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Craig Merrill
Craig Merrill
Geverifieerd e-mailadres voor byu.edu
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The relationship between corporate social responsibility and shareholder value: An empirical test of the risk management hypothesis
PC Godfrey, CB Merrill, JM Hansen
Strategic management journal 30 (4), 425-445, 2009
33952009
Were there fire sales in the RMBS market?
CB Merrill, TD Nadauld, RM Stulz, SM Sherlun
Journal of Monetary Economics, 2021
193*2021
Rational decumulation
DF Babbel, CB Merrill
Wharton Financial Institutions Center Working Paper, 2006
852006
Economic valuation models for insurers
DF Babbel, C Merrill
North American actuarial journal 2 (3), 1-15, 1998
851998
Real and illusory value creation by insurance companies
DF Babbel, C Merrill
The Journal of Risk and Insurance 72 (1), 1-21, 2005
792005
Fair value of liabilities: the financial economics perspective
DF Babbel, J Gold, CB Merrill
North American actuarial journal 6 (1), 12-27, 2002
622002
Default risk and the effective duration of bonds
DF Babbel, C Merrill, W Panning
Financial Analysts Journal 53 (1), 35-44, 1997
541997
Time diversification: Perspectives from option pricing theory
C Merrill, S Thorley
Financial Analysts Journal 52 (3), 13-19, 1996
541996
The effect of transaction size on off-the-run treasury prices
DF Babbel, CB Merrill, MF Meyer, M De Villiers
Journal of Financial and Quantitative Analysis 39 (3), 595-611, 2004
442004
Final demand for structured finance securities
CB Merrill, TD Nadauld, PE Strahan
Management Science 65 (1), 390-412, 2019
422019
The US Treasury buyback auctions: The cost of retiring illiquid bonds
B Han, FA Longstaff, C Merrill
The Journal of Finance 62 (6), 2673-2693, 2007
422007
Insurance theory and challenges facing the development of microinsurance markets
JC Brau, C Merrill, KB Staking
Journal of Developmental Entrepreneurship 16 (04), 411-440, 2011
362011
Valuation of Interest-Sensitive Financial Instruments: SOA Monograph M-FI96-1
DF Babbel, C Merrill
John Wiley & Sons, 1996
341996
Toward a unified valuation model for life insurers
DF Babbel, C Merrill
Changes in the Life Insurance Industry: Efficiency, Technology and Risk …, 1999
151999
" Time diversification and option pricing theory: Another perspective": Response
C Merrill, S Thorley
Journal of Portfolio Management 23 (4), 61, 1997
131997
Risky loss distributions and modeling the loss reserve payout tail
JD Cummins, J McDonald, CB Merrill
Available at SSRN 610603, 2004
122004
Investing your lump sum at retirement
D Babbel, C Merrill
Wharton Financial Institutions Center, 2007
72007
Default risk and the effective duration of bonds
DF Babbel, CB Merrill
Available at SSRN 620654, 1999
71999
The valuation of corporate bonds: theory and evidence
C Merrill
University of Pennsylvania, 1994
41994
A Note on the Solution to a Three-Factor Affine Term Structure Model.
C Merrill
Journal of Fixed Income 9 (3), 93-95, 1999
31999
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Artikelen 1–20