World Scientific Book Chapters
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- Ch 80 Do CFA Charterholders Make Better Hedge Fund Managers? , pp 2541-2564

- Yao Zheng and Eric Osmer
- Ch 81 Single-Index Model, Multiple-Index Model, and Portfolio Selection , pp 2757-2799

- Cheng Few Lee
- Ch 81 THE IMPLEMENTATION OF COMPETITIVE ADVANTAGE ON CORPORATE STRATEGY , pp 466-470

- Ioannis Vorrias and Eleftheria Alexiou
- Ch 81 Impact of Bank Activity and Funding Strategies on Liquidity Management: International Evidence , pp 2565-2600

- Yu-Li Huang and Kun-Li Lin
- Ch 81 The Long-term Impact of the Covid-19 Pandemic on China’s Movie Industry , pp 915-927

- Guanchen Wu
- Ch 82 BRAND ORIGIN: THEORETICAL FRAMEWORK AND EMPIRICAL EVIDENCE , pp 473-475

- Eugenijus Chlivickas and Rasa Smaliukiene
- Ch 82 Accounting Information and Firm Valuation , pp 2601-2641

- Cathy Zishang Liu, Kai-Cheung Kenneth Chu and C. S. Agnes Cheng
- Ch 82 An Empirical Study on the Impact of Green Innovation on Financial Performance of Coal Firms — Moderating Effects Based on Firms’ Policy Sensitivity , pp 928-938

- Jing Wang
- Ch 82 Sharpe Performance Measure and Treynor Performance Measure Approach to Portfolio Analysis , pp 2801-2838

- Paul Chiou and Cheng Few Lee
- Ch 83 Options and Option Strategies: Theory and Empirical Results , pp 2839-2884

- Cheng Few Lee
- Ch 83 Developments in CDS Markets: A Review on Recent CDS Studies , pp 2643-2681

- Xingyi Hu and Zhaodong Zhong
- Ch 83 COMPETITIVENESS' SUSTAINABILITY STRATEGY: CONCEPT, MODEL, PRACTICE , pp 476-479

- Daiva Daugviliene and Izolda Krutkiene
- Ch 83 Identification of Key Risks for Equipment Procurement Contract Performance Based on Dematel-Aism , pp 939-951

- Hanhan Tao, Yongfen Xie, Xiao Chen and Lingbo Zhao
- Ch 84 Decision Tree and Microsoft Excel Approach for Option Pricing Model , pp 2885-2927

- Jow-Ran Chang and John Lee
- Ch 84 The Design and Implementation of Audit Information Systems for Small and Medium-sized Internet Financial Institutions , pp 952-959

- Linzhi Li
- Ch 84 Decision Tree and Microsoft Excel Approach for Option Pricing Model , pp 2683-2726

- Jow-Ran Chang and John Lee
- Ch 84 THE EFFECTIVENESS OF ENTERPRISE MARKETING SYSTEM , pp 480-483

- Adomas Ginevicius, Vanda Birute Gineviciene and Valentinas Podvezko
- Ch 85 Statistical Distributions, European Option, American Option, and Option Bounds , pp 2929-2964

- Cheng Few Lee
- Ch 85 INTEGRATED ASSET AND LIABILITY PORTFOLIO MANAGEMENT AS BASE FOR DEVELOPMENT SUSTAINABILITY QUANTITATIVE DESCRIPTION , pp 484-487

- Romualdas Ginevicius and Jelena Stankeviciene
- Ch 85 Overview of Domestic Dynamic Emergency Logistics Research and Frontier Evolution — Visual Analysis Based on Citespace , pp 960-968

- Ya Zhao and Na Cui
- Ch 85 Comparisons between the Markowitz Model and the Black–Litterman Model , pp 2727-2749

- Huei-Wen Teng
- Ch 86 SAVINGS AND INVESTMENTS: AN ASPECT OF SUSTAINABILITY , pp 488-491

- Daiva Jureviciene, Egidijus Bikas and Arvydas Paskevicius
- Ch 86 A Comparative Static Analysis Approach to Derive Greek Letters: Theory and Applications , pp 2965-2999

- Cheng Few Lee and Yuanyuan Xiao
- Ch 86 Sports Injury Prediction Model based on Machine Learning , pp 969-981

- Yudong Liang
- Ch 86 Empirical Performance of the Constant Elasticity Variance Option Pricing Model , pp 2751-2793

- Ren Raw Chen, Cheng Few Lee and Han-Hsing Lee
- Ch 87 THE ROLE OF FINANCIAL SUCCESS OF SMEs IN ACHIEVING ECONOMIC SUSTAINABILITY , pp 492-495

