• Rupture de stock

Bankers, Markets & Investors n° 113 – Juillet-Aout 2011

142,50 €
TTC

Sommaire

Articles

  • Stress Testing with a Credit Risk Model
  • How Many Banks does it Take to Lend? Empirical Evidence from Europe
  • Diversification Portfolio Strategies and Financial Integration: Toward a European Capital Market?
  • Risk Management of CPPI Funds in Switching Regime Markets

Focus On

  • Why do Firms go private? Motivations, Performance and International Issues
Quantité
Add to wishlist
Rupture de stock

Sommaire

Articles

  • Stress Testing with a Credit Risk Model
  • How Many Banks does it Take to Lend? Empirical Evidence from Europe
  • Diversification Portfolio Strategies and Financial Integration: Toward a European Capital Market?
  • Risk Management of CPPI Funds in Switching Regime Markets

Focus On

  • Why do Firms go private? Motivations, Performance and International Issues
113
Nouveau

16 autres produits dans la même catégorie :

Bankers, Markets &...
  • Rupture de stock
Availability: Out of stock

Sommaire

Articles

  • Passive Investing before and after the Crisis: Investors’ views on exchange-traded funds and competing index products
  • Stock Volatility, Institutional Ownership and Analyst Coverage
  • The Contribution of Emerging Markets to International Diversification
  • VaR and Omega Measures for Hedge Funds Portfolios: A Copula Approach

Focus On

  • Microcredit Contracts
Bankers, Markets &...
  • Rupture de stock
Availability: Out of stock

Sommaire

Articles

  • CEO Compensation and Managerial Performance: An Analysis of US Non-Financial Firms
  • Calendar Spreads in Commodity Futures Markets, Risk Premium and the Convenience Yield
  • Hedge Fund Returns and Factor Models: A Cross Section Approach

Focus On

  • A New Classifi cation of Exotic Options
Bankers, Markets &...
  • Rupture de stock
Availability: Out of stock

Sommaire

Articles

  • SME Reliance on Bank Debt in France
  • Real Estate Brokers: Do they Infl ate Housing Prices?
  • Capital Structure Determinants and Convergence

Focus On

  • Bank Transparency: a Microeconomic and Macroeconomic Assessment

  • How do oil prices affect stock returns in GCC markets? An asymmetric cointegration approach
This website uses cookies to ensure you get the best experience on our website