Details about Anders Loflund
Access statistics for papers by Anders Loflund.
Last updated 2012-02-07. Update your information in the RePEc Author Service.
Short-id: plo305
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Journal Articles
2009
- International bond diversification strategies: the impact of currency, country, and credit risk
The European Journal of Finance, 2009, 15, (5-6), 555-583 View citations (7)
2005
- Determinants of international portfolio investment flows to a small market: Empirical evidence
Journal of Multinational Financial Management, 2005, 15, (3), 211-233 View citations (14)
2001
- Foreign and domestic investors and tax induced ex-dividend day trading
Journal of Banking & Finance, 2001, 25, (9), 1687-1716 View citations (12)
2000
- Evaluating mutual funds on a small market: is benchmark selection crucial?
Scandinavian Journal of Management, 2000, 16, (1), 67-84 View citations (2)
1997
- On stocks, bonds and business conditions
Applied Financial Economics, 1997, 7, (2), 137-146 View citations (4)
- The benefits from international diversification for Nordic investors
Journal of Banking & Finance, 1997, 21, (4), 469-490 View citations (14)
1989
- Estimating betas on daily data for a small stock market
Journal of Banking & Finance, 1989, 13, (1), 41-64 View citations (21)
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