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Bankers, Markets & Investors n° 120 – Septembre-Octobre 2012

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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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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
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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
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