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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): 1 to 20 of 296
  TitleAuthor(s)Year(Co)Promotor(s)
Access icon Les REITs belges protègent-ils de l'inflation ?Bouchlaghem, Sofian2024Clerc, Pierrick ULiège
Access icon Quels freins limitent l'investissement socialement responsable dans les obligations d'entreprises des pays émergents ?Bonjean, Sara2024David, Romain ULiège
Access icon Assessing Master's Student Attitudes and Sensitivity Towards Sustainable Investment: a Survey-based StudyMarloye, Clément2024Gillain, Cédric
Access icon What is the impact of french elections on the stock market returns of the CAC 40 and Euro Stoxx 50 indices? An event study and regression analysis of the sensitivity of the stock market to political events in FranceChouikla, Asmae2024Hambuckers, Julien ULiège
Access icon How have the institutional and behavioral factors behind patterns of Home and Foreign Biases impacted investment portfolios and diversification ?Delcourt, Corentin2024Hübner, Georges ULiège
Access icon Are financial conflicts of interest leading to reporting errors in financial and economics academic literature?Roex, Xavier2024Hambuckers, Julien ULiège
Access icon Do European sustainable mutual funds outperform conventional European non sustainable mutual funds on a crisis period? An empirical study of the financial crisis deriving from the Russian-Ukrainian warElbaaj, Ghita2024David, Romain ULiège
Access icon Les cryptomonnaies permettent-elles la diversification au sein d¿un portefeuille européen diversifié ?Tartoras, Matheo2024Langlois, Patrice ULiège
Access icon The impact of the U.S.-China trade war on the European stock marketTamimi, Jouhaina2024Walheer, Barnabé ULiège
Access icon Market anticipation of monetary policy actions and interest rate levels in regards to European asset valuation.Essayeh, Yacine2024Clerc, Pierrick ULiège
Access icon De l'investissement socialement responsable à la finance durable, quelles sont les conséquences des changements de politique et de régulation sur les praticiens en Belgique ?Weerts, Jean2024David, Romain ULiège
Access icon The metaverse and stock price: a short-term event analysis on the impact of metaverse announcements on stock pricesBologna, Marco2024Neysen, Nicolas ULiège
Access icon Fonctionnement du carry trading et vulnérabilité en période de crises financière : Une étude approfondieMedjdoub, Farouk Arslane2024Santi, Caterina ULiège
Access icon Upside and Downside Risk Spillovers between Cryptocurrencies and Stock market : Introducing New Cryptocurrencies using a VaR-CoVaR ApproachMaljean, Aymeric2023Hambuckers, Julien ULiège
Access icon What is the level of correlation between the returns of classic investment assets and those of Bitcoin?Reinhart, Tom2023Delfosse, Vincent ULiège
Access icon La finance islamique : Analyse de la performance des fonds islamiques par rapport aux fonds conventionnels et aux fonds ESG.Petrolito, Gaëtan2023Santi, Caterina ULiège
Access icon The dependence of NFTS on the stock market and their place in an asset portfolioDi Bartolomeo, Loris2023Torsin, Wouter ULiège
Access icon Flexible Momentum: Combining Evolutive Factor Framework To A Dual Momentum StrategyFoucart, Lucas2023Hübner, Georges ULiège
Access icon Upside and downside spillovers across crypto markets, technological stocks and green financial assets via copulas method.Matus, Thibaut2023Hambuckers, Julien ULiège
Access icon Les performances des néobanques et des banques numériques européennes : étude empirique et comparaison aux banques traditionnellesWarlomont, Loan2023Matyja, Walter
Master thesis submitted (Sorted by Submit Date in Descending order): 1 to 20 of 296


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