Affichage: 51 - 60 sur 72 résultats.
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The determinants of government bond yield spreads in the EMU area : a panel data analysis(2016) Louvain School of Management
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The idiosyncratic component of stock returns and its relationship with macroeconomic variables in the U.S. market(2017) Louvain School of Management
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Bitcoin as a financial asset : impact of Bitcoin on a well-diversified European portfolio(2018) Louvain School of Management — Louvain School of Management
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Portfolio diversification using cryptocurrencies: An empirical study of 4 cryptocurrencies between 2014 and 2021(2022) Louvain School of Management
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The new retail investors' generation emerged during the pandemic(2022) Louvain School of Management
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The COVID-19 and Stock Markets returns: evidence from the Europe, USA and Japan(2022) Louvain School of Management
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What are the impacts of crises, such as the COVID-19 crisis, on the different types of Hedge Funds?(2022) Louvain School of Management
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The effects of deviations from Taylor rule-based policy on the U.S. stock market(2022) Louvain School of Management