Bankers, Markets & Investors n° 118 – Mai-Juin 2012
Sommaire
Articles
The Great Divergence: French Equity Premium is Lower and Riskier than the US since WWI
Is the KIID Sufficient to Associate Portfolios to Investor Profiles?
Momentum Investing over the Last Twenty Years in France, its Persistence and the Effects of the Financial Crisis
On the Performance of Socially Responsible Investing: Further Evidence
Focus On
Focus on... The Individual Investor
Reference
118
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New
16 other products in the same category:
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Articles
Option Pricing and Hedging in the Presence of Cross-Hedge Risk
Optimal Economic Capital and Investment Decisions for a Non-Life Insurance Company
Implied Distribution as a Function of the Volatility Smile
Focus On
Regulatory Governance Mechanisms in Banks
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Refi nancing and Shareholder Value: Covered Bond Issuances between 2007 and 2010
Evolution of the US Stock Market Risk Premium in Periods of Crisis
Investors Expectations and Preferences during the Financial Crisis and the Bursting Internet Bubble
Effi ciency in Islamic and Conventional Banks
Corporate Governance of Banks and Risk Management by Stockholders
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An arbitrage-free interest rate model consistent with economic constraints for Long-Term Asset Liability Management
The Influence of Variable Selection Methods on the Accuracy of Bankruptcy Prediction Models
Extendible Options with Modifiable Underlying Assets
The Perception of Dividends by Managers
Mobilizing Investor Networks behind Shareholder Activism in France
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Availability: Out of stock
Sommaire
Articles
Introducing a New Form of Volatility Index: the Cross-Sectional Volatility Index
The Link between Eurozone Sovereign Debt and CDS Prices
Performance of Socially Responsible Investment Funds against an Effi cient SRI Index: The Impact of Benchmark Choice when Evaluating Active Managers
Focus On
Shedding Light on Non-Financial Risks, A European Survey
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Availability: Out of stock
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