Doowoo Nam, Ph.D. - Publications
Affiliations: | 2001 | The University of Alabama, Tuscaloosa, AL |
Area:
Finance, Banking Business AdministrationYear | Citation | Score | |||
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2013 | Nam D. The estimation and decomposition of value-at-risk for non-normal portfolio returns Journal of Business Economics and Management. 14. DOI: 10.3846/16111699.2012.703147 | 0.336 | |||
2009 | Bai YS, Nam D. An analysis of the impacts of corporate governance on the financial performance of the Chinese banks International Journal of Revenue Management. 3: 102-118. DOI: 10.1504/Ijrm.2009.023140 | 0.386 | |||
2007 | Gup BE, Nam D. Market microstructure: an analysis of bank-specific factors in the retail CD pricing International Journal of Revenue Management. 1: 262-275. DOI: 10.1504/Ijrm.2007.015519 | 0.615 | |||
2007 | Nam D, Gup BE, Kim J. The financial performance of retailers owning credit card banks International Journal of Revenue Management. 1: 129-140. DOI: 10.1504/Ijrm.2007.012695 | 0.632 | |||
2004 | Nam D. Do Foreign Investors Cause Noise in an Emerging Stock Market Journal of Emerging Market Finance. 3: 21-36. DOI: 10.1177/097265270400300102 | 0.302 | |||
2003 | Nam D, Gup BE. A Quantile‐Fitting Approach to Value at Risk for Options The Journal of Risk Finance. 5: 40-50. DOI: 10.1108/Eb022978 | 0.601 | |||
2001 | Gup BE, Nam D. Stock Buybacks, Corporate Performance, And Eva Journal of Applied Corporate Finance. 14: 99-110. DOI: 10.1111/J.1745-6622.2001.Tb00324.X | 0.631 | |||
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