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Hal. Akhir
Models, measurement and marketing Peter Langhoff
1
(Langhoff, Peter)
Econometrics of qualitative dependent variables
2
(Gourieroux, Christian) (Klassen, Paul B.)
Stock Market and No-Dividend Stocks
1
(Adem Atmaz) (Suleyman Basak)
Generalized method of moments estimation
1
(Matyas, Laszlo)
Liquidity Fluctuations in Over-the-Counter Markets
1
(Vincent Maurin)
Volatility Expectations and Returns
1
(Lars A. Lochstoer) (Tyler Muir)
The Limits of Model-Based Regulation
1
(Markus Behn) (Rainer Haselmann) (Vikrant Vig)
Long-Run Risk : Is It There?
1
(Yukun Liu) (Ben Matthies)
Testing Disagreement Models
1
(Yen-Cheng Chang) (Pei-Jie Hsiao) (Alexander Ljungqvist) (Kevin Tseng)
A New Test of Risk Factor Relevance
1
(Alex Chinco) (Samuel M. Hartzmark) (Abigail B. Sussman)
The Price of Higher Order Catastrophe Insurance : The Case of VIX Options
1
(Bjorn Eraker) (Aoxiang Yang)
Bayesian Solutions for the Factor Zoo : We Just Ran Two Quadrillion Models
1
(Stevlana Bryzgalova) (Jiantao Huang) (Christian Julliard)
Beliefs Aggregation and Return Predictability
1
(Albert S. Kyle) (Anna A. Obizhaeva) (Yajun Wang)
Principal Portfolios
1
(Bryan Kelly) (Lasse Heje Pedersen) (Semyon Malamud)
Model Secrecy and Stress Tests
1
(Yaron Leitner) (Basil Williams)
Discount-Rate Risk in Private Equity : Evidence from Secondary Market Transactions
1
(Brian H. Boyer) (Taylor D. Nadauld) (Keith P. Vorkink) (Michael S. Weisbach)
Model Comparison with Transaction Costs
1
(Andrew Detzel) (Robert Novy-Marx) (Mihail Velikov)
Integrating Factor Models
1
(Doron Avramov) (Si Cheng) (Lior Metzker) (Stefan Voigt)
Time series data analysis using eviews
3
(Agung, I Gusti Ngurah)
Is There a Replication Crisis in Finance?
1
(Bryan Kelly) (Theis Ingerslev Jensen) (Lasse Heje Pedersen)
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Hal. Akhir
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CELEB FEB UI
PSB lt.1 - B. Penunjang
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PSB lt.1 - R. Prof. Sumitro Djojohadikusumo
PSB lt.2 - Karya Akhir
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