The link between financial research circles and finance, banking, and research professionals
Submit an article
register
connection
Subscribe to the REF !
Additional options
Search
Search title
Search news
Search author
Search JEL code
publications
Revue d'économie financière
Rapport moral sur l'argent dans le monde
Lettre de l'AEF
Financial history column
Survey
other articles
news
calendar
Publications of AEF members
Forum
shop
Buy a REF
Buy a Rapport Moral
know us
Presentation of the association
Contact page
Members
Editorial board
Rapport moral steering committee
Submit an article
Home
REF List
L'industrie de la gestion d'actifs
Gestion d'actifs et dérivés de crédit : opportunités et incertitudes
Gestion d'actifs et dérivés de crédit : opportunités et incertitudes
François-Louis Michaud
Download PDF Format
Download PDF Format
article
Download PDF Format
jel
G11
G12
G14
G28
sur le même thème
Portfolio Alignment to a 2
o
C Trajectory: Science or Art?
Low-Carbon Investment Strategies
Institutional Investors Votes on Corporate Externalities: the Case of Two Emblematic Investors
A Pioneering Approach in the Fight Against Climate Change
Disclosure of Carbon Emissions in European Stock Markets
Green Bonds: It Is Urgent Not to Wait
Environmental Indicators: Conditions for a Relevant Aggregated Measure
The Role of Labels in Green Finance: Construction and Regulation of a Label Market in France
Assessing Vulnerabilities and Raising Awareness Among Financial Players About the Risk of Climate Change: the Role of Stress Tests
Modernization of the Policy for Issuing and Managing Public Debt between 1985 and 1990
Share email
Share on Facebook
Share on Twitter
Share on Google+