<?xml version="1.0" encoding="UTF-8" ?>
<feed xmlns="http://www.w3.org/2005/Atom">
    <title>Bankers, Markets &amp; Investors | Cairn.info</title>
    <icon>https://shs.cairn.info/build/assets/cairn-B7RWiji2.png</icon>
    <id>tag:cairn.info,2005:rss/revue/BMI</id>
    <rights>Cairn.info 2026</rights>

    <link href="https://shs.cairn.info/rss/revue/BMI" rel="self" type="application/atom+xml" />
    <link href="https://shs.cairn.info?lang=fr" type="text/html" />

    <updated>2026-03-09T00:00:00+01:00</updated>

                <entry>
    <id>tag:cairn.info,2005:numero:BMI_182</id>
    <title type="html"><![CDATA[
        Sustainable Finance
                    | Bankers, Markets &amp; Investors
            (2025/3 N° 182)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-investors-2026-1?lang=en" type="text/html" rel="alternate" />
            <published>2026-02-17T00:00:00+01:00</published>
                <updated>2026-03-09T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 1 | Pages de début
                                    </li>
                            <li>
                    Pages 2 à 4 | Sustainable finance: from green bonds to ESG controversies
                                            |  Dejan Glavas,  Zied Ftiti
                                    </li>
                            <li>
                    Pages 5 à 28 | Breaking Bad News: The Market Impact of ESG Controversies in
Finance
                                            |  Julien Fouquau,  André Schoder
                                    </li>
                            <li>
                    Pages 29 à 40 | Mitigating company characteristics as external biases in ESG
valuation models
                                            |  Philippe Dupuy,  Jean-Charles Garibal,  Mathieu Joubrel
                                    </li>
                            <li>
                    Pages 41 à 52 | Is public attention a catalyst for fossil fuel companies?
                                            |  Marie Cellou
                                    </li>
                            <li>
                    Pages 53 à 67 | Does it pay to go green? The impact of green bond issuance on
corporate performance
                                            |  Han Yu,  Radu Burlacu,  Geoffroy Enjolras
                                    </li>
                            <li>
                    Pages 68 à 68 | Notes
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_181</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2025/2 N° 181)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-investors-2025-2?lang=fr" type="text/html" rel="alternate" />
            <published>2025-10-06T00:00:00+02:00</published>
                <updated>2025-10-24T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 1 | Pages de début
                                    </li>
                            <li>
                    Pages 2 à 15 | Government intervention during the Covid-19 pandemic and stock
volatility and liquidity: Evidence from France
                                            |  Sinda Hadhri,  Sadek Ouhadouch
                                    </li>
                            <li>
                    Pages 16 à 33 | Brokerage house brands and equity investors
                                            |  Andrew Zylstra,  Sandrine Macé
                                    </li>
                            <li>
                    Pages 34 à 60 | Are African stock markets affected by global shocks in the very
short term?
                                            |  Oussama Kchaou,  Salim Ben Sassi
                                    </li>
                            <li>
                    Pages 61 à 77 | Stock price informativeness and the impact of Seasoned Equity
Offerings on the firm’s stock liquidity
                                            |  Thi Xuan Dung Nguyen,  Radu Burlacu,  Sonia Jimenez-Garces
                                    </li>
                            <li>
                    Pages 78 à 78 | Pages de fin
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_180</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2025/1 n° 180)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-investors-2025-1?lang=en" type="text/html" rel="alternate" />
            <published>2025-06-09T00:00:00+02:00</published>
                <updated>2025-06-30T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 1 | Pages de début
                                    </li>
                            <li>
                    Pages 2 à 17 | Business Cycle, Banking Risk-Taking, and Technological Change:
European Evidence
                                            |  Faten Ben Bouheni,  Mouwafac Sidaoui,  Margaux Theol,  Mondher Bellalah
                                    </li>
                            <li>
                    Pages 18 à 43 | Is the valuation of an insurance company specific?
