Discussion Papers/Working Papers 1994

The department’s Discussion Paper (Working Paper) series was established in 1990, and is also online at the Social Science Research Network (SSRN) and at the Scandinavian Working Papers in Business Administration (S-WoBA)/Scandinavian Working Papers in Economics (S-WoPEc).

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No.

Author

Title

Info

1994/dp1

Leif K. Sandal
Stein I. Steinshamn

A general model for optimal management of renewable resources
PUBLISHED: Canadian Journal of Fisherie Aquatic Sciences, No.54, 1997

Abstract

1994/dp2

Eivind Stensholt

Circle Pictograms for Vote Vectors

Abstract

 

1994/wp1

Knut K. Aase

A model for loss of profits insurance
PUBLISHED: Stochastic Analysis and Related Topics, edited by H. Korezioglu, B. Øksendal and A.S. Ustünel (1995)

Abstract

1994/wp2

Øystein Gjerde
Frode Sættem

Option Initiation and Underlying Market Behavior: Evidence from Norway
PUBLISHED: The Journal of Futures Markets, Vol.15, No.8, pp. 881-899, 1995

Abstract

1994/wp3

Petter Bjerksund
Gunnar Stensland

A simple self-enforced dynamic contract for natural resource use: An adverse selection approach
(The ideas of this paper are further developed in WP 1997/3)

Abstract

1994/wp4

Thorkell Helgason
Kurt Jörnsten

Entropy of Proportional Matrix Apportionments

Summary

1994/wp5

Terje Lensberg

Does foreign R&D competition promote domestic R&D?
PUBLISHED: The Nordic Journal of Political Economy, Vol.25, No.2, pp. 75-85, 1999

Abstract

1994/wp6

Terje Lensberg

Rational fix-price dynamics
PUBLISHED: European Economic Review, No.41, pp. 163-186, 1997

Abstract

1994/wp7

Trond E. Olsen
Gunnar Stensland

On optimal control of income generating activities, and the value of flexible production design

Abstract

1994/wp8

Øystein Gjerde
Frode Sættem

Causal relations among stock returns and macroeconomic variables in a small, open economy
PUBLISHED: Journal of International Financial Markets, Institutions and Money, No.9, pp. 61-74 , 1999 - REVISED Version with a new title
(Original title: A vector autoregressive analysis of causal relations among stock returns and macroeconomic variables in an open economy)

Abstract