Items where Author is "Yadav, P K"

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Monograph

Merrik, Jr J J, Naik, N and Yadav, P K (2002) Strategic trading behavior and price distortion in a manipulated market: an anatomy of a squeeze. Working Paper. London Business School Centre for Hedge Fund Research and Education Working Paper.

Naik, N and Yadav, P K (2001) Risk management with derivatives by dealers and market quality in government bond markets. Working Paper. London Business School IFA Working Paper.

Naik, N and Yadav, P K (2000) Do market intermediaries hedge their risk exposure with derivatives?: evidence from UK Government bond dealers' spot and derivatives positions. Working Paper. London Business School IFA Working Paper.

Naik, N and Yadav, P K (1999) Effects of market reform on trading costs of public investors: evidence from the London Stock Exchange. Working Paper. London Business School IFA Working Paper.

This list was generated on Sat Dec 21 01:15:50 2024 GMT.