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Craig Merrill
Craig Merrill
E-mailová adresa ověřena na: byu.edu
Název
Citace
Citace
Rok
The relationship between corporate social responsibility and shareholder value: An empirical test of the risk management hypothesis
PC Godfrey, CB Merrill, JM Hansen
Strategic management journal 30 (4), 425-445, 2009
37822009
Were there fire sales in the RMBS market?
CB Merrill, TD Nadauld, RM Stulz, SM Sherlun
Journal of Monetary Economics, 2021
202*2021
Economic valuation models for insurers
DF Babbel, C Merrill
North American actuarial journal 2 (3), 1-15, 1998
871998
Rational decumulation
DF Babbel, CB Merrill
Wharton Financial Institutions Center Working Paper, 2006
832006
Real and illusory value creation by insurance companies
DF Babbel, C Merrill
The Journal of Risk and Insurance 72 (1), 1-21, 2005
802005
Fair value of liabilities: the financial economics perspective
DF Babbel, J Gold, CB Merrill
North American actuarial journal 6 (1), 12-27, 2002
622002
Default risk and the effective duration of bonds
DF Babbel, C Merrill, W Panning
Financial Analysts Journal 53 (1), 35-44, 1997
531997
Time diversification: Perspectives from option pricing theory
C Merrill, S Thorley
Financial Analysts Journal 52 (3), 13-19, 1996
521996
The effect of transaction size on off-the-run treasury prices
DF Babbel, CB Merrill, MF Meyer, M De Villiers
Journal of Financial and Quantitative Analysis 39 (3), 595-611, 2004
472004
The US Treasury buyback auctions: The cost of retiring illiquid bonds
B Han, FA Longstaff, C Merrill
The Journal of Finance 62 (6), 2673-2693, 2007
462007
Final demand for structured finance securities
CB Merrill, TD Nadauld, PE Strahan
Management Science 65 (1), 390-412, 2019
422019
Valuation of interest-sensitive financial instruments
DF Babbel, C Merrill
John Wiley & Sons, 1996
381996
Insurance theory and challenges facing the development of microinsurance markets
JC Brau, C Merrill, KB Staking
Journal of Developmental Entrepreneurship 16 (04), 411-440, 2011
332011
Toward a unified valuation model for life insurers
DF Babbel, C Merrill
Changes in the Life Insurance Industry: Efficiency, Technology and Risk …, 1999
161999
Risky loss distributions and modeling the loss reserve pay-out tail
JD Cummins, JB McDonald, C Merrill
Review of Applied Economics 3, 1-23, 2007
122007
" Time diversification and option pricing theory: Another perspective": Response
C Merrill, S Thorley
Journal of Portfolio Management 23 (4), 61, 1997
121997
Default risk and the effective duration of bonds
DF Babbel, CB Merrill
Available at SSRN 620654, 1999
101999
Investing your lump sum at retirement
D Babbel, C Merrill
Wharton Financial Institutions Center, 2007
62007
The valuation of corporate bonds: theory and evidence
C Merrill
University of Pennsylvania, 1994
41994
Interest‐rate option pricing revisited
C Merrill, D Babbel
Journal of Futures Markets: Futures, Options, and Other Derivative Products …, 1996
31996
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Články 1–20