Bankers, Markets & Investors n° 149 – Juillet-Août 2017
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CONTENTS
2 The Cross-Border Strategies of European Banks: Effects on Performance 2004–12
Jessy TROUDART, Research Teaching Fellow at IAE La Rochelle, CEREGE La Rochelle, France
Eric LAMARQUE, Professor at IAE Paris-Sorbonne, GREGOR, France
25 CSR Performance, Dividend Payout and Governance Mechanisms
Guillaume PIJOURLET, Université Clermont Auvergne, Université d’Auvergne, EUM, CRCGM EA 3849, Clermont-Ferrand, France
40 Bank Acquisitiveness and Bailouts: Evidence on European Banks during the 2008 Financial Crisis
Saqib AZIZ, Rennes School of Business, Rennes, France
Jean-Jacques LILTI, Université de Rennes 1 (IGR-IAE de Rennes), Rennes, France
Khalid EL BADRAOUI, Ibn Zohr University, ENCG – Agadir, Morocco ; CREM - UMR CNRS 6211, Rennes, France
FOCUS ON
62 Financial Sanctions in France – 2004-2016
Laure DE BATZ, Laboratory of Excellence for Financial Regulation (LabEx-ReFi), University Paris 1 Panthéon- Sorbonne (CES); Institute of Economic Studies, Faculty of Social Sciences, Charles University of Prague
Fiche technique
- ISSN version Imprimée
- 2101-9304