Bankers, Markets & Investors n° 126 – Septembre-Octobre 2013
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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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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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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