Economics, Econometrics and Finance
Investors
100%
Pricing
83%
CAPM
70%
Asset Pricing
60%
Volatility
54%
Stock Price
50%
Capital Market Returns
40%
Cash Flow
36%
Investment Opportunity
35%
Risk Premium
30%
Portfolio Selection
30%
Financial Economics
30%
Equity Capital
20%
Credit Rating
20%
Inflation
20%
Price Volatility
20%
International Financial Market
20%
Foreign Exchange
20%
Risk Exchange
20%
Cost of Equity
20%
Corporate Finance
20%
State Space Model
20%
Real Interest Rate
15%
Private Information
15%
Discount Rate
11%
Profit
10%
Securities Market
10%
Mean Reversion
10%
Inflation Expectations
10%
Public Bond
10%
Corporate Bond
10%
Earnings Announcement
10%
Initial Public Offering
10%
Wealth
10%
Time Series
10%
Market Microstructure
10%
Hedging
10%
Exchange Rate
6%
Investment Strategies
5%
Stock Exchange
5%
Rational Expectation
5%
Factor Model
5%