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Bankers, Markets & Investors n° 127 – Novembre-Décembre 2013

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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

  • 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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  • Rating Agencies and Financial Regulation : Thirty Years of Academic Research
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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

Availability: 100 In Stock

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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