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Bankers, Markets & Investors n° 110 – Janvier-Février 2011

€142.50
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Articles

  • Passive Investing before and after the Crisis: Investors’ views on exchange-traded funds and competing index products
  • Stock Volatility, Institutional Ownership and Analyst Coverage
  • The Contribution of Emerging Markets to International Diversification
  • VaR and Omega Measures for Hedge Funds Portfolios: A Copula Approach

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  • Microcredit Contracts
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Sommaire

Articles

  • Passive Investing before and after the Crisis: Investors’ views on exchange-traded funds and competing index products
  • Stock Volatility, Institutional Ownership and Analyst Coverage
  • The Contribution of Emerging Markets to International Diversification
  • VaR and Omega Measures for Hedge Funds Portfolios: A Copula Approach

Focus On

  • Microcredit Contracts
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Bankers, Markets &...
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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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