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~person:"Merli, Maxime"
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default risk
4
rating
4
spread
4
Anlageverhalten
3
Behavioural finance
3
bonds
3
notation
3
obligations
3
spread de taux
3
Capital income
2
Einzelhandel
2
Financial investment
2
Financial literacy
2
Finanzwissen
2
Kapitalanlage
2
Kapitaleinkommen
2
Retail investors
2
Retail trade
2
Risikoaversion
2
Risikopräferenz
2
Risk attitude
2
Risk aversion
2
Risk tolerance
2
risque de défaut.
2
1998
1
Bond market
1
Crises
1
ESG factors
1
Finance professionals
1
Financial crisis
1
Finanzkrise
1
France
1
Frankreich
1
Investor behavior
1
MiFID
1
Nachhaltige Kapitalanlage
1
Overconfidence
1
Portfolio selection
1
Portfolio-Management
1
Probability theory
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English
3
French
3
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Merli, Maxime
McAleer, Michael
361
Broll, Udo
283
Acharya, Viral V.
254
Ongena, Steven
205
Gollier, Christian
196
Gupta, Rangan
181
Fabozzi, Frank J.
180
Sutter, Matthias
179
Dionne, Georges
178
Viscusi, W. Kip
173
Härdle, Wolfgang
170
Lucas, André
161
Hasan, Iftekhar
158
Bekaert, Geert
150
Dohmen, Thomas
144
Kunreuther, Howard
143
Peydró, José-Luis
139
Hartog, Joop
132
Weber, Martin
132
Adrian, Tobias
131
Falk, Armin
127
Hammoudeh, Shawkat
127
Laeven, Luc
124
Pelizzon, Loriana
122
Campbell, John Y.
120
Schuermann, Til
120
Shin, Hyun Song
119
Gleißner, Werner
113
Gatzert, Nadine
112
Schmidt, Ulrich
110
Zhou, Hao
110
Aizenman, Joshua
109
Hassan, M. Kabir
109
Stulz, René M.
109
Menkhoff, Lukas
107
Bali, Turan G.
105
Guiso, Luigi
105
Bloom, Nicholas
104
Faff, Robert W.
104
Schwaab, Bernd
104
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Université Paris-Dauphine
1
Université Paris-Dauphine (Paris IX)
1
Université de Bourgogne - CREGO EA7317 Centre de recherches en gestion des organisations
1
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Finance research letters
2
Economics Papers from University Paris Dauphine
1
Finance : revue de l'Association Française de Finance
1
Journal of economic behavior & organization : JEBO
1
Open Access publications from Université Paris-Dauphine
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Revue Finance Contrôle Stratégie
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ECONIS (ZBW)
4
RePEc
4
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1
What drives retail portfolio exposure to ESG factors?
D'Hondt, Catherine
;
Merli, Maxime
;
Roger, Tristan
- In:
Finance research letters
46
(
2022
)
2
,
pp. 1-8
Persistent link: https://www.econbiz.de/10013342669
Saved in:
2
Overconfidence,
risk
perception and the
risk
-taking behavior of finance professionals
Broihanne, M. H.
;
Merli, Maxime
;
Roger, Patrick
- In:
Finance research letters
11
(
2014
)
2
,
pp. 64-73
Persistent link: https://www.econbiz.de/10010440597
Saved in:
3
Do retail investors bite off more than they can chew? : a close look at their return objectives
D'Hondt, Catherine
;
De Winne, Rudy
;
Merli, Maxime
- In:
Journal of economic behavior & organization : JEBO
188
(
2021
),
pp. 879-902
Persistent link: https://www.econbiz.de/10012658806
Saved in:
4
Notations et écarts de rentabilité : le marché français avant l'euro
Merli, Maxime
;
Alexandre, Hervé
-
Université Paris-Dauphine (Paris IX)
-
2003
The main task of this paper is to confront two classical measures of default
risk
of the issuer, the rating and the …
Persistent link: https://www.econbiz.de/10010707346
Saved in:
5
Notations et écarts de rentabilité : le marché français avant l'euro.
Merli, Maxime
;
Alexandre, Hervé
-
Université Paris-Dauphine
-
2003
The main task of this paper is to confront two classical measures of default
risk
of the issuer, the rating and the …
Persistent link: https://www.econbiz.de/10009002004
Saved in:
6
Notations et écarts de rentabilité:le marché français avant l'euro
Alexandre, Hervé
;
Merli, Maxime
- In:
Revue Finance Contrôle Stratégie
6
(
2003
)
3
,
pp. 5-22
.(VA)The main task of this paper is to confront two classical measures of default
risk
of the issuer, the rating and the spread. The …
Persistent link: https://www.econbiz.de/10005111201
Saved in:
7
Probabilité de défaut et spreads de taux : étude empirique du marché français
Merli, Maxime
;
Roger, Patrick
- In:
Finance : revue de l'Association Française de Finance
20
(
1999
)
1
,
pp. 61-89
Persistent link: https://www.econbiz.de/10001475128
Saved in:
8
Rating and Spread:The French Market before Euro
Alexandre, Hervé
;
Merli, Maxime
-
Université de Bourgogne - CREGO EA7317 Centre de …
-
2000
The main task of this paper is to confront two classical measures of default
risk
of the issuer, the rating and the …
Persistent link: https://www.econbiz.de/10005111253
Saved in:
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