- Natalja Lace and Zoja Sundukova
- Ch 87 Fundamental Analysis, Technical Analysis, and Mutual Fund Performance , pp 3001-3058

- Cheng Few Lee
- Ch 87 Asset Allocation with Cryptocurrencies , pp 2795-2858

- Han-Hsing Lee and Ken-Kuan Su
- Ch 87 The Relationship Between Distribution Industry Innovation and Urban Economic Growth in Smart Cities , pp 982-991

- XianMin Sun and Guo Wei Zhang
- Ch 88 Market-Based, Accounting-Based, and Composite-Based Beta Forecasting , pp 2859-2899

- Cheng Few Lee
- Ch 88 Application of Blockchain Technology to Achieve Enterprise Financial Management System , pp 992-998

- Suxin Huang and Xiaorong Wu
- Ch 88 Bond Portfolio Management, Swap Strategy, Duration, and Convexity , pp 3059-3098

- Cheng Few Lee
- Ch 88 NETWORK-BASED INTERNATIONAL ECONOMY IN THE EUROPEAN UNION: INNOVATION POTENTIAL AND THE NEW CHALLENGES FOR MANAGEMENT AND MARKETING , pp 496-499

- Borisas Melnikas
- Ch 89 Research on the Influence of Scientific and Technological Innovation on the Development of the Commercial Circulation Industry under the New Development Pattern , pp 999-1005

- Xuedi Zhang and Yiyi Jiang
- Ch 89 Synthetic Options, Portfolio Insurance, and Contingent Immunization , pp 3099-3141

- Cheng Few Lee
- Ch 89 QUANTITATIVE ASSESSMENT OF PORTFOLIO OF ACTIVITIES IN TERMS OF SUSTAINABLE DEVELOPMENT , pp 500-503

- Algita Miecinskiene and Viktorija Stasytyte
- Ch 89 Utility Theory, Capital Asset Allocation, and Markowitz Portfolio Selection Model , pp 2901-2943

- Cheng Few Lee
- Ch 90 Analysis of the Spatial Effect of High Technology Industry Agglomeration in Regional Green Innovation Efficiency Improvement , pp 1006-1013

- Tianjiao Zheng and Xiao Wang
- Ch 90 Single-Index Model, Multiple-Index Model, and Portfolio Selection , pp 2945-2981

- Cheng Few Lee
- Ch 90 Alternative Security Valuation Model: Theory and Empirical Results , pp 3143-3192

- Cheng Few Lee
- Ch 90 COMPETENCIES OF FRONT LINE EMPLOYEES ARE ESSENTIAL CONDITION OF TOURISM COMPANIES SUSTAINABLE DEVELOPMENT , pp 504-507

- Regina Navickiene
- Ch 91 Opacity, Stale Pricing, Extreme Bounds Analysis, and Hedge Fund Performance: Making Sense of Reported Hedge Fund Returns , pp 3193-3217

- Zachary A. Smith, Mazin A. M. Al Janabi and Muhammad Z. Mumtaz
- Ch 91 FROM TWO-DIMENSIONAL PROFIT-RISK TO THREE-DIMENSIONAL PROFIT-RELIABILITY-RISK IN FINANCIAL MARKETS , pp 508-511

- Aleksandras Vytautas Rutkauskas
- Ch 91 Sharpe Performance Measure and Treynor Performance Measure Approach to Portfolio Analysis , pp 2983-3018

- Cheng Few Lee and Paul W. Chiou
- Ch 91 Does the Establishment of Green Finance Reform and Innovation Pilot Zone Improve the Innovation Capability of Technological Enterprise? , pp 1014-1021

- Xiaoyang Xu and Yufan Xie
- Ch 92 Research on the Influence of Institutional Environment and Innovation Network on Regional Green Innovation Capability , pp 1022-1030

- Meng Yu and Shouwei Li
- Ch 92 Modeling Different REIT Cash Flows , pp 3019-3075

- Tamala Amelia Manda
- Ch 92 Does Quantile Co-Integration Exist Between Gold Spot and Futures Prices? , pp 3219-3239

- Hai-Chin Yu, Chia-Ju Lee and Hsieh Der-Tzon
- Ch 92 THROUGH EFFECTIVE BUSINESS RISK MANAGEMENT TOWARDS REGIONS SUSTAINABLE DEVELOPMENT , pp 512-515

- Aleksandras Vytautas Rutkauskas and Giedre Staskeviciute
- Ch 93 Bayesian Portfolio Mean–Variance Efficiency Test with Sharpe Ratio’s Sampling Error , pp 3241-3261

- Lie-Jane Kao, Huei Ching Soo and Cheng Few Lee
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