Bankers, Markets & Investors n° 147 – Mars Avril 2017 Agrandir

Bankers, Markets & Investors n° 147 – Mars Avril 2017

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Articles

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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147

Sommaire

Articles

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
  • ISSN version Imprimée 2101-9304

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Bankers, Markets & Investors n° 147 – Mars Avril 2017

Bankers, Markets & Investors n° 147 – Mars Avril 2017

Sommaire

Articles

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

Donner votre avis