- Out-of-Stock
Bankers, Markets & Investors n° 120 – Septembre-Octobre 2012
- Write a review
- 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
Sommaire
Articles
- 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: Evidence from the Options Markets
- Effi ciency in Islamic and Conventional Banks: A Comparative Analysis in the MENA Region
Focus On
- Corporate Governance of Banks and Risk Management by Stockholders
Thank you for the reviews ! Your comment is submitted
16 other products in the same category:
Sommaire
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
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
The Performance of Islamic Investment: Evidence from the Dow Jones Islamic Indexes
Volatility Strategies for Global and Country Specific European Investors
Problem Loans in the MENA Countries: Bank Specifi c Determinants and the Role of the Business and the Institutional Environment
Short Term Wealth Creation Sustainability of French Acquirers of Unlisted versus Listed Firms
Financial flexibility
Sommaire
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
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
The Performance of Islamic Investment: Evidence from the Dow Jones Islamic Indexes
Volatility Strategies for Global and Country Specific European Investors
Problem Loans in the MENA Countries: Bank Specifi c Determinants and the Role of the Business and the Institutional Environment
Short Term Wealth Creation Sustainability of French Acquirers of Unlisted versus Listed Firms
Financial flexibility