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Journal 29 – Creating Markets
The articles in this edition focus on the major challenges financial institutions still face.
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Integration - Journal Vol. 26
Part 1
Economists hubris - the case of mergers and acquisitionsShahin Shojai,
Global Head of Strategic Research, Capco
Justifying adverse actions with new scorecard technologiesDavid J. Hand,
Professor of Statistics and Head of the Statistics Section, Department of Mathematics, Imperial College, and President, The Royal Statistical Society
Keming Yu,
Reader in Statistics, Department of Mathematical Sciences, Brunel University
Four demonsKevin Kneafsey,
Head of Client Solutions Research, Barclays Global Investors, San Francisco
Lending technology, bank organization and competitionHans Degryse,
Professor of Financial Intermediation and Markets and TILEC-AFM Chair on Financial Regulation, CentER, Tilburg University, TILEC and CESifo
Steven Ongena,
Professor in Empirical Banking, CentER, Tilburg University and CEPR
Gunseli Tumer-Alkan,
Assistant Professor of Finance, VU University Amsterdam
Paving the way to M&A success legal restructuring at the core of post-merger integrationEtienne Michelin,
Senior Consultant, Capco
Kunal Patel,
Associate, Capco
The new financial factory for innovation economic developmentThomas E. Vass,
President, The Private Capital Market, Inc.
Differences in the measurement and structure of wealth using alternative data sources: the case of the U.K.Zoe Oldfield,
Senior Research Economist, Institute for Fiscal Studies
Eva Sierminska,
Research Economist, CEPS/INSTEAD and DIW Berlin
Speculative bubbles and overreaction to technological innovationKevin J. Lansing,
Senior Economist, Research Department, Federal Reserve Bank of San Francisco
Analyzing and hedging structured products with interactive deformable computer graphicsMichael Mahlknecht, Director Consulting, Delta Hedge GmbH
Konstantin Oppl, Technical Director, Delta Hedge GmbHPart 2
Modeling and pricing of credit derivatives using macroeconomic informationBernd Schmid,
Executive Director, UBS Delta: Head Central Europe, UBS Investment Bank
Rudi Zagst,
Director, HVB Institute for Mathematical Finance, Technical University Munich
Stefan Antes,
Technical University Munich
Fayssal El Moufatich,
Analyst, Risklab GmbH
Bank cash flows, a source of new insightPaul Klumpes,
Chair in Accounting, Imperial College Business School
Peter Welch,
Founder, BankEcon.com
Andres Reibel,
Ph.D. Candidate, Imperial College Business School
Determinants of the yield curve - a model for the relationship between risk and yieldDouglas H. Carr,
President, Carr Capital Co.
Banking capital and operational risks: comparative analysis of regulatory approaches for a bankElena A. Medova,
Judge Business School, Cambridge University, and Cambridge Systems Associates
Pia E.K. Berg-Yuen,
Cambridge Systems Associates
Quality, innovation, differentiation (QID) management and competitiveness in the financial sector: a tool for overcoming financial and banking crisesMosad Zineldin,
Professor in Economics and Strategic Management, School of Management and Economics, and Master in Psychology, Linnaeus University, Sweden
The extreme downside risk of the S&P 500 stock indexSofiane Aboura,
Associate Professor of Finance, University of Paris-Dauphine
Effective parameters for stochastic volatility modelsZaizhi Wang,
Pricing Partners and Centre d economie industrielle, Ecole Nationale Superieure des Mines de Paris
Who benefits from market integration: A comparative study of Yankee IPOs from high and low integrated marketsKuntara Pukthuanthong,
Associate Professor, Department of Finance, College of Business Administration, San Diego State University
Integrated returnsDavid Meade,
Independent advisor