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Publications

Institut d'analyse financière

Title Authors Year Type
 
Financial Risk Management with Bayesian Es... Ardia, David 2008 Book
   
Does Cross-listing in the U. S. Really Imp... Frésard, Laur... 2007 Book
   
The Value of Analysts' Recommandations and... Salva Lopez, ... 2006 Book
   
The Economic Consequences of Increased Dis... Bailey, Warre... 2005 Book
   
The Psychology of World Equity Markets De Bondt, Werner 2005 Book
   
Exercices de théorie financière et de gest... Dubois, Miche... 2000 Book
   
Large scale portfolio optimization with DE... Ardia, David,... 2014 Book chapter
   
The short-run persistence of performance i... Ardia, David,... 2013 Book chapter
   
Efficient Bayesian estimation and combinat... Ardia, David,... 2010 Book chapter
   
Second-tier Markets in Europe: New Markets... Dubois, Miche... 1995 Book chapter
   
Sentiment and econometrics : toward a unif... Borms, Samuel 2020 Thesis
   
Modeling latent variables in economics and... Bluteau, Keven 2019 Thesis
   
Properties of the Margrabe Best-of-Two str... Ardia, David,... 2019 Journal article
   
Questioning the news about economic growth... Ardia, David,... 2019 Journal article
   
Generalized autoregressive score models in... Ardia, David,... 2019 Journal article
   
Markov-switching GARCH models in R: The MS... Ardia, David,... 2019 Journal article
   
Regime changes in Bitcoin GARCH volatility... Ardia, David,... 2019 Journal article
   
Downside risk evaluation with the R packag... Ardia, David,... 2018 Journal article
   
 
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