Bank regulation, risk and return: Evidence from the credit and sovereign debt crises
Hoque, Hafiz, Andriosopoulos, Dimitris, Andriosopoulos, Kostas, Douady, Raphael
Published in Journal of banking & finance (01.01.2015)
Published in Journal of banking & finance (01.01.2015)
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Introduction
Le Theule, François-Gilles, Douady, Raphael, de Boissieu, Christian
Published in Accounting, economics, and law (26.10.2017)
Published in Accounting, economics, and law (26.10.2017)
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Journal Article
Introduction
François-Gilles Le Theule, Douady, Raphael, de Boissieu, Christian
Published in Accounting, economics, and law (01.05.2017)
Published in Accounting, economics, and law (01.05.2017)
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Journal Article
Introduction
François-Gilles Le Theule, Douady, Raphael, de Boissieu, Christian
Published in Accounting, economics, and law (01.05.2017)
Published in Accounting, economics, and law (01.05.2017)
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Journal Article
The StressVaR: A New Risk Concept for Extreme Risk and Fund Allocation
Coste, Cyril, Douady, Raphaël, Zovko, Ilija I.
Published in The journal of alternative investments (01.01.2011)
Published in The journal of alternative investments (01.01.2011)
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Journal Article
On measuring nonlinear risk with scarce observations
Cherny, Alexander, Douady, Raphael, Molchanov, Stanislav
Published in Finance and stochastics (01.09.2010)
Published in Finance and stochastics (01.09.2010)
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