Items where Subject is "B- ECONOMIE ET FINANCE > B5- Finances"

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Number of items at this level: 43.

A

Abidi, Nordine (2016) Three Essays in Empirical Finance. Toulouse School of Economics (Toulouse).

Andronic, Liviu (2016) Shareholder Engagement and Corporate Behavior : The Case of Environmental and Social Issues. École doctorale Sciences de Gestion (Toulouse).

B

Baechler, Guillaume (2016) Investor Behaviour Facing Risk : Neurofinance and Financial Crises. École doctorale Sciences de Gestion (Toulouse).

Bertrandias, Laurent and Lapeyre, Alexandre (2015) Les mécanismes de compensation mis en oeuvre par les consommateurs face à la baisse perçue de leur pouvoir d'achat. Revue Française de Marketing (n° 252). pp. 23-39.

Bin, Fabrice (2013) Le consentement à l’impôt, une histoire tumultueuse : entretien avec François Jeanne. Sage.

Bisière, Christophe (1996) Effet richesse et effet information dans la structure par terme des taux d'intérêt. Finance, 17 (1). pp. 7-29.

Bisière, Christophe and Kamionka, Thierry (2000) Timing of Orders, Orders Aggressiveness and the Order Book in the Paris Bourse. Annales d'Économie et de Statistique (60). pp. 43-72.

Bisière, Christophe, Lai Tong, Charles and Peguin-Feissolle, Anne (1990) Prévision bayésienne et structure par terme des taux d'intérêt. Revue économique, 41 (5). pp. 817-838.

Bouattour, Mondher (2012) Efficience informationnelle, sous-réaction à l'information et effet de disposition : une approche expérimentale. École doctorale Sciences de Gestion (Toulouse).

Bouvard, Matthieu (2009) 3 essais en finance d'entreprise. École doctorale Sciences de Gestion (Toulouse).

Brossard, Olivier and Auvray, Tristan (2012) Too dispersed to monitor? Ownership dispersion, monitoring and the prediction of bank distress. Journal of Money, Credit and Banking, 44 (4).

C

Cao, Zhili (2013) Systemic risk measures, banking supervision and financial stability. École doctorale Sciences de Gestion (Toulouse).

Casamatta, Catherine (2003) Financing and Advising: Optimal Financial Contracts with Venture Capitalists. Journal of Finance, 58. pp. 2059-2085.

Casamatta, Catherine and Haritchabalet, Carole (2007) Experience, Screening and Syndication in Venture Capital Investments. Journal of Financial Intermediation, 16. pp. 368-398.

Célérier, Claire (2012) Three essays about inefficiencies in the financial industry. Toulouse School of Economics (Toulouse).

D

Declerck, Fany (2002) Le prix de l'immédiateté : le cas de la Bourse de Paris. Banque et Marchés, 57. pp. 31-45.

Ding, Haina (2014) Three Essays on Information Efficiency in Financial Markets and Product Market Interaction. École doctorale Sciences de Gestion (Toulouse).

Dow, James, Goldstein, Itay and Guembel, Alexander (2017) Incentives for Information Production in Markets where Prices Affect Real Investment. Journal of the European Economic Association, 15 (4). pp. 877-909.

G

Girotti, Mattia (2015) Essays on Banking. Toulouse School of Economics (Toulouse).

Guembel, Alexander (2004) Emerging Markets and Entry by Actively Managed Funds. Greek Economic Review, 23 (1).

Guembel, Alexander (2005) Herding in Delegated Portfolio Management: When is Comparative Performance Information Desirable? European Economic Review, 49 (3). pp. 599-626.

Guembel, Alexander (2005) Should Short-Term Speculators be Taxed, or Subsidised? Annals of Finance (1). pp. 327-348.

Guembel, Alexander (2005) Trading on Short-Term Information. Journal of Institutional and Theoretical Economics, 161 (3). pp. 428-452.

Gómez Portilla, Karoll (2015) Essays on Bond Return Predictability and Liquidity Risk. Toulouse School of Economics (Toulouse).

H

Heimann, Marco (2013) Experimental Studies on Moral Values in Finance : Windfall Gains, Socially Responsible Investment, and Compensation Plans. École doctorale Sciences de Gestion (Toulouse).

Hong, Jieying (2013) Essays on corporate finance theory and behavioral asset pricing. Toulouse School of Economics (Toulouse).

J

Jaballah, Jamil Sadok (2014) Essais sur l'impact des crises financières sur la réputation et le comportement des agences de notation. École doctorale Sciences de Gestion (Toulouse).

K

Khimich, Aleksandra (2014) Essays in competition policy. Toulouse School of Economics (Toulouse).

L

Labrouche, Geoffroy (2016) Stratégie d'innovation et capacités dynamiques relationnelles : le cas de l'industrie pharmaceutique. École doctorale Temps, Espaces, Sociétés, Cultures (Toulouse).

M

Manganelli, Anton Giulio (2013) Essays on cartels and reverse payments. Toulouse School of Economics (Toulouse).

Margaretic, Paula (2012) Probabilité de défaut, informations privées et publiques. École doctorale Sciences de Gestion (Toulouse).

Mengus, Eric (2014) Essays in international finance and macroeconomics. Toulouse School of Economics (Toulouse).

Merrouche, Ouarda Essays in Empirical Banking. [Accreditation to direct research (hdr)]

Minda, Alexandre and Nguyen, Huu Thanh Tam (2013) Les impacts quantitatifs verticaux de l’IDE d’exportation-plateforme : le cas des industries sous-traitantes du Vietnam. Revue d'économie industrielle, 142 (2).

Minda, Alexandre and Nguyen, Thanh Tam (2012) Les déterminants de l’investissement direct étranger d’exportation-plateforme : L’exemple du Vietnam. Revue Économique, 63 (1). pp. 69-92.

R

Rennert, Marc (2012) Essais sur la réglementation bancaire et le marché européen des obligations d’entreprise. École doctorale Sciences de Gestion (Toulouse).

Rossetto, Silvia and Van Bommel, Jos (2009) Endless Leverage Certificates. Journal of Banking and Finance, Vol. 33 (n° 8). pp. 1543-1553.

S

Sauvagnat, Julien (2012) Essays in corporate finance and competition policy. Toulouse School of Economics (Toulouse).

Selmane, Nassima (2016) CEO Stock Option Exercises : Private Information and Earnings Announcements. École doctorale Sciences de Gestion (Toulouse).

T

Tankov, Peter and Voltchkova, Ekaterina (2009) Jump-diffusion Models: a Practitioner's Guide. Bankers, Markets & Investors (n° 99). pp. 6-19.

U

Ugolini, Stefano (2014) Comment on: “Floating a “lifeboat”: The Banque de France and the crisis of 1889” by P.C. Hautcoeur, A. Riva, and E.N. White. Journal of Monetary Economics (65).

Ugolini, Stefano (2018) The origins of Swiss wealth management? Genevan private banking, 1800–1840. Financial History Review.

Y

Yu, Suxiu (2017) Essays on Corporate Finance, Security Design and Information Choice. Toulouse School of Economics (Toulouse).

This list was generated on Sat Apr 21 10:28:14 2018 CEST.