Feedback


Filters:

Promotors: Hübner, Georges


44
27
20
1
5
7
9
14
81
5
2
1
1
77
15
91
1
58
22
3
2
2
91
58
33
Results 51-75 of 91 (Search time: 0.006 seconds).
  TitleAuthor(s)Year(Co)Promotor(s)
Access icon Les stratégies ISR apportent-elles une meilleure performance que leurs opposés : analyse de portefeuillesDandrifosse, Maxime2020Hübner, Georges ULiège
Access icon Success and Failure Predictions of FinTech StartupsHristodoulakis, Axel2020Hübner, Georges ULiège
Access icon Business transfers in Wallonia : search funds model, a financial scheme for Wallonia ?Halbart, Charline2018Hübner, Georges ULiège
Access icon Impact de l'incertitude politique sur le marché des actions : le cas du Brexit au Royaume-UniDubon, Fanny2018Hübner, Georges ULiège
Access icon Quels sont les impacts de la loi sur le financement des PME, dite la loi Laruelle, sur l'octroi de crédits aux PME dans une institution financière telle que Belfius Banque ?Goffin, Sacha2018Hübner, Georges ULiège
Access icon Analyse de satisfaction globale de la clientèle : facteurs d'(in)satisfaction lors d'une entrevue avec un account managerBackes, Eva2017Hübner, Georges ULiège
Access icon Analyse temporelle du risque de prépaiement : le cas de BelfiusGenon, Zoé2018Hübner, Georges ULiège
Access icon The impacts of terror attacks on the financial marketsTomad, Boris2018Hübner, Georges ULiège
Access icon Italian and Belgian subprime bailouts : value effect or moral hazard ?Saccomanni, Mara2018Hübner, Georges ULiège
Access icon Analysis of the retail investors' preferences for mutual fund product from a quantitative/empirical analysis of the fund flows in different marketsJaouad, Salma2018Hübner, Georges ULiège
Access icon Le profilage des investisseurs individuels en Belgique couvre-t-il correctement les dimensions adéquates ?Lakkis, Denis2018Hübner, Georges ULiège
Access icon The performance of option strategies based on basic volatility forecastingEl Ghilbzouri, Abdellah2017Heuchenne, Cédric ULiège; Hübner, Georges ULiège
Access icon Development of tools for the management of interest rate risk arising from the banking book for Banque HavillandLonhienne, Thibault2019Hübner, Georges ULiège
Access icon A revisit to low volatility anomalyXia, Houyang2019Hübner, Georges ULiège
Access icon Abnormal returns to acquirers and their determinants in the global personal luxury goods industryBethume, Frédéric2020Hübner, Georges ULiège
Access icon Dans quelle mesure le shadow banking est-il un substitut du système bancaire traditionnel ?Mayuya, Anthony2020Hübner, Georges ULiège
Access icon What are the factors that will affect AI companies' market valuation in China?Xiao, Kaihang2021Hübner, Georges ULiège
Access icon Impact Of The 2008 Crisis On Firm Specific Determinants Influencing Capital Structures: A Sector AnalysisProps, Raphaël2021Hübner, Georges ULiège
Access icon Understanding the volatility of European REITs : An approach based on GARCH modelsLengelé, Martin2021Hübner, Georges 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 Impact of state ownership on stock return: a difference-in-differences approachMilakovic, Ivana2021Hübner, Georges ULiège
Access icon Do socially responsible hedge funds performs better than their conventional peers? An empirical analysis.Brunner, Fabian2021Hübner, Georges ULiège
Access icon Factors explaining the performance of the listed food and drink industry stocks during the covid-19 pandemicMaclot, Eliott2022Hübner, Georges ULiège
Access icon Do analysists' consensus recommendations have an investment value? A study conducted on the 20 stocks included in the BEL20 indexKever, Mats2021Hübner, Georges ULiège
Access icon Evolution du biais domestique en Europe et chocs financiers.Jamar de Bolsée, Mathilde2021Hübner, Georges ULiège