Bankers, Markets & Investors n° 128 - Janvier-Février 2014
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Articles
- Editor’s letter
- HFT and Market Quality
- On the Financial Performance of Socially Responsible Investments
- Pension Reform in The Netherlands: Attractive Options for other Countries?
- French Pensions Framework in an International Perspective
- Optimal Asset Allocation for Sovereign Wealth Funds: Theory and Practice
- Asset Class Liquidity Risk
128
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Articles
- Is Rating Associated with Better Retail Funds’ Performance in Changing Market Conditions?
- Estimation Risk versus Optimality Risk:
- The Trading Performance of Individual Investors
- Cash Holdings, Working Capital and Firm Value:
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- Testing the Profitability of Contrarian Trading Strategies Based on the Overreaction Hypothesis
- Evaluating UCITS Compliant Hedge Fund Performance
- Do Cooperative Banks Have Greater Market Power?
- In which Media are Analysts’ Recommendations most Followed?
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- Alpha or not Alpha: The Case of the Hedge Fund Industry
- What Happens “Before the Birth” and “After the Death” of a Hedge Fund?
- Hedge Fund Managers: Luck and Dynamic Assessment
- A Time-Varying Performance Evaluation of Hedge Fund Strategies through Aggregation
- Detecting Early Warnings for Hedge Fund Contagion
- Edito
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