Bankers, Markets & Investors n° 170 September 2022
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n° 170 September 2022
CONTENTS
Banking development and corporate innovation
Jihene EL OUAKDI, University of Manouba, Higher School of Digital Economy, GEF2A Lab
Zied FTITI, EDC Paris Business School, OCRE Laboratory
Dorra GUERMAZI, University of Manouba, Higher School of Digital Economy
Khira ALIMI, University of Gafsa
Waël LOUHICHI, ESSCA School of Management
The dynamics of contagion and behavior of the euro area sovereign bond markets
Oussama KCHAOU, Assistant Professor in Finance, Brest Business School, Brest, France; LEFMI, University of
Picardie Jules Verne, Amiens, France
Salim BEN SASSI, Associate Professor in Quantitative Methods, Institut Supérieur de Gestion, University of Tunis;
LAREQUAD FSEG de Tunis, University of Tunis El Manar, Tunisia
Makram BELALLAH, Professor in Finance, Faculty of Economics and Management, University of Picardie Jules
Verne, Pôle universitaire Cathédrale, Amiens, France; LEFMI, University of Picardie Jules Verne, Amiens, France
CSR disclosure and information asymmetry: the role of financial reporting quality
Jean-Laurent VIVIANI, Professeur à l’Université Rennes 1, CNRS, CREM UMR 6211, Rennes
Lionel TOUCHAIS, Professeur à l’Université Rennes 1, CNRS, CREM UMR 6211, Rennes
Nguyen LAN PHUONG, University of Economics, The University of Danang, Da Nang, Vietnam
Dynamic interactions between the bitcoin price index and widely traded financial assets: evidence from the recent covid-19 crisis
Wafa KAMMOUN MASMOUDI, University of Carthage, Institut des Hautes Etudes Commerciales de Carthage,
Tunisia, Laboratoire d’Économie et de Finance Appliquée (LEFA)
Taher HAMZA, EM Normandie Business School, Metis Lab, France,
PRESTIGE Labo, IHEC- University of Carthage, Tunisia
Wael LOUICHI, ESSCA School of Management
Fiche technique
- ISSN version Imprimée
- 2101-9304