Bankers, Markets & Investors n° 123 – Mars-Avril 2013
Sommaire
Articles
Holder-Extendible Options with Modifiable Underlying-Assets
Transparency and Market Quality
CSR and Market Valuation
Explaining the Stock Market’s Reaction to Macroeconomic Announcements
Focus On
Rating Agencies and Financial Regulation : Thirty Years of Academic Research
Reference
123
Condition
New
16 other products in the same category:
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Sommaire
Articles
Determinants of the Financial Performance of Major European Banks
Market Risk Measurement Models: Estimation of Volatility and Correlation
Stock Index Futures Dynamics : Evidence from France
Herding in French Stock Markets: Empirical Evidence from Equity Mutual Funds
Microfinance Institutions Ratings: The Influence of Board Characteristics
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Do Institutional Investors Improve Stock Liquidity? Changes in the Number of Reported Business Segments and Earnings Management Ownership, Technical Effi ciency and Cost of Bad Loans: Evidence from the Tunisian Banking Industry Strategic Management of Private Benefi ts in a Contingent Claim Framework Bank capital and Risk-Taking: Old and New Perspectives from the Crisis
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Availability: 100 In Stock
Sommaire
Articles
New Challenges of ESG Issues
Why are Mutual Fund Alphas Systematically Negative?
Name Changes and Equity Mutual Fund Returns
Does Corporate Governance Affect Stock Liquidity in the Tunisian Stock Market?
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Availability: Out of stock
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