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Kevin Dowd
B:1958 Biblio: Prof. of Financial Risk Management; Tätig an der Sheffield Hallam Univ. ; Independent Inst., Oakland, Calif. and Yorkshire Bank, USA; tätig an der Business School, Univ. Nottingham, UK; tätig am Pensions Inst., Cass Business School in London, UK
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Kevin Dowd is a British economist, having research interests in private money and free banking, monetary systems and macroeconomics, financial risk measurement and management, risk disclosure, political economy and policy analysis, and pensions and mortality modelling. As of this date, he is a partner in Cobden Partners based in London, and Professor of Finance and Economics at Durham University Business School. (Source: DBPedia)
Q16209302
Publishing years
1
2024
1
2023
2
2022
2
2021
3
2020
5
2019
6
2018
5
2017
5
2016
4
2015
4
2014
5
2013
4
2012
7
2011
8
2010
5
2009
20
2008
12
2007
16
2006
6
2005
1
2004
4
2003
3
2002
7
2001
7
2000
3
1999
10
1998
2
1997
7
1996
2
1995
6
1994
7
1993
7
1992
8
1991
3
1990
3
1989
2
1988
1
1986
Series
Discussion paper / The Pensions Institute, Cass Business School, City University (41)
Department of Economics discussion paper series (5)
CREDIT research paper (4)
UCD Geary Institute discussion paper series (3)
Hobart paper (2)
Foundations of the market economy series (2)
The new institutional economics: financial institutions in transition, [15th International Seminar on the New Institutional Economics, June 4 - 6, 1997, Wallerfangen, Germany]. Ed. by Jürgen Eichberger (1)
Policy paper (1)
Current issues in economics (1)
Monetary reform in ex-communist countries (1)
Controversy: should we regulate the financial system? (1)
Wiley series in frontiers in finance (1)
Independent studies in political economy (1)
IEA discussion paper (1)
Discussion paper series / LSE Financial Markets Group (1)
Discussion paper / LSE Financial Markets Group (1)
Research technical papers (1)
CREATES research paper (1)
Special issue on financial markets, institutions and policy (1)