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REF 138
Climate Finance
Disclosure of Carbon Emissions in European Stock Markets
REF 138
Climate Finance
Green Bonds: It Is Urgent Not to Wait
REF 138
Climate Finance
Portfolio Alignment to a 2
o
C Trajectory: Science or Art?
REF 138
Climate Finance
Low-Carbon Investment Strategies
REF 138
Climate Finance
Environmental Indicators: Conditions for a Relevant Aggregated Measure
REF 138
Climate Finance
Institutional Investors Votes on Corporate Externalities: the Case of Two Emblematic Investors
REF 138
Climate Finance
A Pioneering Approach in the Fight Against Climate Change
REF 138
Climate Finance
The Role of Labels in Green Finance: Construction and Regulation of a Label Market in France
REF 137
40 Years of Financial Liberalization
Asset Management Industry: from Emergence to the Uprising of New Risks
REF 137
40 Years of Financial Liberalization
The "Financial Liberalization" Has Not Brought Much Closer Households Behaviour in Advanced Countries
REF 135
Technologies and Changes in the Financial Sector
Cyber-Insurance: New Models to Quantify the Economic Impact of Digital Risks
REF 135
Technologies and Changes in the Financial Sector
Digital Transformation of Risk Management: Issues, Tools and Prospects
REF 134
The Mutual Finance
Governance in French Cooperative Banks: a Member-Centered Approach
REF 134
The Mutual Finance
Mutual Insurance Companies: Major Long Term Investors
REF 133
The Price of Risk
Why Is the Diversifiable Risk Still Priced?
REF 133
The Price of Risk
Risk Premium and Risk Price in the Equity Market
REF 133
The Price of Risk
Is Risk Aversion, a Key Determinant of the Price of Risk and Equity Risk Premia, Varying over Time?
REF 130
Corporate Governance - New Stakes
Portfolio Management Styles and Firm's Governance
REF 125
Europe 60 years later
Finance and Politics: Does the Stock Market Prefer the Left?
REF 121
The Challenge of a Zero Interest Rate Economy
Euro Area Shadow Banking Activities in a Low-Interest-Rate Environment: A Flow-of-Funds Perspective
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