Bankers, Markets & Investors n° 144 – Septembre-Octobre 2016
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Articles
- Relationships between Trading Volume, Stock Returns and Volatility: Evidence from the French Stock Market
- Violating United Nations Global Compact Principles: An Event Study
- Investigating a Fund Return Distribution when the Value of the Fund under Management is Irregularly Observed
- Intergenerational Risk Trading and the Innovative Role of Equity- Wage Swaps
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Articles
- Purchasing an Annuity: Now or Later? The Role of Interest Rates
- Does Corporate Social Performance Really Improve Corporate Financial Performance?
- Does the Market Value the Social Dimension? International Evidence
- When Financial Derivatives can be Applied to the Real Economy – The Case of Exotic Options in Corporate Finance
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- Risk-Based and Factor Investing
- Expected Credit Loss vs. Credit Value Adjustment: A Comparative Analysis
- Analyst Earnings Forecasts, Individual Investors’ Expectations and Trading Volume
- Changing Dynamic Relationships between Stock and Bond Markets in Crises
- Do Regulatory and Supervisory Reforms Affect European Bank Stability
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Sommaire
Articles
- How Risky are Low-Risk Hedge Funds?
- Hedge Funds Managerial Skill Revisited: A Quantile Regression Approach
- Multi-Asset Seasonality and Trend-Following Strategies
- New Insight on the Performance of Equity Long/short Investment Styles
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