risk term and equity premia under log normality with consumption externalities and without habit formation

Báo cáo y học: " Effect of Weight Reduction on Cardiovascular Risk Factors and CD34-positive Cells in Circulatio"

Báo cáo y học: " Effect of Weight Reduction on Cardiovascular Risk Factors and CD34-positive Cells in Circulatio"

Ngày tải lên : 25/10/2012, 10:51
... ischemic hind limbs in vivo Etiology of obesity is complex, involving interrelated biochemical, neurological physiological, genetic, environmental, cultural and psychological factors Adipose tissue ... correlation with changes in fat mass (r=0.86) and positive correlation with an increase in fat free mass (r=0.78) The level of intracellular water (ICW) correlated with fat mass and fat free ... Moreover, EPCs expanded from the obese subjects possessed reduced adhesive, migratory, and angiogenic capacity [22] and fail to respond to vascular endothelial growth factor Mice treated with obese...
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Appendix 5 Spontaneous Emission Term and Factors

Appendix 5 Spontaneous Emission Term and Factors

Ngày tải lên : 19/10/2013, 22:15
... emission spectrum by a Lorentzian distribution with a half-width Á! at half-maximum and using Copyright © 2004 Marcel Dekker, Inc Spontaneous Emission Term and Factors 301 an approximation that spontaneous ... f2 ð1 À f1 Þr ð!m Þ h nr ng "0 m2 !m ðA5:6Þ Accordingly, from Eqs (A5.5) and (A5.6), the spontaneous emission term and the mode gain are correlated by Rsp ð!m Þ ¼ nsp GGð!m Þ  ! f2 ð1 À f1 ... the active region, À is the confinement factor, and use has been made of Eq (A5.1) Replacing E in Eq (A5.2) by the average given by Eq (A5.3), and calculating the relative time variation in the...
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Practical industrial safety, risk assessment and shutdown systems, elsevier (2003)

Practical industrial safety, risk assessment and shutdown systems, elsevier (2003)

Ngày tải lên : 02/01/2014, 09:47
... lEC 61508 and a similar safety life cycle model will be used Hazards and risk reduction 2.1 Introduction In this chapter we are going to build up an understanding of hazards and risk and look ... the hazard and risk analysis Description of, and information relating to, the hazard and risk analysis Specification for the overall safety requirements in temns of the functions and safety integrity ... lEC standard for exact wording SLC phase no and name Concept Overall scope definitions Hazard and risk analysis Objectives Scope Inputs Outputs To develop a level of understanding of the EDO and...
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Tài liệu Principles for Sound Liquidity Risk Management and Supervision doc

Tài liệu Principles for Sound Liquidity Risk Management and Supervision doc

Ngày tải lên : 21/02/2014, 11:20
... as with other individuals with access to critical information, such as credit risk managers Moreover, liquidity risk and its potential interaction with other risks should be included in the risks ... liquidity risk Funding liquidity risk is the risk that the firm will not be able to meet efficiently both expected and unexpected current and future cash flow and collateral needs without affecting ... banks’ liquidity risks 139 Supervisors should collect and analyse information from banks at the frequency commensurate with the nature of the information requested, and the risk profile and significance...
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Tài liệu RISK MANAGEMENT AND FOOD SAFETY ppt

Tài liệu RISK MANAGEMENT AND FOOD SAFETY ppt

Ngày tải lên : 21/02/2014, 12:20
... namely risk assessment, risk management and risk communication That consultation recognised risk communication as an interactive process of exchange of information and opinion on risk among risk ... separation of risk management and risk assessment serves to ensure the scientific integrity of the risk assessment process and reduce any conflict of interest between risk assessment and risk management ... Safety and wholesomeness are related to a level of risk that society regards as reasonable in the context, and in comparison with other risks in everyday life A Codex standard is the minimum standard...
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Communicable disease risk assessment and interventions ppt

Communicable disease risk assessment and interventions ppt

Ngày tải lên : 05/03/2014, 12:20
... Health and Development (CAH), Immunizations, Vaccines and Biologicals (IVB) in the Family and Community Health (FCH) cluster; Injuries and Violence Prevention (VIP) and Nutrition for Health and ... preparation and handling practices are all associated with transmission Following the cyclone and flooding, an immediate risk of waterborne and foodborne diseases is significant Cholera, typhoid fever and ... Myanmar CD risk assessment and interventions: Cyclone Nargis, Myanmar, Updated May 27 2008 26 MALARIA Person with current fever or history of fever within the past 48 hours (with or without other...
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WORKING PAPER NO 13 CREDIT RISK TRANSFER AND FINANCIAL SECTOR PERFORMANCE Wolf Wagner & Ian Marsh potx

WORKING PAPER NO 13 CREDIT RISK TRANSFER AND FINANCIAL SECTOR PERFORMANCE Wolf Wagner & Ian Marsh potx

