Bankers, Markets and Investors
Bankers, Markets and Investors
Bankers, Markets & Investors, 136-137, May-June 2015

Guest editor : Sabri BOUBAKER, Groupe ESC Troyes (Champagne
School of Management) Troyes, France, and IRG, Paris Est, Créteil, France


Articles

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Bankers, Markets and Investors aims at publishing short and innovative research articles in the areas of banking, financial markets and investment with relevant practical application for investors.
The purpose of the journal is to create a bridge between academics and professionals, by publishing articles that have direct relevance to those working in the investment field...

Managing Editor
of BMI : Marie Brière





Editorial Board I Strategic comitee


    N° 139 - November-December 2015
  • Currency Turnmoil in an Unbalanced World Economy
    Michel Aglietta (Centre d’Études Prospectives et d’Informations Internationales - CEPII) and Virginie Coudert (Banque de France, Direction de la Stabilité Financière ; EconomiX, Université de Paris-Ouest Nanterre la Défense ; CEPII)
  • Market Efficiency and Crises: Don't Throw the Baby out with the Bathwater
    Ariane Szafarz (Professor of Finance, Université Libre de Bruxelles, Solvay Brussels School of Economics and Management)
  • Ownership concentration, bord structure and credit ISK
    Rim Boussaada (University of Tunis, High Institute of Management) and Daniel Labaronne (LARE-efi, University of Montesquieu Bordeaux IV)
  • Mass Customization in Life-Cycle Investing Strategies with Income Risk
    Romain Deguest (senior research engineer at EDHEC-Risk Institute), Lionel Martellini (professor of finance at EDHEC Business School, the scientific director of EDHEC-Risk Institute and a senior scientific advisor at ERI Scientific Beta) and Vincent Milhau (deputy scientific director of EDHEC-Risk Institute)