Option Pricing
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EditorBoard:
Manuscript Due:
June 28th, 2022
Publication Date:
August 2022
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Financial Statistics
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EditorBoard:
Manuscript Due:
August 7th, 2020
Publication Date:
October 2020 November 2020
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Actuarial Science and Finance
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Manuscript Due:
June 26th, 2019 August 30th, 2019
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August 2019 November 2019
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Financial Econometrics
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June 18th, 2019
Publication Date:
August 2019
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Cost–Benefit Analysis
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September 12th, 2018
Publication Date:
November 2018
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Actuarial Science and Finance
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February 28th, 2018 March 26th, 2018
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April 2018 May 2018
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Stock Valuation
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December 28th, 2017
Publication Date:
February 2018
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Finance and Portfolio Management
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Manuscript Due:
June 30th, 2017 July 27th, 2017
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August 2017 September 2017
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Option Pricing
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January 31st, 2017 March 31st, 2017
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March 2017 May 2017
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Convergence and Divergence of Capital Markets
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Prof. Ivan IvanovDr. Boryana BogdanovaSofia University "St. Kl. Ohridski", The Republic of Bulgaria
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November 25th, 2015
Publication Date:
January 2016 February 2016
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Stochastic Dominance
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Manuscript Due:
October 27th, 2015
Publication Date:
December 2015 February, 2016
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Density Estimation in Finance
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Prof. Tony S. Wirjanto, University of Waterloo, Canada
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September 29th, 2015
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November 2015
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Option Pricing Research
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Prof. Moawia Alghalith,
University of the West Indies, Trinidad-and-Tobago
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Manuscript Due:
November 8th, 2013
Publication Date:
January 2014
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Corporate Finance
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Prof. Yong H. Kim, University of Cincinnati, USA
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Manuscript Due:
July 29th, 2013 August 27th, 2013
Publication Date:
September 2013 October 2013
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Multi-Agent Based Modelling in Finance
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Guest Editor:
Dr. Fariba Hashemi; Applied Economics Research, Switzerland
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February 5th, 2013
Publication Date:
April, 2013
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Forecasting and Portfolio Construction
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Dr. Stephen Ellwood Satchell, Sydney University, Australia
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January 25th, 2013
Publication Date:
March, 2013
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