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20条精选金融论文英语参考文献
[1] nelson, c. r. & siegel, a. f. parsimonious modeling of yield curves [j], journal of business 1987(4): 473—489.
[2] diebold,francis x and li, canlin..global yield curve dynamics and interactions: adynamic nelson-siegel approach[j],journal of econometrics,XX,10:351-363
[3] bliss, r. r.. testing term structure estimation methods [j]. advances in futures and options research, 1997,9:197-231
[4] tanner, e.,“exchange market pressures and monetary policy: asia and latin america in the 1990s” [c]5 working papers, imf,XX.
[5] so, r. w., “price and volatility spillovers between interest rate and exchange value of the us dollar”[j], global finance journal,XX (1) :95-107
[6] . testing continuous-time models of the spot interest rate [j], review of financial studies. 1996,9:385-426
[7] vasicek 0,fong h g term structure modeling using exponential splines. journal of finance[j], 1982,37:339-348
[8] duffle,d. and r. kan. a yield factor model of interest rates[j],mathematical finance, 1. 1996,6: 379-406
[9] ait—sahalia,y and r. kimmel. estimating affine multifactor term structure models using closed-form likelihood expansions[c] ? working paper,nber,XX.
[10] engle,robert e autoregressive conditional heteroscedasticity with estimates of the variance of u. k inflation[j]. economica,1982,50:987—1008
[10]chen,., and l. scott “maximum likelihood estimation for a multi-factor equilibrium model of the term structure of interest rates,”. journal of fixed income, december, 1993,12: 14-31 .
[11] vasicek o. an equilibrium characterization of the term structure [j] ? journal of financial economics, 1977,5:177-188.
[12] j. c. cox, j. e. ingersoll,s. a. ross. a theory of the term structure of interest rates [j]. econometrica, 1985, 53: 385-407
[13] edmund m. a. kwaw and yen, resolving economic conflict between the united states and japan[m] . massachusetts institute of technolog. 1997: 189-220.
[14] swanson,r.,rogoff, it real the exchange rate-interest differential relation over the modern floating period[j] journal of finance, 1988,43: 359-382
[15] chan, k.,chan, karolyi, a.,intraday volatility in the stock index and stock index futures markets [j] review of financial studies 1991 (4) : 657-684.
[16] kutan, j. and s. zhou,"mean reversion of interest rates in the eurocurrency market[j], oxford bulletin of economics and statistics,XX,63: 459-473.
[17] park. information flows between non-deliverable forward (ndf ) and spot markets:evidence from korean currency [j]. pacific-basin finance journal,XX,9:363-377
[18] roberta. michael f,exchange rate regimes in an increasingly integrated world [j],economy,XX,34:109-132
[19] prasad,e. ye. l_ the renminbi's role in the global monetary system[r], global economy and development at brookings,XX (2) : 169-185
[20] nelson c r, sigel a f. parsimonious modeling of yield curve [j]. journal of business, 1987,60:473- 489.
