School of Business publications portal

Change in web publishing of Aalto publication series for Aalto University Business School from beginning of 2014

Aaltodoc publication archive
Information and pdf-files of Business School publications in the Aalto series are now located in the Aaltodoc publication archive (Aalto University institutional repository)

eDiss - School of Business dissertations


Search index term= Rahoitusmarkkinat : found 16 dissertations


Ahoniemi, Katja   Modeling and forecasting implied volatility
A-340
 2009
Kangas, Taisto  Suomen pankkikriisin alueellinen ulottuvuus : esseitä paikallisista toimijoista ja toteuttajista
A-281
 2006
Korhonen, Kristiina.   Foreign direct investment in a changing political environment : Finnish investment decisions in South Korea
A-265
 2005
Toivonen, Harri.  Modeling, valuation and risk management of commodity derivatives
A-262
 2005
Järvinen, Sami   Essays on Pricing Commodity Derivatives
A-238
 2004
Koivu, Matti   A Stochastic Optimization Approach to Financial Decision Making
A-234
 2004
Hoppu, Kari  Sijoitustuotteiden markkinoinnin sääntely
 2004
Kahra, Hannu  Consumption, Liquidity and Strategic Asset Allocation
A-221
 2003
Linnainmaa, Juhani  Essays on the Interface of Market Microstructure and Behavioral Finance
A-219
 2003
Kaustia, Markku  Essays on Investor Behavior and Psychological Reference Prices
A-213
 2003
Hyytinen, Ari  Essays on Bank Screening and Market Power in Loan Markets
A-182
 2000
Torstila, Sami  Essays on Gross Spreads in Initial Public Offerings
A-179
 2000
Suhonen, Antti  Three Essays on the Finnish Fixed Income Markets
A-146
 1999
Käppi, Jari  The Term Structure of Interest Rates and Fixed Income Securities
A-126
 1997
Ihamuotila, Mika  Corporate Ownership, Capital Structure and Investment. A Theory and Evidence
A-97
 1994
Leppiniemi, Jarmo  Rahoituspäätösten markkinaperusteinen informaatiomekanismi
A-44
 1985