Bankers, Markets & Investors n° 132 – Septembre-Octobre 2014 Agrandir

Bankers, Markets & Investors n° 132 – Septembre-Octobre 2014

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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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132

Sommaire

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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Bankers, Markets & Investors n° 132 – Septembre-Octobre 2014

Bankers, Markets & Investors n° 132 – Septembre-Octobre 2014

Sommaire

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:

Donner votre avis