Bankers, Markets and Investors
Bankers, Markets and Investors
Bankers, Markets & Investors, 140, Jan.-Feb. 2016

Special Issue Hedge Funds

Guest editor: Serge Darolles, Paris Dauphine University

  • New Insight on the Performance of Equity Long/short
    Investment Styles

    Boris FAYS, Georges HÜBNER, Marie LAMBERT
    Bankers, Markets & Investors, 140, January-February 2016, p. 34-45

  • Multi-Asset Seasonality and Trend-Following Strategies
    Nick BALTAS
    Bankers, Markets & Investors, 140, January-February 2016, p. 47-62

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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

    • Expected Credit Loss vs. Credit Value Adjustment
      Vivien Brunel, Stéphane Crépey and M. Jeanblanc

    • Analyst earnings forecasts, individual investors' expectations and trading volume: An experimental approach
      Thanh Huong Dinh, Jean-François Gajewski and Duc Khuong Nguyen

    • Changing Dynamic Relationships between Stock and Bond Markets in Crises: Evidence of a Flight to Quality
      Wafa Kammoun Masmoudi

    • Do Regulatory and Supervisory Reforms Affect European Bank Stability?: Further Evidence from Panel Dat
      Fredj Jawadi, Faten Ben Bouheni, Abdoulkarim Idi Cheffou and Hachmi Ben Hameur