a critique of the 'governing without government' thesis. Public Administration, Vol.80 (No.2). pp. 301-322. ISSN 1467-9299

Edwards, Paul and Collinson, Margaret. (2002) Empowerment and managerial labor strategies - Pragmatism regained. WORK AND OCCUPATIONS, 29 (3). pp. 272-299. ISSN 0730-8884

Fletcher, John. (2002) Freud, Hoffmann and the death-work. Angelaki-Journal of the Theoretical Humanities, 7 (2). pp. 125-141. ISSN 0969-725X

Mol, Michael J. and Koppius, Otto R.. (2002) Information technology and the internationalization of the firm. Journal of Global Information Management, Vol.10 (No.4). pp. 44-60. ISSN 1062-7375

Storey, David J.. (2002) Education, training and development policies and practices in medium-sized companies in the UK : do they really influence firm performance? OMEGA-INTERNATIONAL JOURNAL OF MANAGEMENT SCIENCE, 30 (4). pp. 249-264. ISSN 0305-0483

Tritter, Jonathan Q., 1965- and Calnan, M.. (2002) Cancer as a chronic illness? Reconsidering categorization and exploring experience. European Journal of Cancer Care, 11 (3). pp. 161-165. ISSN 0961-5423

Van Tulder, Rob and Mol, Michael J.. (2002) Reverse auctions or auctions reversed : first experiments by Philips. European Management Journal, Vol.20 (No.5). pp. 447-456. ISSN 02632373

Working or Discussion Paper

Batchelor, R. A. and Orakcioglu, Ismail (2002) Event-related GARCH: the impact of stock dividends in Turkey. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Bouyé, Eric (2002) Multivariate extremes at work for portfolio risk measurement. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.2001).

Christodoulakis, George (2002) Sharp style analysis in the MSCI sector portfolios: a Monte Carlo integration approach. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Clarida, Richard H., Sarno, Lucio, Taylor, Mark P., 1958- and Valente, Giorgio (2002) The out-of-sample success of term structure models as exchange rate predictors: a step beyond. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Coakley, Jerry, Fuertes, Ana-Maria and Wood, Andrew, Dr. (2002) Reinterpreting the real exchange rate - yield differential nexus. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Gemmill, Gordon (2002) Testing Merton's model for credit spreads on zero-coupon bonds. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Gemmill, Gordon and Thomas, D. C. (Dylan C.) (2002) Costly arbitrage and asset prices: evidence from closed-end funds. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Pedersen, Christian S. and Hwang, Soosung (2002) On empirical risk measurement with asymmetric returns data. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Ribeiro, C. (Claudia) and Webber, Nick (2002) Valuing path dependent options in the variance-gamma model by Monte Carlo with a gamma bridge. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Sarno, Lucio and Thornton, Daniel L. (2002) The dynamic relationship between the federal funds rate and the Treasury bill rate: an empirical investigation. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

This list was generated on Thu Jun 20 05:40:09 2013 BST.
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