                                            |  Olivier Levyne,  David Heller
                                    </li>
                            <li>
                    Pages 44 à 53 | Do climate risk matter for stock market returns: Evidence from
weather conditions
                                            |  Fatma Mrad,  Haykel Hamdi,  Mohamed Imen Gallali,  Jean-Michel Sahut
                                    </li>
                            <li>
                    Pages 54 à 71 | Excess Volatility and the Credibility Challenges of Fundamentalist
Investors
                                            |  Olivier Davanne
                                    </li>
                            <li>
                    Pages 72 à 74 | Pages de fin
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_179</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2024/4 n° 179)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2024-4?lang=en" type="text/html" rel="alternate" />
            <published>2024-12-01T00:00:00+01:00</published>
                <updated>2025-04-17T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 1 | Pages de début
                                    </li>
                            <li>
                    Pages 2 à 15 | CEO Overconfidence and Cost of Debt: Evidence in the French Context
                                            |  Assil Guizani,  Ali Harmatallah,  Emna Brahem
                                    </li>
                            <li>
                    Pages 16 à 38 | Institutional Blockholders, Agency Problems and Corporate Debt
Maturity
                                            |  Zeineb Barka,  Taher Hamza
                                    </li>
                            <li>
                    Pages 39 à 51 | Normalization of Socially Responsible Investments&#160;-&#160;Does
it Fit the Bill&#160;? Why Metrics and Standards can be Detrimental
to Ethics and Push Back Individual Investors
                                            |  Elisabeth Gressieux,  Luc Meunier
                                    </li>
                            <li>
                    Pages 52 à 59 | Towards an Environmental Finance Framework: The Contribution of the
Equator Principles
                                            |  Khadija Mnasri,  Syrine Ben Romdhane
                                    </li>
                            <li>
                    Pages 60 à 60 | Pages de fin
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_178</id>
    <title type="html"><![CDATA[
        Sustainable Finance Forum 2023
                    | Bankers, Markets &amp; Investors
            (2024/3 n° 178)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2024-3?lang=fr" type="text/html" rel="alternate" />
            <published>2024-11-29T00:00:00+01:00</published>
                <updated>2024-12-18T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 1 | Pages de début
                                    </li>
                            <li>
                    Pages 2 à 2 | Editorial
                                            |  Philippe Bertrand
                                    </li>
                            <li>
                    Pages 3 à 24 | <i>Socialium</i> or the Financial Price of Social Responsibility
                                            |  Diana Pop,  Caroline Marie-Jeanne,  Régis Dumoulin
                                    </li>
                            <li>
                    Pages 25 à 30 | Impacts of the Evolution of Physical Climate Risks on European
Business Activities: the case of construction sector
                                            |  Valentin Courquin
                                    </li>
                            <li>
                    Pages 31 à 37 | Finance literacy and sustainable finance literacy
                                            |  Philippe Dupuy,  Caroline Marie-Jeanne,  Nadège Ribau-Peltre
                                    </li>
                            <li>
                    Pages 38 à 44 | The quality of extra-financial information in question
                                            |  Jean-Laurent Viviani
                                    </li>
                            <li>
                    Pages 45 à 48 | Pages de fin
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_177</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2024/2 n° 177)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2024-2?lang=en" type="text/html" rel="alternate" />
            <published>2024-10-23T00:00:00+02:00</published>
                <updated>2024-11-12T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 1 | Pages de début
                                    </li>
                            <li>
                    Pages 2 à 13 | An empirical analysis of the characteristics and motivations of
listed companies raising capital through private placements
                                            |  Évelyne Poincelot,  Kirsten Burkhardt-Bourgeois
                                    </li>
                            <li>
                    Pages 14 à 29 | ESG (Environment, Social, and Governance) development: What is the
role of financial development at the global level?
                                            |  Bertrand Kian Hassani,  Rizwan Mushtaq,  Yacoub Bahini
                                    </li>
                            <li>
                    Pages 30 à 38 | Trade Credit and Firm Value: Evidence from Listed SMEs
                                            |  Zhiting Shen,  Ydriss Ziane
                                    </li>
                            <li>
                    Pages 39 à 48 | A Historical Perspective on US Treasuries Risk Premia
                                            |  Olivier Davanne
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_176</id>
    <title type="html"><![CDATA[
        Bourse Régionale de Valeurs Mobilières (BRVM)
                    | Bankers, Markets &amp; Investors
            (2024/1 N° 176)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2024-1?lang=fr" type="text/html" rel="alternate" />
            <published>2024-05-02T00:00:00+02:00</published>
                <updated>2024-05-16T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 2 à 2 | Editorial
                                            |  Jean-François Boulier,  Gaye-del Lo
                                    </li>
                            <li>
                    Pages 3 à 14 | Factors affecting the attractiveness of African financial markets:
The case of the WAEMU stock market assessed using quantile
regression
                                            |  Théophile Bassene,  Alassane Diallo,  Adama Ba
                                    </li>
                            <li>
                    Pages 15 à 24 | Impact of Subprime and Covid-19 crises on WAEMU stock exchange
efficiency: a classic Hurst vs dynamic Hurst approach
                                            |  Oumou Kalsoum Diallo,  Pierre Mendy
                                    </li>
                            <li>
                    Pages 25 à 44 | Hybrid Yield curves modeling in WAEMU Zone
                                            |  Florent Kanga Gbongue,  Nahoua Yeo
                                    </li>
                            <li>
                    Pages 45 à 53 | Tracking Error Determinants in Mutual Funds: The Case of Regional
Stock Exchange in West Africa
                                            |  Mohamed Lamine Mbengue,  Babacar Sène,  Mame Abdou Diop,  Modou Dieng
                                    </li>
                            <li>
                    Pages 54 à 60 | The regional financial market of the West African Economic and
Monetary Union: Lessons to be learned after 25 years of existence
                                            |  Mor Welle Diop,  Mohamed Lamine Mbengue
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_175</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2023/4 N° 175)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2023-4?lang=fr" type="text/html" rel="alternate" />
            <published>2024-01-23T00:00:00+01:00</published>
                <updated>2024-02-16T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 2 à 2 | Editorial
                                            |  Jean-François Boulier
                                    </li>
                            <li>
                    Pages 3 à 12 | How Do Investor’s Expectations and Emotions Drive Financial Asset
Prices in Times of Crises and Uncertainty: The Analysis of Experts’
Opinions
                                            |  Jean-François Boulier,  Catherine D’Hondt,  Fredj Jawadi,  Georges Prat,  Philippe Rozin,  Richard Taffler
                                    </li>
                            <li>
                    Pages 13 à 29 | An Investigation of a Multivariate Similarity Approach for Peer
Selection in Relative Valuation
                                            |  Mohamad Hassan Abou Daya,  Safwan Mchawrab
                                    </li>
                            <li>
                    Pages 30 à 36 | Shareholder engagement, the new frontier of sustainable finance?
