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índice se calcula a partir de la volatilidad implícita de cada uno de los bancos y de la prima de riesgo de correlación del … desempeño del precio de las acciones de los bancos. En particular, se aconseja el uso ponderado de tres variables para estudiar …
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Los inversores institucionales, conscientes de la necesidad de incorporar el cambio climático como un factor de riesgo adicional en la gestión de carteras, muestran un apetito creciente por la integración de criterios de Inversión Sostenible y Responsable (ISR) en sus procesos de inversión....
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of them (those that had already approved dividend pay-outs before the recommendation) were able to pay dividends during …
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Rationale The current period of high inflation makes it difficult for investors to maintain their profitability targets in real terms. Against this background, it is important to analyse the returns on different types of assets recorded in this and past inflationary episodes. Takeaways •In the...
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We study a set of German open-end mutual funds for a time period during which this industry emerged from its infancy. In those years, the distribution channel for mutual funds was dominated by the brick-and-mortar retail networks of the large universal banks. Using monthly observations from...
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We study a set of German open-end mutual funds for a time period during which this industry emerged from its infancy. In those years, the distribution channel for mutual funds was dominated by the brick-and-mortar retail networks of the large universal banks. Using monthly observations from...
Persistent link: https://www.econbiz.de/10010308684
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