Financial Review

Cover image for Vol. 45 Issue 4

November 2010

Volume 45, Issue 4

Pages 891–1123

  1. Original Articles

    1. Top of page
    2. Original Articles
    1. Bank Risk Taking at the Onset of the Current Banking Crisis (pages 891–913)

      Rich Fortin, Gerson M. Goldberg and Greg Roth

      Version of Record online: 11 OCT 2010 | DOI: 10.1111/j.1540-6288.2010.00277.x

    2. The Impact on Interest Rates of Unemployment Announcements and Their Revisions (pages 951–971)

      James E. Gunderson and Frederic P. Sterbenz

      Version of Record online: 11 OCT 2010 | DOI: 10.1111/j.1540-6288.2010.00280.x

    3. Exchange-Traded Fund Introductions and Closed-End Fund Discounts and Volume (pages 973–994)

      Scott W. Barnhart and Stuart Rosenstein

      Version of Record online: 11 OCT 2010 | DOI: 10.1111/j.1540-6288.2010.00281.x

    4. Oil and the Stock Market: An Industry Level Analysis (pages 995–1010)

      Sridhar Gogineni

      Version of Record online: 11 OCT 2010 | DOI: 10.1111/j.1540-6288.2010.00282.x

    5. Estimating Volatility Persistence in Oil Prices Under Structural Breaks (pages 1011–1023)

      Bradley T. Ewing and Farooq Malik

      Version of Record online: 11 OCT 2010 | DOI: 10.1111/j.1540-6288.2010.00283.x

    6. Idiosyncratic Risk in Emerging Markets (pages 1053–1078)

      Timotheos Angelidis

      Version of Record online: 11 OCT 2010 | DOI: 10.1111/j.1540-6288.2010.00285.x

    7. Volatility Risk Premium, Risk Aversion, and the Cross-Section of Stock Returns (pages 1079–1100)

      Peter Nyberg and Anders Wilhelmsson

      Version of Record online: 11 OCT 2010 | DOI: 10.1111/j.1540-6288.2010.00286.x

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