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金融研究最新成果

On portfolio optimization: forecasting covariances and choosing the risk model PDF 223K
Stock market overreactions to bad news in good times: a rational expectations equilibrium model PDF 516K
Volatility timing in mutual funds: evidence from daily returns PDF 215K
The determinants of mutual fund starts PDF 190K
The specialist's discretion: stopped orders and price improvement PDF 363K
A new estimate of transaction costs PDF 248K
Changes of numeraire for pricing futures, forwards, and options PDF 211K
Adaptive learning in financial markets PDF 402K
Stock returns and inflation with supply and demand disturbances PDF 253K
The second fundamental theorem of asset pricing: a new approach PDF 179K


Linux学习资源

Teach Yourself CGI Programming with Perl in a Week GZIP 295K
网络数据库教程 PDF 48K
Perl初级教程 WINZIP 35K
Linux网络管理员手册 WINZIP 510K


Solaris学习资源

NFS Adminstration Guide PDF 261K
TCP/IP and Data Communications Administration Guide PDF 598K
Solaris Advanced User's Guide PDF 559K