Microcredit Contracts [extrait BMI 110]
Version numérique PDF
Auteurs :Villa Christophe
Extrait de la revue BMI 110
BMI110-1100524
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Sommaire
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- Stress Testing with a Credit Risk Model
- How Many Banks does it Take to Lend? Empirical Evidence from Europe
- Diversification Portfolio Strategies and Financial Integration: Toward a European Capital Market?
- Risk Management of CPPI Funds in Switching Regime Markets
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Availability: Out of stock
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- Passive Investing before and after the Crisis: Investors’ views on exchange-traded funds and competing index products
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Availability: Out of stock
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- Capital Protected notes for Loss Averse Investors: a Counterintuitive Result
- The Cost of Accuracy in the Least Squares Monte Carlo Approach
- Success of Shareholder Activism: the French Case
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Availability: Out of stock
Availability: Out of stock
Availability: Out of stock
Availability: Out of stock
Availability: Out of stock
Availability: Out of stock
Availability: Out of stock
Availability: Out of stock
Availability: Out of stock
Availability: Out of stock
Sommaire
Articles
- Comparing the Value Relevance of Earnings and Book Value in IFRS and GAAP Standards
- Credit Risk Evaluation: The Econometric vs the Structural Approach
- The Fund Synthetic Index: An Alternative Benchmark for Mutual Funds
- Corporate Governance and Performance of French Listed Companies
Focus On
- Symmetric vs. Downside Risk Measures in Portfolio Decisions
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