Centre for Risk Research (CRR) Our people Research projects Publications Industry Consultancy Projects News and Events Centre for Risk Research (CRR) Publications Explore our research to find out more about our interdisciplinary approach to the analysis and management of risk. An exploratory study of heuristics for anticipating prices Timo Ehrig, Konstantinos Katsikopoulos, Jurgen Jost & Gerd Gigerenzer, 2021, Management Decision, 1750-1761 DOI: 10.1108/MD-05-2021-0619 Type: article Special issue on feature engineering editorial Tim Verdonck, Bart Baesens, Maria Oskarsdottir & Seppe Vanden Broucke, 2021, Machine Learning DOI: 10.1007/s10994-021-06042-2 Type: letterEditorial Credit composition and housing price dynamics: a disaggregation approach Kun Duan, Mamata Parhi & Simon Wolfe, 2021, The European Journal of Finance (REJF) DOI: 10.1080/1351847X.2021.1959366 Type: article Introducing systematic simplicity to manage decisions Christopher Chapman, 2021 Type: book Why do disequilibria exist? An ontological study of Kirznerian economics 2021, Cambridge Journal of Economics, 45(4), 833-856 DOI: 10.1093/cje/beab015 Type: article Can graphical displays really improve the communication of financial risk information? Danni Zhang, Ian Dawson, Ming-Chien Sung & Tiejun Ma, 2021 Type: conference Using a 3D interactive model of the ‘IPAT’ equation to communicate what can drive environment risks Ian Dawson & Danni Zhang, 2021 Type: conference Pagination Previous page Previous … Page 10 Page 11 Page 12 Page 13 Page 14 Page 15 … Next page Next