Items where Author is "Brown, G W"
Bartram, S and Brown, G W and Minton, B (2010) Resolving the exposure puzzle: the many facets of exchange rate exposure. Journal of Financial Economics, 95 (2). pp. 148-173. ISSN 0304-405X
Bartram, S and Brown, G W and Fehle, F R (2009) International evidence on financial derivatives usage. Financial Management, 38 (1). pp. 185-206. ISSN 0046-3892
Bartram, S and Brown, G W and Hund, J E (2007) Estimating systemic risk in the international financial system. Journal of Financial Economics, 86 (3). pp. 835-869. ISSN 0304-405X
Bartram, S and Brown, G W and Hund, J E (2007) Estimating systemic risk in the international financial system. In: European Central Bank (ed): "Risk Measurement and Systemic Risk", (European Central Bank), 2007, Proceedings of the Fourth Joint Central Bank Conference 8-9 November 2005, in Co-operation with the Committee on the Global Financial System :. unknown, N/A, pp. 210-218.