Bankers, Markets & Investors n° 136-137 – Mai-Juin-Juillet-Aout 2015
136_137
Data sheet
- ISSN version Imprimée
- 2101-9304
New
16 other products in the same category:
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Sommaire
Articles
- Could French and Eurozone Savers Invest More in Risky Assets?
- Introducing Expected Returns into Risk Parity Portfolios: A New Framework for Asset Allocation
- Robust Portfolio Protection: A Scenarios-based Approach
Focus On
- Financial Regulations and Procyclicality
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Sommaire
Articles
- Ownership Concentration, Board Structure and Credit Risk: The Case of MENA Banks
- Market Efficiency and Crises: Don’t Throw the Baby out with the Bathwater
- Mass Customization in Life-Cycle Investing Strategies with Income Risk
Focus On
- Currency Turmoil in an Unbalanced World Economy
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Can Large Long-term Investors Capture Illiquidity Premiums?
- Long-term Portfolio Allocation Based on Long-term Macro Forecasts
- Projecting Pension Outcomes at Retirement – Towards an Industry Reporting Standard
- Economic-financial Literacy and (Sustainable) Pension Reforms:
- Cyclicality and Term Structure of Value-at-Risk within a Threshold Autoregression Setup
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Sommaire
Articles
- French Retail Financial Structured Products: A Typology and Assessment of Their Fair Pricing
- Conflict of Interest between Investors and Financial Advisers
- Reforming the Structures of the EU Banking Sector: Risks and Challenges
- Managerial Myopia: Do Managers Privilege Short-term Decisions or Value Creation?
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