Ngày tải lên : 06/03/2014, 08:20
... Default and Liquidity Risk The Supervisory Approach: A Critique Depreciation Bias, Financial-Sector Fragility and Currency Risk The New Basel Accord and Developing Countries: Problems and Alternatives ... Closed Model Within a Dollar Exchange Regime Testing for Changing Persistence in U.S Treasury On/Off Spreads Under Weighted-Symmetric Estimation Features of a Realistic Banking System Within a Post-Keynesian ... of a Realistic Banking System Within a Post-Keynesian Stock-flow Consistent Model Credit -Risk Transfer and Financial Sector Performance Please address enquiries about the series to: The Administrator...
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Principles for Sound Liquidity Risk Management and Supervision potx

Principles for Sound Liquidity Risk Management and Supervision potx

Ngày tải lên : 06/03/2014, 09:20
... as with other individuals with access to critical information, such as credit risk managers Moreover, liquidity risk and its potential interaction with other risks should be included in the risks ... liquidity risk Funding liquidity risk is the risk that the firm will not be able to meet efficiently both expected and unexpected current and future cash flow and collateral needs without affecting ... banks’ liquidity risks 139 Supervisors should collect and analyse information from banks at the frequency commensurate with the nature of the information requested, and the risk profile and significance...
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Using Online Learning for At-Risk Students and Credit Recovery ppt

Using Online Learning for At-Risk Students and Credit Recovery ppt

Ngày tải lên : 15/03/2014, 04:20
... scalable and able to expand more easily than programs based entirely on brick -and- mortar classrooms ƒƒ Success stories and anecdotes regarding the benefits and value of online learning for both at -risk ... that are already underway Using Online Learning for At -Risk Students and Credit Recovery Online learning programs are designed to expand high-quality educational opportunities and to meet the ... students Program options for working with at -risk students and credit recovery The population of students needing credit recovery overlaps with the population of at -risk students, but the two groups...
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Báo cáo khoa học: Photosynthetic acclimation: State transitions and adjustment of photosystem stoichiometry – functional relationships between short-term and long-term light quality acclimation in plants ppt

Báo cáo khoa học: Photosynthetic acclimation: State transitions and adjustment of photosystem stoichiometry – functional relationships between short-term and long-term light quality acclimation in plants ppt

Ngày tải lên : 16/03/2014, 06:20
... various abiotic and biotic influences, light is highly variable in its intensity and its quality on both a shortterm timescale (in the range of seconds to minutes) and a long -term timescale (in ... of a plant within an ecosystem, the density of the plant stand or, in case of algae, water depth and transparency [3–6] In the last few years many advances in our molecular understanding of acclimation ... relationships of state transitions and LTR Both short -term and long -term acclimation responses are controlled by the same redox signal in the thylakoid membrane and work in the same functional direction...
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The Due Diligence Handbook: Corporate Governance, Risk Management and Business Planning pptx

The Due Diligence Handbook: Corporate Governance, Risk Management and Business Planning pptx

Ngày tải lên : 16/03/2014, 17:20
... things, public companies and their compliance with federal and state securities laws, mergers and acquisitions, private equity transactions, and business entity formation and capitalisation Laura ... legal and financial course of action, first designed to avoid litigation and risk, second to determine the value, price and risk of a transaction, and third to confirm various facts, data and representations’ ... Consulting Ministry of Information Technology The Ministry of Finance Memorandum of Understanding Metropolitan Police Service Measurement Reporting and Verification The Monopolies and Restrictive Trade...
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Financing Pulp Mills An Appraisal of Risk Assessment and Safeguard Procedures potx

Financing Pulp Mills An Appraisal of Risk Assessment and Safeguard Procedures potx

Ngày tải lên : 18/03/2014, 02:20
... ensuring minimum standards are effectively upheld in new projects, and another focusing on raising standards in existing projects To better understand to how pulp projects obtain funding, and to what ... Institutions and Forestry Investment began working to strengthen the financial due diligence practices, risk assessment techniques, and regulatory reporting standards associated with forestry and plantation ... forest/plantation area, and without damaging the ecology of the forest and the livelihood of those that depend on this forest area’ Sustainability is a complex issue however, and we refer readers...
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WORKING PAPER SERIES NO 1457 / AUGUST 2012: EXCESSIVE BANK RISK TAKING AND MONETARY POLICY pptx

WORKING PAPER SERIES NO 1457 / AUGUST 2012: EXCESSIVE BANK RISK TAKING AND MONETARY POLICY pptx

Ngày tải lên : 22/03/2014, 21:20
... this are Angeloni and Faia (2009), Angeloni, Faia and Lo Duca (2010) and Gertler and Karadi (2011) who construct macro models with banks that decide upon riskiness However, all risk taking occurs ... lowers credit supply without improving risk taking Using statistical terminology, the choice of an optimal capital requirement involves weighing type I and type II errors: the risk that goodprofile ... monetary policy and leverage of Adrian and Shin (2008, 2009, 2010a,b), Angeloni, Faia and Lo Duca (2010) and Dell’Ariccia, Laeven and Marquez (2010) levered bank has less to lose from risky loans...
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BANK GROUP CLIMATE RISK MANAGEMENT AND ADAPTATION STRATEGY (CRMA)* pot

