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REF 138
Climate Finance
Environmental Indicators: Conditions for a Relevant Aggregated Measure
REF 138
Climate Finance
Green Bonds: It Is Urgent Not to Wait
REF 135
Technologies and Changes in the Financial Sector
French ICOs: a New Way of Funding?
REF 133
The Price of Risk
Resilience and the Price of Risk
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 133
The Price of Risk
Risk Premium and Risk Price in the Equity Market
REF 133
The Price of Risk
The Price of Longevity Risk
REF 133
The Price of Risk
Why Is the Diversifiable Risk Still Priced?
REF 133
The Price of Risk
Flexibility, Uncertainty and Optimisation of Investments: an Introduction
REF 133
The Price of Risk
Pricing Risk in a Context of Heterogeneous Beliefs
REF 133
The Price of Risk
Climate Risk Price and Carbon Price
REF 125
Europe 60 years later
Finance and Politics: Does the Stock Market Prefer the Left?
REF 123
The on-going reconstructing of financial systems
Which Impact of Expanding Role of Investment Funds?
REF 120
Innovation, Technolgy and Finance
Threats and opportunities
Bond Markets Liquidty and Technological Innovation
REF 117
Climate change and sustainable finance
Quantifying Greenhouse Gas Emissions of the Financial Sector
REF 117
Climate change and sustainable finance
Green Bonds and the Development of a 2°C Finance
REF 112
The European banking system (2)
New Perspectives
Financial Instrument Valuation in European Banks between 2009 and 2011: Market Value or Model Value?
REF 107
The Indian financial system
Between openness and modernity
Asset Returns in the Indian Stock Market and its Linkages with Macroeconomic Fundamentals
REF 106
Financial system and value creation
Financial Markets’ Production of Liquidity, Assets Valuation and Cost of Financing
REF 106
Financial system and value creation
Accounting Standards and Value Creation
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