• Rupture de stock

Bankers, Markets & Investors n° 141 – Mars-Avril 2016

150,00 €
TTC
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
Quantité
Add to wishlist
Rupture de stock

Sommaire

Articles

  • Risk-Based and Factor Investing
  • Expected Credit Loss vs. Credit Value Adjustment: A Comparative Analysis
  • Analyst Earnings Forecasts, Individual Investors’ Expectations and Trading Volume: An Experimental Approach
  • Changing Dynamic Relationships between Stock and Bond Markets in Crises: Evidence of a Flight to Quality
  • Do Regulatory and Supervisory Reforms Affect European Bank Stability: Further Evidence from Panel Data
141
Nouveau

16 autres produits dans la même catégorie :

This website uses cookies to ensure you get the best experience on our website