Browsing Department of Finance (FI) by Title

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Browsing Department of Finance (FI) by Title

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  • Model choice and volatility calibration
    Bajlum, Claus; Tind Larsen, Peter (København, 2007)
  • evidence from the Copenhagen Stock Exchange
    Neumann, Robert; Voetmann, Torben (København, 1999)
  • evidence from the copenhagen stock exchange
    Voetmann, Torben (København, 2000)
  • Fiscal Implications
    Østrup, Finn (København, 2005)
  • Rangvid, Jesper; Sørensen, Carsten (København, 2000)
  • Dick-Nielsen, Jens; Feldhütter, Peter; Lando, David (Amsterdam, 2012)
  • with an application to initial public offerings in Denmark
    Jakobsen, Jan; Sørensen, Ole (København, 2000)
  • Møller, Michael; Parum, Claus; Sørensen, Thomas (København, 2000)
  • Rangvid, Jesper; Sørensen, Carsten (København, 1998)
  • Evidence from Denmark
    Bechmann, Ken L.; Raaballe, Johannes (København, 2004)
  • evidence from changes in institutional and strategic investors´ equity holdings
    Neumann, Robert; Voetmann, Torben (København, 1999)
  • Sørensen, Carsten; Trolle, Anders Bjerre (København, 2004)
  • Kallestrup, René (Frederiksberg, 2012)
  • Raahauge, Peter (København, 2003)
  • Raahauge, Peter (København, 2001)
  • Lyse Hansen, Thomas; Astrup Jensen, Bjarne (København, 2004)
  • Stenbo Nielsen, Mads (Frederiksberg, 2011)
  • Bajlum, Claus (København, 2008)