                                            |  Nicolas Mottis,  Léo Denis
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_174</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2023/3 N° 174)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2023-3?lang=fr" type="text/html" rel="alternate" />
            <published>2023-11-02T00:00:00+01:00</published>
                <updated>2024-02-09T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 2 à 13 | Applying non-negative tensor factorization to centered data
                                            |  Paul Fogel,  Christophe Geissler,  Hans-Jörg Von Mettenheim,  George Luta
                                    </li>
                            <li>
                    Pages 14 à 43 | Colonization and Growth of Financial Markets in Africa: An
Institutional Approach with interaction effects
                                            |  Bruno Emmanuel Ongo Nkoa,  Charles Christian Atangana Zambo,  Franck Mondesir Tsassa Mbouayila,  Donald Ferdinand Okere Atanga
                                    </li>
                            <li>
                    Pages 44 à 53 | Macro Factor-Mimicking Portfolios
                                            |  Emmanuel Jurczenko,  Jérôme Teiletche
                                    </li>
                            <li>
                    Pages 54 à 59 | The large effects of small compounded adjustments. Principles and
applications to equity return prediction
                                            |  Guillaume Coqueret
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_171</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2022/4 N° 171)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2022-4?lang=fr" type="text/html" rel="alternate" />
            <published>2022-12-08T00:00:00+01:00</published>
                <updated>2023-09-05T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 2 à 9 | How does bank capital influence lending and securities holdings?
Evidence from Asian banks
                                            |  Whelsy Boungou
                                    </li>
                            <li>
                    Pages 10 à 19 | Can Collective Emotions Improve Bitcoin Volatility Forecasts?
                                            |  David Bourghelle,  Fredj Jawadi,  Philippe Rozin
                                    </li>
                            <li>
                    Pages 20 à 42 | Connectedness between conventional and digital assets amid COVID-19
pandemic: Evidence from G7 stocks, Oil and Bitcoin
                                            |  Aymen Turki,  Hassan Obeid,  Sahar Loukil,  Ahmed Jeribi
                                    </li>
                            <li>
                    Pages 43 à 51 | The Determinants of Equity Lines Financing: An International Study
                                            |  Ilias Annaoui,  Pascal Barneto
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_170</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2022/3 N° 170)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2022-3?lang=fr" type="text/html" rel="alternate" />
            <published>2022-09-08T00:00:00+02:00</published>
                <updated>2023-09-05T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 2 à 13 | Banking development and corporate innovation
                                            |  Jihene El Ouakdi,  Zied Ftiti,  Dorra Guermazi,  Khira Alimi,  Waël Louhichi
                                    </li>
                            <li>
                    Pages 14 à 46 | The dynamics of contagion and behavior of the euro area sovereign
bond markets
                                            |  Oussama Kchaou,  Salim Ben Sassi,  Makram Belallah
                                    </li>
                            <li>
                    Pages 47 à 58 | CSR disclosure and information asymmetry: the role of financial
reporting quality
                                            |  Jean-Laurent Viviani,  Lionel Touchais,  Nguyen Lan Phuong
                                    </li>
                            <li>
                    Pages 59 à 71 | Dynamic interactions between the bitcoin price index and widely
traded financial assets: evidence from the recent covid-19 crisis
                                            |  Wafa Kammoun Masmoudi,  Taher Hamza,  Wael Louichi
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_167</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2021/4 N° 167)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2021-4?lang=fr" type="text/html" rel="alternate" />
            <published>2021-12-08T00:00:00+01:00</published>
                <updated>2023-09-05T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 2 à 16 | How does Corporate Social Responsibility performance influence the
cost of debt? Evidence from France
                                            |  Faten Lakhal,  Aymen Ajina,  Sami Bacha,  Sourour Ben Saad
                                    </li>
                            <li>
                    Pages 17 à 28 | Financial Contagion Before and During the COVID-19 Medical Shock
                                            |  Amine Ben Amar,  Wassini Arrassen,  Jean-Yves Moisseron,  Khaled Guesmi
                                    </li>
                            <li>
                    Pages 29 à 54 | Assessing the economic value of life insurance contracts with
stochastic deflators
