WorldCat Identities

Feiger, George

Overview
Works: 14 works in 32 publications in 2 languages and 470 library holdings
Genres: Case studies 
Roles: Author, Editor
Classifications: HG3881, 332.042
Publication Timeline
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Most widely held works by George Feiger
International finance : text and cases by George Feiger( Book )

11 editions published between 1981 and 1982 in English and Undetermined and held by 229 WorldCat member libraries worldwide

Finance internationale by George Feiger( Book )

6 editions published in 1982 in French and Undetermined and held by 67 WorldCat member libraries worldwide

Currency option bonds, puts and calls on spot exchange and the hedging of contingent foreign earnings by George Feiger( Book )

1 edition published in 1978 in English and held by 4 WorldCat member libraries worldwide

Instructor's manual and notes to cases to accompany International finance : text and cases by George Feiger( Book )

2 editions published in 1981 in English and held by 3 WorldCat member libraries worldwide

Les prêts bancaires internationaux : analyse du risque de pays by George Feiger( Book )

2 editions published in 1980 in French and held by 2 WorldCat member libraries worldwide

Economic effects of a restriction on portfolio investments in foreign assets by George Feiger( Book )

1 edition published in 1978 in English and held by 1 WorldCat member library worldwide

Asymmetric information, input regulation and output regulation of service quality by George Feiger( Book )

1 edition published in 1979 in English and held by 1 WorldCat member library worldwide

Diverse anticipations, rational anticipations, ex ante efficiency and ex post efficiency by George Feiger( Book )

1 edition published in 1976 in English and held by 1 WorldCat member library worldwide

Divergent rational expectations equilibrium in a dynamic model of a futures market by George Feiger( Book )

1 edition published in 1977 in English and held by 1 WorldCat member library worldwide

Minimum quality standards through entry licensing, malpractice suits and equilibrium in a medical care market with asymmetric information by George Feiger( Book )

1 edition published in 1979 in English and held by 1 WorldCat member library worldwide

A consumption-oriented explanation of some special features of the international bond market by George Feiger( Book )

1 edition published in 1978 in English and held by 1 WorldCat member library worldwide

Welfare effects of changes in the variability of prices and of outputs by George Feiger( Book )

1 edition published in 1976 in English and held by 1 WorldCat member library worldwide

Economists' hubris : the case of equity asset management by Shahin Shojai( )

1 edition published in 2010 in English and held by 0 WorldCat member libraries worldwide

"In this, the fourth article in the economists' hubris paper series we look at the contributions of academic thought to the field of asset management. We find that while the theoretical aspects of the modern portfolio theory are valuable they offer little insight into how the asset management industry actually operates, how its executives are compensated, and how their performances are measured. We find that very few, if any, portfolio managers look for the efficiency frontier in their asset allocation processes, mainly because it is almost impossible to locate in reality, and base their decisions on a combination of gut feelings and analyst recommendations. We also find that the performance evaluation methodologies used are simply unable to provide investors with the necessary tools to compare portfolio managers' performances in any meaningful way. We suggest a novel way of evaluating manager performance which compares a manager against himself, as suggested by Lord Myners. Using the concept of inerti, an asset manager's end of period performance is compared to the performance of their portfolio assuming their initial portfolio had been held, without transactions, during this period. We believe that this will provide clients with a more reliable performance comparison tool and might prevent unnecessary trading of portfolios. Finally, given that the performance evaluation models simply fail in practice, we suggest that accusing investors who look for raw returns when deciding who to invest their assets with is simply unfair."--Abstract
Risk management in financial institutions( )

2 editions published in 2013 in English and held by 0 WorldCat member libraries worldwide

 
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Audience Level
0
Audience Level
1
  Kids General Special  
Audience level: 0.64 (from 0.10 for Risk manag ... to 0.95 for Les prêts ...)

Languages
English (23)

French (7)