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金融业以其对国民经济巨大的影响力和对其产业独特的 放大效应 被定义为21世纪最具发展前景的行业。下面是我带来的关于金融学论文参考文献的内容,欢迎阅读参考!金融学论文参考文献(一) [1] 钟静萍.国有商业银行培训管理刍议[J].经济知识.2013. [2] 田俊国.上接战略,下接绩效:培训就该这样搞[M]北京联合出版社.2013. [3] 张贵益.对农业银行培训工作的调研与思考[J].中国农业银行武汉培训学院学报.2009. [4] 黄勋敬.金融危机背景下的商业银行培训体系建设[J].金融管理与研究.2009,06:46-51. [5] 梁健洪.对农业银行培训工作的调研分析[J].中国农业银行武汉培训学院学报.2010. [6] 张翔.以岗位任职条件为本的人力资源培训体系建设[J].了望.. [7] 范海鸿.ERM 框架下人民银行培训中心风险管理研究[J].金融纵横.2012. [8] 弗农汉弗莱.全组织的培训[J].培训与发展季刊.1990. [9] 孙炳新.商业银行员工培训对基层人民银行培训工作的启示[J].金融纵横,2010. [10] 吴程彧.欧洲银行人才培训管理经验值得借鉴[J].现代商业.2012. [11] 杨群华.金融培训需求新变化与对策思考[J].金融经济.2013. [12] 罗伯特.韦兰.保罗.科尔着.走进客户的心[M].北京.经济出版社.1998. [13] 薛婧.国有商业银行员工培训问题研究[D].华东山东师范大学.2012. [14] 孔赞春.对优化基层人民银行培训效果的思考[J].金融与经济.2010. [15] 刘敏.龙江银行人力资源培训体系的构建研究[D].吉林大学.2010. 金融学论文参考文献(二) [1]Barclay, M.,C. Holderaess. Private benefits from control of public corporations. Journal of Financial Economics, 1989,25:371-395. [2]Doidge, Craig. . cross-listings and the private benefits: Evidence from dual-class of Financial Economics,2004,72:519-553. [3]Jensen, M.,W. Meckling. Theory of the firm: Managerial behavior, Agency costs and ownership Structure. Journal of Financial Economics, 1976,3:305-360. [4]Berle A.,Means G The Modern Corporation and private property .New York: The Commerce Clearing House, 1932. [5]Grossman, S., costs and benefits of ownership: A Theory of vertical and lateral integration. Journal of Political Economy, 1986,94:691 -719. [6]Nicodano,G,,A. Sembenelli. Private Benefits, Block Transaction Premia and Ownership Structure. University of Turin working paper,2001. [7]Jonathan Morduch, “The Grameen Bank:A Financial Reckpning”, unpublished papper, 1999, 19(2): 148-209. [8]The World Bank, A World wide Inventory of Microfinance Institutions, 1996,36(10): 101-120. [9]Shahidur , Microfinance and Poverty:Evidence Using Panel Bangladesh, The World Bank economic review, 2005,19(2): 263-286. 金融学论文参考文献(三) [1]Adrian, Paul Thinking beyond BASEL 3: Necessray Solutions for Captial and Liquidity. OECD Journal ,2010 [2]Basel Committee. Strengthening the resilience of the Banking Sector,2009. [3]Borio Claudio. 2003. Towards a macroprudential framework for financial supervision and regulation? CESifo Economic Studies, 49(2),181-215. [4]Drehmann, M?,Juselius, M. 2012. “Do debt service costs affect macroeconomic and financial stability?” BIS Quarterly Review, 21-34. [5]Borio, C.,Drehmann, M.,Gambacorta, L.,Jimenez, G.,Trucharte, C. 2010.“Countercyclical capital buffers; exploring options.” BIS Working Paper. [6]Agenor, P. R., Pereira da Silva, L. A. 2012. “Macroeconomic Stability, Financial Stability, and Monetary Policy Rules.” International Finance, 15:2, 205-24. [7]Agenor, ., Alper, K., da Silva, L. P. 2013. “Capital Regulation, Monetary Policy and Financial Stability.” Internationa] Journal of Central Banking, 9:3. 198-243. [8]Basel Committee. Enhancemeiib to the Basel II framework. 2009. [9]Jonathan Morduch, Smart Subsidy for Sustainable Microfinance.[M], Finance for the poor, 2005, 13(4): 125-149. [10]Eric Van Tassel, Signal Jamming in New Credit Markets[J], Journal of Money,Credit and Banking, 2002,(34)。 猜你喜欢: 1. 金融毕业论文参考文献 2. 国际金融论文参考文献 3. 金融学方面参考论文优秀范文 4. 关于金融危机论文参考文献 5. 金融学方面参考论文
[1]刘颖,欧阳斌. 金融危机背景下协调金融创新与金融监管冲突的法治对策[J]. 贵州商业高等专科学校学报,2009,(3). [2]林明凤. 国际金融危机下的
20条精选金融论文英语参考文献 [1] nelson, c. r. & siegel, a. f. parsimonious modeling of yield
金融类毕业论文参考文献 参考文献就是写论文的时候参考过的书籍或网站,直接关系到论文的分数和质量高低。以下是我为您整理的金融类毕业论文参考文献,希望能提供帮助。
金融业以其对国民经济巨大的影响力和对其产业独特的 放大效应 被定义为21世纪最具发展前景的行业。下面是我带来的关于金融学论文参考文献的内容,欢迎阅读参考!金融学
改革开放三十年来,我国的金融发展和经济增长都取得了举世瞩目的成就。下文是我为大家搜集整理的关于金融学毕业论文范文的内容,欢迎大家阅读参考!金融学毕业论文范文篇1