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Stockholm Institute for Financial Research (SIFR)

Обновлено: 09-12-2010
Тематические разделы:
Год основания
Тип организации
Центры, Исследовательские и аналитические
Цели и задачи
The aim of SIFR is to:
Conduct and stimulate high quality research on issues in financial economics, where there are promising prospects for practical applications. Disseminate research results through publications, seminars, and other forms of meetings.
Establish a natural channel of communication about research issues in finance between the academic world and the financial sector.
Peter Englund - director
Исследовательские проекты
Risk and Returns to Home Ownership
Portfolio Choice and Trading Behavior of Institutional Investors
Portfolio Choice of Individual Investors
Asset Allocation and Return Predictability
Dealer Behavior in Foreign Exchange Markets
Aggregate Order Flow in Foreign Exchange Markets
SIFR Research Report Series

SIFR Research Report Series
Регулярные мероприятия, семинары, конференции
Workshop on FOREX Microstructure and International Macroeconomics
Venture Capital and Entrepreneurial Finance
Valuation, Tranparency, and Financial Reporting
The Theory and Practice of Credit Risk Modeling
Home Equity Insurance and Markets for Property Index Derivatives
Pension Savings and Financial Markets
Executive Stock Option Compensation - seminar
The Risk in Fixed-Income Hedge Fund Styles - seminar
The Role of Real Estate in Mixed-Asset Portfolios - seminar
Household Leverage and the Deductibility of Home Mortgage Interest: Evidence from UK New Borrowers
Bridging the Gap Between the Science and the Practice of Personal Finance
Finance and the Role of Financial Engineering in the 21st Century
FX Trading ... LIVE! Dealer Behavior and Trading Systems in the Foreign Exchange Market
Private or Public Information in the Foreign Exchange Markets? An Empirical Analysis
Workshop: Research Ideas on the PPM System
Tax-Loss Trading and Wash Sales
What can be learned from behavioral finance?
Домашняя страница
8-503 206 30
8-503 206 40
Sweden, Stockholm, Stockholm Institute for Financial Research
Wallingatan 11
SE-111 60 Stockholm

Публикации на портале:
Ключевые слова

См. также:
David Blake
Meir Statman
Journal of Financial and Quantitative Analysis. 1987.  Vol. 22. No. 3. P. 353-363. 
Lubos Pastor, Robert F. Stambaugh
Journal of Financial Economics. 2002.  Vol. 63. No. 3. P. 351-380.