BANK GROUP CLIMATE RISK MANAGEMENT AND ADAPTATION STRATEGY (CRMA)* pot

Ngày tải lên : 22/03/2014, 21:20
... climate risks Many countries already have policies and plans to manage risks such as financial risk, health risks, agricultural risks and energy supply risks Responses to climate variability and ... Information Understanding Skills Methods Figure 2.3: Typical Framework and Methodology for Mainstreaming Climate Risk Management and Adaptation (Adapted from ADB, 2005) 2.3 Challenges and Opportunities ... analysis and mainstreaming adaptation measures in the project design and as such climate risk management and adaptation would become a standard feature and a requirement in Bank project designs and...
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Rating Based Modeling of Credit Risk: Theory and Application of Migration Matrices doc

Rating Based Modeling of Credit Risk: Theory and Application of Migration Matrices doc

Ngày tải lên : 22/03/2014, 23:20
... details on discrimant analysis and its application to credit risk modeling, we refer to, e.g., Altman and Saunders (1998) 2.4 Logit and Probit Models 21 2.4 Logit and Probit Models In this section ... Altman and Narayanan (1997), Altman and Saunders (1998), and Balcaena and Oogh (2006) The latter provide a detailed survey of credit risk measurement approaches Also, the major methodologies ... (2002), Bluhm et al (2003), Bluhm and Overbeck (2007b), Cossin and Pirotte (2001), Duffie and Singleton (2003), Fabozzi (2006a,b), Lando (2004), Saunders and Allen (2002), and Sch¨nbucher (2003), just...
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Public risk for private gain? The public audit implications of risk transfer and private finance pptx

Public risk for private gain? The public audit implications of risk transfer and private finance pptx

Ngày tải lên : 23/03/2014, 04:20
... data: risk, risk premium and availability fee No quantitative data published Post contract data: risk , risk premium and availability fee A comparison of Accenture costs with industry and outsourcing ... between the premium and risk transferred and to evaluate whether subsequent changes in risk transfer and risk premiums are reflected in the annual charges paid by the public sector under PFI deals ... post-contractual changes had been undertaken by the NAO with respect to risk transfer, risk premiums and annual debt charges From the data available to understand the implications of current financial...
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Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies pdf

Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies pdf

Ngày tải lên : 29/03/2014, 13:20
... Riccardo Rebonato Risk Management and Analysis vol 1: Measuring and Modelling Financial Risk Carol Alexander (ed) Risk Management and Analysis vol 2: New Markets and Products Carol Alexander (ed) Interest-Rate ... Definition and Terminology 15.2.2 Pricing and Hedging Caps, Floors and Collars 15.2.3 Market Quotes 15.2.4 Uses of Caps, Floors and Collars 15.3 Swaptions 15.3.1 Definition and Terminology 15.3.2 ... Contents 11 Forwards and Futures 11.1 Definition 11.2 Terminology, Conventions and Market Quotes 11.2.1 Terminology and Conventions 11.2.2 Quotes 11.3 Margin Requirements and the Role of the Clearing...
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THE EXPOSURE OF YOUTH TO UNWANTED SEXUAL MATERIAL ON THE INTERNET: A National Survey of Risk, Impact, and Prevention pdf

THE EXPOSURE OF YOUTH TO UNWANTED SEXUAL MATERIAL ON THE INTERNET: A National Survey of Risk, Impact, and Prevention pdf

Ngày tải lên : 29/03/2014, 19:20
... filtering and blocking software) and incidents of exposure Longitudinal and qualitative research, along with the use of standardized measures, will be useful to tap into these details and help ... the Internet, and even more so, children and the Internet, is a very new undertaking Procedures for inquiring about this realm of activity have not been standardized or validated, and this study ... sex with someone the youth never met in person, and going to x-rated sites on purpose Youth with a composite value two standard deviations above the mean or higher were considered high online risk...
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P4: ETF Funds: Latest Developments for Risk Management and Investment pot

P4: ETF Funds: Latest Developments for Risk Management and Investment pot

Ngày tải lên : 30/03/2014, 14:20
... objectives and circumstances, including the possible risks and benefits of entering into such transaction For general information regarding the nature and risks of the proposed transaction and types ... ratio (TER) for equity ETFs listed in the US is 49 bps versus 75 bps for domestic equity index funds and 134 bps for active domestic equity funds* Securities Lending • ETF units and underlying assets ... ( ETNs ) Features and Risks Features Risks No Tracking Error Senior Unsecured Credit Exposure (short -term due to the ability to redeem) Transparency Less liquidity outside of underlying’s trading...
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Risk Management and Shareholders’ Value in Banking pdf

Risk Management and Shareholders’ Value in Banking pdf

Ngày tải lên : 30/03/2014, 15:20
... Congress Cataloging-in-Publication Data Sironi, Andrea Risk management and shareholders’ value in banking : from risk measurement models to capital allocation policies / Andrea Sironi and Andrea Resti ... BIS in the mid-to-late 1990’s – first with respect to market risk in 1995 and then dealing with credit risk, and to a lesser extent operational risk, in 1999 with the presentation of the initial ... on markets and intermediaries (e.g., limiting the banks’ geographic and functional scope of operation) and require banks to develop a thorough and comprehensive understanding of the risks they...
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