Bankers, Markets & Investors n° 125 – Juillet-Aout 2013
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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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125
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New
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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
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Sommaire
Articles
Headquarters’ Control Capacity and the Choice of R&D Organizational Forms Abroad
Equity Market Comovements and Financial Contagion: a Study of Latin America and the United States
The Financial Volatility of Islamic Banks during the Subprime Crisis
What Drives Stock Return Commonalities?
Is there a “good” Measure of Market Risk during a Financial Crisis?
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An Empirical Analysis of the Benefits of Inflation- Linked Bonds A Review of Corporate Bond Indices Managing Sovereign Credit Risk Exposure in a Global Equity Portfolio Assessing Volatility Indicators: The Benefi t of Local Equity Volatility Indices Liquidity in European Equity ETFs: What Really Matters? Beneath the Sovereign Debt Iceberg
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