Basel II and the value of bank differentiation |
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Control modes in international service operations the propensity to franchise |
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From rent-seeking activities to economic activities the strategic transformation of the deregulated firm |
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Monetary contracting between central banks and the design of sustainable exchange-rate zones |
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Money chasing deals and deals chasing money the impact of supply and demand on buyout performance |
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Moral hazard and linear contracts economies with idiosyncratic risks |
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necessary taking into account of the "sameness" and of the conflict in the definition of corporate culture and identity |
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négociation dans tous ses états |
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New extreme-value dependance measures and finance applications |
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note on portfolio selection by insurance companies and optimal participating insurance policies |
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Note pour une approche trilogique de la valeur |
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Occupational choice, incentives and wealth distribution |
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On the specification of duration between price changes and the predictability of high frequency returns an application to the French CAC 40 |
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On the term structure of default premia in the swap and libor markets |
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Optimal hedging in a futures market with background noise and basis risk |
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Optimal strategy for stochastic product rollover under risk using CVAR analysis |
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Options to trade foreign currencies at the "most favorable" rate |
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Ownership concentration and audit fees do auditors matter most when investors are protected least ? |
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Pacific basin stock markets and international diversification |
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Pareto improving price regulation when the asset market is incomplete |
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partial least squares approach to multiple regression, redundancy analysis and canonical analysis |
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Planning as an integrative device |
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Point de référence et aversion aux pertes quel intérêt pour les gestionnaires ? |
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Pour un nouveau contrat social |
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premiss-based approach to logical aggregation |
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Premium allocation and risk avoidance in a large firm a continuous model |
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prévention du risque pénal en droit des affaires |
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Pricing kernels and dynamic portfolios |
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pricing of crude oil futures options contracts |
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principaux enjeux de la polyvalence pour la gestion des ressources humaines |
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a priori et l'a posteriori en économie |
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Proprietary knowledge transfers across borders and choice of governance a test on software and computing firms |
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Proxy fights in incomplete markets when majority voting and sidepayements are equivalent |
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Psychologie du consommateur et comportement d'achat mise en place et validation d'une échelle de personnalité |
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publication d'une information financière non conforme à la loi et aux normes déterminants et conséquences |
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Qualité et publicité des comptes, impact sur les choix économiques Le cas du Crédit commercial inter-entreprises |
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Quantitative analysis of multi-periodic supply chain contracts with options via stochastic programming |
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Quelles relations entre science de l'organisation et management ? penser la contribution de H. A. Simon |
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Quelles stratégies pour les fournisseurs partenaires ? |
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Rareté, valeurs de partage et culture |
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Reading interest rate and bond futures options' smiles how PIBOR and notional operators appreciated the 1997 french snap election |
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Reading the smile the message conveyed by methods which infer risk neutral densities |
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réglementation communautaire des marchés publics cas des fournitures administratives civiles et militaires |
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régression PLS généralisée |
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relevance of extrinsic uncertainty |
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relevance of utilitarianism |
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rentabilité des services dans les entreprises industrielles enquêtes sur un postulat |
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Reorganizing processes in loosely coupled systems the case of the U.S. intelligence community |
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Repeated dilution of diffusely held debt |
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représentants du personnel en Europe étude comparative portant sur France, Italie, Suède, Espagne, Grande-Bretagne, Allemagne, Portugal |
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revue de quelques aspects de la comptabilité positive et de sa critique |
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Risk sharing on the labour market and second-best wage rigidities |
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Risks, returns and opportunities in emerging markets |
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role of managers' behavior in corporate fraud |
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Roles, authority and involvement of the management accounting functions a multiple case-study perspective |
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Scheduling with opting out improving upon random priority |
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Selling company shares to reluctant employees France télécom's experience |
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Short and long-term hedging for the corporation |
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Should you set up your own sales force or should you outsource it ? pitfalls in the standart analysis |
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soutien des actions de diplomatie culturelle par les entreprises françaises et allemandes une enquê̂te sur le mécénat |
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Stochastic games, recent results |
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Stock et JAT ou les contradictions producteurs-distributeurs |
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Stock price informativeness, cross-listings and investment decisions |
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Stratégies de luxe |
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stratégies d'investissement direct à l'étranger des banques françaises |
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Stress professionnel enquête française et comparaisons internationales |
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Structural equation modelling for small samples |
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Structure et évaluation du passif des entreprises défaillantes de la région parisienne |
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Supporting executives in strategic decision making an alternative paradigm |
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Symmetry breakings in models with pure and almost pure individual risks |
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Systematic patterns before and after large price changes evidence from high frequency data from the Paris bourse |
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Systèmes financiers et systèmes de gouvernance |
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tableau de bord, outil de gestion, une comparaison France - Etats-Unis |
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Target zones, broad and narrow |
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Tell me which perfume you wear, I'll tell you how old you are modeling the impact of consumer age on product choice |
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Temps et société, l'entreprise neuronale portefeuille de compétences |
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théorie de la décision et la psychologie du sens commun |
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Time-varying incentives in the mutual fund industry |
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Towards an empirically-based taxonomy of strategic alliances between rival firms |
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toy market and distribution in Europe |
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Trader anonymity, price formation and liquidity |
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Transaction costs and regulation in high technology industries |
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Travail et activités humaines |
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Travail et valeurs |
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Trust and organizational learning |
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unconditional performance of international asset allocation strategies using conditioning information |
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Understanding value generation in buyouts |
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Using projective techniques to further understanding of the RAPM-PEU relationship evidence from the experience of marketing & sales managers |
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Vers une approche unifiée du choix d'une structure financière |
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Volatility clustering, asymmetry and hysteresis in stock returns international evidence |
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Weak proper risk aversion and the tempering effect of background risk |
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When is there state independence ? |
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When strategic renewal does not occur explaining the vertical integration of sales forces |
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Why do firms opt for alternative-format financial statements ? Some evidence from France |
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Why do you speak English in your annual report ? |
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world price of exchange rate risk |
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