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Number of items: 4.

15 July 2005

Bartram, Söhnke M. and Brown, Gregory W. and Hund, John E. (2005): Estimating Systemic Risk in the International Financial System.

1 October 2006

Bartram, Söhnke M. and Brown, Gregory W. and Conrad, Jennifer (2006): The Effects of Derivatives on Firm Risk and Value.

1 January 2009

Bartram, Söhnke M. and Brown, Gregory W. and Minton, Bernadette (2009): Resolving the Exposure Puzzle: The Many Facets of Exchange Rate Exposure.

2012

Bartram, Söhnke M. and Brown, Gregory W. and Stulz, René M. (2012): Why are U.S. Stocks More Volatile? Published in: Journal of Finance , Vol. 67, No. 4 (August 2012): pp. 1329-1370.

This list was generated on Mon Feb 17 05:39:22 2020 CET.
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