Bankers, Markets & Investors n° 149 – Juillet-Août 2017

142,18 €


Type d'édition : Papier
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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


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




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Spillover effects pf stock markets volatility, and financial contagion : evidence from european sovereign debt crisis.

The determinants of the foreign currency heddging strategies.

An examination of the impact of the EU BAN on naked purchases of sovereign credit default swaps.

Focus On

  • The myth of CAC40 hight volatility in the 2010s
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  • Scrutinizing Portfolio Strategies And Asset Pricing Models: The French Case
  • Why Do Banks Hold Cash?
  • Pricing of Internet Companies: Financial and Non-financial Value Drivers

Focus On

  • Long Term Savings Performances: The 40 Year Track Record of Afer Funds
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