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Viser treff 1-13 av 13

2015
1 Gerard, Bruno.
Alberta and Norway, two oil powers, world apart. Toronto Globe and Mail [Avis] 2015-08-14
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2 Gerard, Bruno; Eiling, Esther.
Emerging Equity Markets Comovements: Trends and Macroeconomics Fundamentals. Review of Finance 2015 ;Volum 19.(4) s. 1543-1585
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2014
3 Cappiello, Lorenzo; Gerard, Bruno; Kadareja, Arjan; Manganelli, Simone.
Measuring comovements by regression quantiles. Journal of Financial Econometrics 2014 ;Volum 12.(4) s. 645-678
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2012
4 Eiling, Esther; Gerard, Bruno; de Roon, Frans.
Euro-zone equity returns: country versus industry effects. Review of Finance 2012 ;Volum 16.(3) s. 755-798
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5 Eiling, Esther; Gerard, Bruno; Hillion, Pierre; de Roon, Frans.
International portfolio diversification: Currency, industry and country effects revisited. Journal of International Money and Finance 2012 ;Volum 31.(5) s. 1249-1278
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6 Gerard, Bruno; Kjenstad, Einar; Bysveen, Fredrik; Rosef, Bård Haugland; Veiteberg, Vegard; Thomsen, Jan.
NTNU-studenter fikk pris fra Oljefondet. adressa.no [Internett] 2012-10-01
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7 Gerard, Bruno; Kjenstad, Einar; Bysveen, Fredrik; Rosef, Bård Haugland; Veiteberg, Vegard; Thomsen, Jan.
NTNU-studenter fikk pris fra Oljefondet. Adresseavisen [Avis] 2012-10-01
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2009
8 Gerard, Bruno; De Santis, Roberto.
International portfolio reallocation: diversification benefits and European monetary union. European Economic Review 2009 ;Volum 53.(8) s. 1010-1027
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2007
9 Gerard, Bruno; Cappiello, Lorenzo; Manganelli, Simone; Kadareja, Arjan.
Equity Market integration of the new EU member states. I: Financial Development, Integration And Stability: Evidence form Central, Eastern adn South-Eastern Europe. Edward Elgar Publishing 2007 ISBN 978-1845429676.
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2006
10 Gerard, Bruno; Wu, Gengshu.
How important is intertemporal risk for asset allocation?. The journal of business 2006 ;Volum 79.(4) s. 2203-2241
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2003
11 De Santis, Giorgio; Gerard, Bruno; Hillion, Pierre.
The Relevance of Currency Risk in the EMU. Journal of Economics and Business 2003 ;Volum 55. s. 427-462
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12 Gerard, Bruno; Thanyalakpar, Kessara; Batten, John.
Are East Asian Markets Integrated? Evidence from the ICAPM. Journal of Economics and Business 2003 ;Volum 55. s. 585-607
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1997
13 Gerard, Bruno.
International Asset Pricing and Portfolio Diversification with time-varying risk. Journal of Finance 1997 ;Volum 52. s. 1881-1912
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