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News, notes and items of interest in finance and quantitative finance
Video - Head of Global Economic Research at Goldman Sachs explains why the Financial Crisis wasn't all bad
Jim O’Neill, Head of Global Economic Research at Goldman Sachs said that half of the world was not affected by the financial crisis...
Friday Jul 30, 11:27AM
Open Thread - The Technical Analysis Debate
Or, 'What do the users of MoneyScience really make of Technical Analysis?'
Tuesday Jul 27, 14:39PM
A brief history of behavioural finance
Tim from The Psy-Fi Blog has a guest post over at Monevator.
Tuesday Jul 27, 12:41PM
James Montier - Is Austerity the Road to Ruin
James has a guilty secret which eh shares in the latest issue of GMO Monitor.
Tuesday Jul 27, 12:34PM
Richard Olsen - How to Trade
Richard Olsen is publishing a small booklet on how to trade. The content is based on previous posts on the subject on his blog.
Thursday Jul 22, 15:07PM
Portfolio Optimisation - Strategic Insights From Playing the Quantum Tic-Tac-Toe
Crazy stuff. In this paper the authors perform a minimalistic quantization of the classical game of tic-tac-toe, by allowing superpositions of classical moves - and look at the implication for portfolio optimisation.
Thursday Jul 22, 9:18AM
A Cautious Note on the Design of Volatility Derivatives
This cautious note aims to point at the potential risks for the financial system caused by various increasingly popular volatility derivatives including variance swaps on futures of equity indices.
Tuesday Jul 20, 14:35PM
Call for Papers - Geneva Finance Research Institute - Research Conference on Financial Networks
Interested researchers are invited to submit completed paper proposals of both theoretical and empirical nature.
Tuesday Jul 20, 12:53PM
Journal of Financial Econometrics awards Engle Prize for 2010
Awarded every 2 or 3 years to the scholar who has published the best article in the Journal of Financial Econometrics over the preceding period
Monday Jul 19, 12:42PM
Risk panics - When markets crash for no apparent reason
Philippe Bacchetta, Cédric Tille and Eric van Wincoop discuss their recent paper, "Self-Fullfilling Risk Panics" over at VoxEU.org.
Monday Jul 19, 10:36AM
Taylor & Francis - Free Virtual Special Issue on Behavioural Finance
A selection of papers published by Taylor and Francis Journals and available for free for a limited time.
Thursday Jul 15, 16:54PM
Fairness Is an Emergent Self-Organized Property of the Free Market for Labor
Venkat Venkatasubramanian presents a theory that shows that an ideal free market environment also promotes fairness, as an emergent property resulting from the self-organizing market dynamics.
Thursday Jul 15, 9:57AM
Socially Responsible Investing vs Vice Investing
This study suggests that US investors sacrifice returns by investing in social responsibility.
Wednesday Jul 14, 9:44AM
Risk Management Research Report - Issue 6 - Summer 2010
Risk Management Research Report is a FREE quarterly publication providing extended summaries of the most important current research in risk management.
Tuesday Jul 13, 14:56PM
The Relative Significance of Finance Journals, Authors and Articles - An Update
The authors of this paper rank finance journals based on citations between 2003 and 2008 and compare those rankings with how they existed approximately 20 years earlier.
Tuesday Jul 13, 10:17AM
Traditional vs Behavioral Finance
A brief history of behavioral research in financial reporting then shows that while these two philosophical perspectives are powerful, they are incomplete...
Tuesday Jul 13, 10:12AM
A safer world financial system - Improving the resolution of systemic institutions
This column at voxeu.org introduces the latest Geneva Report on the World Economy.
Monday Jul 12, 9:29AM
Journal of Financial Research seeks Editor or Co-Editors
This high-visibility position oversees the content and publication of one of the top journals in the field of finance & economics.
Wednesday Jul 07, 17:35PM
Wall Street Risk Management - better, but hardly fixed
With fear and loathing returning to world markets, risk managers are facing their biggest test since the financial crisis.
Wednesday Jul 07, 9:05AM
US Financial Crisis Inquiry Commission - Hearings and Testimony - Part 1 of 2
This first set of 3 hearings includes testimony aggregated from the first public hearing of the FCIC, a forum to explore the causes of the crisis and an exploration of Subprime Lending and Securitization practices by Government-Sponsored Enterprises.
Tuesday Jul 06, 9:26AM
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