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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): 281 to 296 of 296
  TitleAuthor(s)Year(Co)Promotor(s)
Access icon How does Target2-Securities impact the business and operating models of Luxembourg securities actors ?Erden, Fatih2016Schyns, Michael ULiège
Access icon Comparative study "IFRS 9", new standard on financial instruments issued in July 2014 to replace IAS 39 : impacts on an insurance companyUrbani, Caroline2016Schumesch, Patrice ULiège
Access icon AIFMD : impact of the governance of real estate funds : case study on risk managementDolne, Bryan2016Sougné, Danielle ULiège
Access icon Which difficulties will multinational companies face regarding intre-group financing transactions at the time of the implementation of the OECD action plan against base erosion and profite shifting ?Chometon, Sandy2016Philippe, Denis-Emmanuel ULiège
Access icon Impact de la domiciliation et des effets nationaux sur la structure de coûts des fonds d'investissement européensJerusalem, Nicolas2016Lambert, Marie ULiège
Access icon Comment optimiser fiscalement une succession entre conjoints mariés et cohabitants ?Deprez, Corentin2016Bruyère, Eric ULiège
Access icon Analyse technique : "la méthode des combinaisons"Debiolles, Arnaud2016Bodson, Laurent ULiège
Access icon The consequences of the "Foreign Account Tax Compliance Act" FATCA - The case of LuxembourgCarrubba, Valentine2016Bodson, Laurent ULiège
Access icon Are higher fees justified by superior performance ? Evidence from Belgian mutual fundsVeithen, Joan2016Bazgour, Tarik ULiège
Access icon The target selection in leveraged buyouts : a risk appraisal matrixBesson, Mikhaël2016Sougné, Danielle ULiège
Access icon Elaboration d'un modèle optimal de financement pour la production de pavillons modulaires : application à l'entreprise Degotte SALodomez, François2016Defer, Jacques ULiège
Access icon Le Luxembourg reste-t-il un domicile attractif pour les captives d'assurance et de réassurance sous la nouvelle directive Solvabilité II ?Rosen, Gaëlle2016Berwart, Jacques ULiège
Access icon How to optimize the parameters of the genetic programming in order to improve the return of a portfolio ?Mercy, Iwan2016Muller, Aline ULiège
Access icon How to turn Basel III, Solvency II & Mifid II into opportunities in order to increase profitability and outperform competitors - theory and practiceVanloo, Alison2016Artige, Lionel ULiège
Access icon Stress test analysis on ratings quality over the business cycleMercenier, Pierre2016Platania, Federico ULiège
Access icon Les règles en application dans le crowdfunding sont-elles en adéquation avec les nouvelles normes MIFID II concernant la protection des investisseurs ?Nyssen, Thomas2016Bodson, Laurent ULiège
Master thesis submitted (Sorted by Submit Date in Descending order): 281 to 296 of 296


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