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Browse the master thesis of degree Master en sciences de gestion, à finalité spécialisée en Banking and Asset Management by
Master thesis submitted (Sorted by Submit Date in Descending order): 61 to 80 of 296
  TitleAuthor(s)Year(Co)Promotor(s)
Access icon The financial leverage in the pricing of eurozone stocks. A study of a leverage augmented fama & french three-factor modelLarose, Thomas2022Santi, Caterina ULiège
Access icon Robo-Advisors, does complexity mean performance ?Bezet, Maxence2022Hübner, Georges ULiège
Access icon XLG : La gestion de l'ouverture du capital dans une entreprise familialePaulus, Lola2022Pirnay, Fabrice ULiège
Access icon L'analyse de la performance des fonds actifs pendant la crise du Covid-19Paque, Luca2021Broché, Patrick ULiège
Access icon Enlightening the financial and individual impact of Environmental, Social and Governance criteria on portfolio strategiesJacquemin, Mathieu2021Lambert, Marie ULiège
Access icon How do robo-advisors fulfill their practical and legal duties to retail investorsElsen, Chiara2021Francis, Yves ULiège
Access icon Etat des lieux de l'investissement socialement responsable (ISR) au sein de l'assurance-vie.Damico, Vanessa2021Corhay, Albert ULiège
Access icon Impact of state ownership on stock return: a difference-in-differences approachMilakovic, Ivana2021Hübner, Georges ULiège
Access icon Impact Of The 2008 Crisis On Firm Specific Determinants Influencing Capital Structures: A Sector AnalysisProps, Raphaël2021Hübner, Georges ULiège
Access icon Has the Covid-19 crisis changed the way investors look at ESG criteria in their investment strategy?Hardy, Céleste2021Lambert, Marie ULiège
Access icon The implication of Solvency 2 regulation on the performance of the insurance sector. Impact analysis during Covid-19 Crisis.Da Costa, Timothé2021Boniver, Fabien ULiège
Access icon The economic relevance of the value investing strategy in a conditional frameworkCipolla, Luca2021Lambert, Marie ULiège
Access icon Do socially responsible hedge funds performs better than their conventional peers? An empirical analysis.Brunner, Fabian2021Hübner, Georges ULiège
Access icon L'impact de la Directive AIFM sur le secteur du Private Equity en EuropeAverna, Victoria2021Francis, Yves ULiège
Access icon Covid-19 Pandemic and Belgian financial stability: an approach to measure the impact of the crisis on the belgian banking systemMarchal, Florian2021Lejeune, Thomas ULiège
Access icon A study of the ownership structure and decisional power within the value chain of the semiconductors indutry.Descamps, Vincent2021Hübner, Georges ULiège
Access icon How does firm transparency affect investors' reaction around rating changes?Dalvit, Jules2021Torsin, Wouter ULiège
Access icon The Performance of ESG-Oriented Private Equity Funds: A Quantitative AnalysisHeinen, Elena2021Lambert, Marie ULiège
Access icon Risk Parity and Trend-Following Approach on Asset AllocationAigbedion, Aisosa Kelly2021Hübner, Georges ULiège
Access icon How to detemine an internal ESG rating scale based on the asset classes of insurance companies in Belgium?Diaby, Kassamba Yaya2021Broché, Patrick ULiège
Master thesis submitted (Sorted by Submit Date in Descending order): 61 to 80 of 296


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