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2017, ISBN 9781137591906, xviii, 262 pages
Book
The American economic review, ISSN 0002-8282, 4/2013, Volume 103, Issue 2, pp. 732 - 770
Risk aversion | Economic models | Investment risk | Asset markets | Mortgage backed securities | Equity capital | Hedge funds | Financial leverage | Risk premiums | Wealth | Economics | Business & Economics | Social Sciences | Equity (Finance) | Capital assets | Research | Financial risk | Securities markets | Collateral | Central banks | Default | Studies | Discount rates | Corporate bonds | Asset acquisitions | Market equilibrium
Journal Article
The Journal of economic perspectives, ISSN 0895-3309, 7/2017, Volume 31, Issue 3, pp. 29 - 45
Bank assets | Economics | Public debt | World economy | Symposium: The Global Monetary System | Supply | Central banks | Macroeconomics | Economic recessions | International economics | Interest rates | Business & Economics | Social Sciences | Management | Financial instruments | Analysis | Liquidity (Finance) | Escape | Supply & demand | Economic models | Savings | Growth rate | Shortages | Assets | Speech | Aftermath | Interruptions
Journal Article
International journal of urban and regional research, ISSN 0309-1317, 01/2016, Volume 40, Issue 1, pp. 31 - 45
asset price urbanism | NAMA | asset management companies | Ireland | financialization | urban development | Dublin | financial crisis | government intervention | bad banks | Geography | Urban Studies | Regional & Urban Planning | Social Sciences | Public Administration | City planning | Intervention | Loans | Time | Research | International finance | Social integration | Accumulation | Public finance | Prices | Credit | Urbanism | Economic crises | Urban areas | Finance | Banking | Banking industry | Management | Asset management | Crises | Government agencies | Urban development | Global cities | Cities | Real estate | Economic crisis
Journal Article
2015, ISBN 0309339146, xiv, 121
Book
2016, ISBN 9781442641921, xv, 251 pages
Book
2010, ISBN 9781589069275, xxi, 306
Book
Demography, ISSN 0070-3370, 2/2012, Volume 49, Issue 1, pp. 359 - 392
Datasets | Health outcomes | Poverty | World Bank | Economic indices | Mortality | Household size | Economies of scale | Children | Housing | Population Economics | Demography | Welfare | Geography (general) | Assets | Poverty measurement | Social Sciences, general | Human development | Sociology, general | Medicine/Public Health, general | Inequality | Social Sciences | Data Collection - statistics & numerical data | Income - statistics & numerical data | Infant Mortality | Health Expenditures - statistics & numerical data | Humans | Male | Educational Status | Socioeconomic Factors | Family Characteristics | Cross-Cultural Comparison | Female | Birth Rate | Developing Countries | Child | Social Welfare - statistics & numerical data | Infant, Newborn | Poverty - statistics & numerical data | Social service | Analysis | Equality | Studies | Welfare economics | Consumer spending | Indexes | Per capita | Index Medicus
Journal Article
2009, ISBN 0470749547, ix, 266
Book
Journal of financial and quantitative analysis, ISSN 0022-1090, 10/2013, Volume 48, Issue 5, pp. 1333 - 1370
Research Articles | Economic models | Military bases | Financial leverage | Book value | Business structures | Coefficients | Tangible assets | Capital structure | Estimators | Quantitative analysis | class eco A | Economics | Business & Economics | Social Sciences | Business, Finance | Studies | Federal legislation | Real estate | Assets | Balance sheets
Journal Article
Financial analysts journal, ISSN 0015-198X, 5/2013, Volume 69, Issue 3, pp. 19 - 29
Investment risk | Mortgage loans | Asset allocation | Predisposing factors | PERSPECTIVES | Capital markets | Cash | Yield curves | Financial portfolios | Portfolio management | Covariance matrices | Business & Economics | Business, Finance | Social Sciences | Financial management | Assets (Accounting) | Research | Methods | Studies | Arbitrage | Investment policy | Hedge funds | Capital assets | Optimization | Risk factors | Bond portfolios
Journal Article
The Journal of finance (New York), ISSN 0022-1082, 12/2016, Volume 71, Issue 6, pp. 2861 - 2903
Risk aversion | Consumption | Dividends | Economic models | Price premiums | Consumer economics | Correlations | Standard error | Nominal yield | Yield curves | Economics | Business & Economics | Social Sciences | Business, Finance | Federal Reserve banks | Pricing | Financial disclosure | Studies | Stock prices | Supply & demand | Return on equity | Correlation analysis
Journal Article