Bankers, Markets and Investors

Current Issue

Vol. 171 No. 3 (2022): Bankers, Markets & Investors

How does bank capital influence lending
and securities holdings? Evidence from Asian banks
Whelsy BOUNGOU, Associate Professor, PhD, Paris School of Business, Paris

Can Collective Emotions Improve
Bitcoin Volatility Forecasts?
David BOURGHELLE, Univ. Lille, ULR 4999 - LUMEN, F-59000 Lille, France
Fredj JAWADI, Univ. Lille, ULR 4999 - LUMEN, F-59000 Lille, France
Philippe ROZIN, Univ. Lille, ULR 4999 - LUMEN, F-59000 Lille, France

Connectedness between conventional
and digital assets amid COVID-19 pandemic:
Evidence from G7 stocks, Oil and Bitcoin
Aymen TURKI, Assistant professor of Finance and head of Master of Science in Corporate Finance and FinTech,
ESC Clermont Business School, France
Ahmed OBEID, Associate Professor, Head of Economics Department, Head of PGE Master Wealth Management,
Paris School of Business, France & Center of Research for Energy and Climate Change Change (CRECC)
Sahar LOUKIL, Assistant Professeor in Financial and Accounting Methods, Faculty of Economics and Management
Sciences, University of SFAX, Tunisia
Ahmed JERIBI, Associate Professor at the faculty of economics and management of Mahdia, Tunisia

The Determinants of Equity Lines Financing:
An International Study
Ilias ANNAOUI, University of Bordeaux – IRGO, Bordeaux, France
Pascal BARNETO, University of Bordeaux – IRGO, Bordeaux, France

Published: 2023-02-09
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Bankers, Markets and Investors aims at publishing short and innovative research articles in the areas of banking, financial markets and investment with relevant practical application for investors. The purpose of the journal is to create a bridge between academics and professionals, by publishing articles that have direct relevance to those working in finance. We seek short articles, forward-looking and rigorous, written in a style accessible to professional readership. The themes of the journal include the following: portfolio choice, investment management, institutional investors (pension funds, sovereign wealth funds, insurance, mutual funds…), individual investors and household finance, behavioral finance, alternative investments (hedge funds, private equity…), derivatives and structured finance, liquidity and transaction costs, socially responsible investment, funds and corporate governance, regulation and financial risk management, capital markets, interest rate instruments, asset-backed securities, equities and convertibles, securities design, currencies, corporate finance, hedging strategies, asset liability management.

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