Value at risk: the new benchmark for managing financial risk P Jorion McGraw-Hill, 2007 | 9580* | 2007 |
Value at risk: the new benchmark for controlling market risk P Jorion (No Title), 1997 | 2794 | 1997 |
Value at risk: the new benchmark for controlling market risk P Jorion (No Title), 1997 | 2794 | 1997 |
Value at risk: the new benchmark for controlling market risk P Jorion (No Title), 1997 | 2737 | 1997 |
Value at risk: the new benchmark for controlling market risk P Jorion (No Title), 1997 | 2732 | 1997 |
Value at risk: the new benchmark for controlling market risk P Jorion (No Title), 1997 | 2732 | 1997 |
Value at risk: the new benchmark for controlling market risk P Jorion (No Title), 1997 | 2732 | 1997 |
Value at risk: the new benchmark for controlling market risk P Jorion (No Title), 1997 | 2732 | 1997 |
Value at risk: the new benchmark for controlling market risk P Jorion (No Title), 1997 | 2732 | 1997 |
The exchange-rate exposure of US multinationals P Jorion Journal of business, 331-345, 1990 | 2026 | 1990 |
Purchasing power parity in the long run N Abuaf, P Jorion The Journal of Finance 45 (1), 157-174, 1990 | 1446 | 1990 |
Financial risk manager handbook P Jorion John Wiley & Sons, 2007 | 1332* | 2007 |
Bayes-Stein estimation for portfolio analysis P Jorion Journal of Financial and Quantitative analysis 21 (3), 279-292, 1986 | 1281 | 1986 |
Predicting volatility in the foreign exchange market P Jorion The Journal of Finance 50 (2), 507-528, 1995 | 1135 | 1995 |
On jump processes in the foreign exchange and stock markets P Jorion The Review of Financial Studies 1 (4), 427-445, 1988 | 1023 | 1988 |
International portfolio diversification with estimation risk P Jorion Journal of Business, 259-278, 1985 | 1010 | 1985 |
Firm value and hedging: Evidence from US oil and gas producers Y Jin, P Jorion The journal of Finance 61 (2), 893-919, 2006 | 1004 | 2006 |
The pricing of exchange rate risk in the stock market P Jorion Journal of financial and quantitative analysis 26 (3), 363-376, 1991 | 981 | 1991 |
Risk management lessons from long‐term capital management P Jorion European financial management 6 (3), 277-300, 2000 | 936 | 2000 |
Risk2: Measuring the Risk in Value at Risk P Jorion Financial analysts journal 52 (6), 47-56, 1996 | 816 | 1996 |