MURAL - Maynooth University Research Archive Library



    Items where Author is "Rousseau, Fabrice"


    Group by: Item Type | Date | No Grouping
    Jump to: 2017 | 2016 | 2014 | 2013 | 2009 | 2007 | 2002 | 2001
    Number of items: 10.

    2017

    Rousseau, Fabrice (2017) Strategic Market Making and Risk Sharing. Journal of Mathematical Finance, 7. pp. 144-179. ISSN 2162- 2442

    2016

    Rousseau, Fabrice, Boco, Hervé and Germain, Laurent (2016) Heterogeneous Noisy Beliefs and Dynamic Competition in Financial Markets. Working Paper. Department of Economics, Finance and Accounting, Maynooth University. (Unpublished)

    Rousseau, Fabrice, Boco, Hervé and Germain, Laurent (2016) When Overconfident Traders Meet Feedback Traders. Working Paper. Department of Economics, Finance and Accounting, Maynooth University. (Unpublished)

    2014

    Rousseau, Fabrice, Boco, Hervé and Germain, Laurent (2014) Heterogeneous Beliefs and Imperfect Competition in Sequential Auction Markets. Working Paper. National University of Ireland Maynooth. (Unpublished)

    2013

    Rousseau, Fabrice, Germain, Laurent and Vanhems, Anne (2013) Irrational Market Makers. Working Paper. Department of Economics, Finance & Accounting, Maynooth University. (Unpublished)

    2009

    Rousseau, Fabrice and Parlaine, Sarah (2009) Optimal Initial Public Offering design with aftermarket trading. Working Paper. Department of Economics Finance & Accounting, Maynooth. (Unpublished)

    2007

    Rousseau, Fabrice, Germain, Laurent and Vahnems, Anne (2007) Irrational Financial Markets. UNSPECIFIED. (Unpublished)

    2002

    Flavin, Thomas, Hurley, Margaret and Rousseau, Fabrice (2002) Explaining Stock Market Correlation: A Gravity Model Approach. Working Paper. UNSPECIFIED. (Unpublished)

    Flavin, Thomas, Hurley, Margaret J. and Rousseau, Fabrice (2002) Explaining Stock Market Correlation: A Gravity Model Approach. The Manchester School, 70 (51). pp. 87-106.

    2001

    Flavin, Thomas, Hurley, Margaret J. and Rousseau, Fabrice (2001) Explaining Stock Market Correlation: A Gravity Model Approach. UNSPECIFIED. (Unpublished)

    This list was generated on Mon Dec 23 01:14:09 2024 UTC.