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Features

Corporate Governance, International Cross-Listing and Home Bias
An explanation for price differences in the shares of cross-listed Canadian firms...by Michael R. King and Dan Segal

How Cost-Effective Are Canadian IPO Markets?
Listing at home can be just as beneficial as listing down south...by Maher Kooli and Jean-Marc Suret

The Variability of Management Expenses Across Canadian Mutual Funds
How much sway does the agency relationship hold over mutual fund fees?...by Neil Longley

Special Report

Mind The Gap: The 2003 Risk Management Conference

Reducing governance risk...by William Robson

The perfect pension storm...by Martin Leroux

Where's the risk? ...by Harindra de Silva

Lessons on hedging...by Alan White

Derivatives and credit risk...by Richard Gillingham

Meaningful risk measures...by Peter Christoffersen

Risk and investor behaviour ...by Harvinder Kalirai

The equity premium and risk...by Richard Guay

The "currency effect"...by Dori Levanoni

Old wine in a new bottle?...by Paul Halpern

Place your bets...by Michael Brooks

The pitfalls of making promises...by Steven Bonnar

In praise of transition...by Mark Keleher

Leveraged Canadian Stock Portfolios: Long-Run Effects on Wealth and Risk
Maintaining a highly leveraged portfolio can be hazardous...by Dale Domian and Marie Racine

Value and Wealth Creation in Canada
Despite progress, there's still room to improve corporate performanceby Vijay Jog and Shantanu Dutta

 

Winter 2003

 

Departments

Editorial
Saving (for) the future.

Field Notes
The risk-reducing limits of diversification...by Nabil Khoury

 

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