                                            |  Kamal Armel,  Frédéric Planchet
                                    </li>
                            <li>
                    Pages 55 à 60 | Factor performance in times of market turmoil: the Covid-19 crash
revisited
                                            |  Daniel Aguet,  Noël Amenc,  Karsten Schneider
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_166</id>
    <title type="html"><![CDATA[
        Green Finance
                    | Bankers, Markets &amp; Investors
            (2021/3 N° 166)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2021-3?lang=fr" type="text/html" rel="alternate" />
            <published>2021-09-08T00:00:00+02:00</published>
                <updated>2023-09-05T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 1 | Introduction to the thematic issue on Green Finance
                                            |  Franck Bancel
                                    </li>
                            <li>
                    Pages 3 à 19 | Introducing climate impact accounting for investment portfolios. A
comparative study on the existing methodologies
                                            |  Ekaterina Ponomareva Reshetnikova
                                    </li>
                            <li>
                    Pages 20 à 43 | How to re-conceptualise and re-integrate climate-related finance
into society through ecological accounting?
                                            |  Alexandre Rambaud,  Hugues Chenet
                                    </li>
                            <li>
                    Pages 44 à 55 | Time-Varying Financial Performance of Green and Traditional Energy
Indices with Special Reference to the Covid-19 Context
                                            |  Pascal Alphonse,  David Bourghelle,  Fredj Jawadi,  Philippe Rozin
                                    </li>
                            <li>
                    Pages 56 à 63 | How carbon pricing affects value of firms: The case of oil and gas
companies
                                            |  Franck Bancel,  Henri Philippe
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_165</id>
    <title type="html"><![CDATA[
        Bond Factors Investing
                    | Bankers, Markets &amp; Investors
            (2021/2 N° 165)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2021-2?lang=fr" type="text/html" rel="alternate" />
            <published>2021-06-08T00:00:00+02:00</published>
                <updated>2023-09-05T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 1 | Editorial comments
                                            |  Hubert Rodarie,  Jean-François Boulier
                                    </li>
                            <li>
                    Pages 3 à 11 | Out-performing corporate bonds indices with factor investing
                                            |  Thomas Heckel,  Zine Amghar,  Isaac Haik,  Olivier Laplénie,  Raul Leote de Carvalho
                                    </li>
                            <li>
                    Pages 13 à 22 | Factor Investing and ESG in the Corporate Bond Market Before and
During the COVID-19 Crisis
                                            |  Mohamed Ben Slimane,  Jean-Marie Dumas,  Takaya Sekine
                                    </li>
                            <li>
                    Pages 23 à 30 | Continuous innovation in factor credit strategies
                                            |  Patrick Houweling,  Frederik Muskens,  Robbert-Jan‘T Hoen
                                    </li>
                            <li>
                    Pages 31 à 40 | Fixed income factor portfolios for institutional investors
                                            |  Jay Raol,  Benton Chambers,  Amritpal Sidhu
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_164</id>
    <title type="html"><![CDATA[
        Behavioral Finance
                    | Bankers, Markets &amp; Investors
            (2021/1 N° 164)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2021-1?lang=fr" type="text/html" rel="alternate" />
            <published>2021-03-08T00:00:00+01:00</published>
                <updated>2023-09-05T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 2 | Behavioral Finance
                                            |  Marie Pfiffelmann,  Patrick Roger
                                    </li>
                            <li>
                    Pages 4 à 23 | How do anticipation and experience of regret affect financial
decision-making? A lab experiment
                                            |  Jean-François Gajewski,  Sima Ohadi
                                    </li>
                            <li>
                    Pages 24 à 38 | Dividend Policy and Managerial Overconfidence: French Evidence
                                            |  Sana Charbti,  Fabrice Hervé,  Évelyne Poincelot
                                    </li>
                            <li>
                    Pages 39 à 47 | What do we learn about CEOs’ behaviour through neurofinance?
                                            |  Guillaume Baechler,  Laurent Germain
                                    </li>
                            <li>
                    Pages 48 à 60 | A note on portfolio choice and behavioral finance: Some food for
thought
                                            |  Marie Pfiffelmann,  Patrick Roger
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_172</id>
    <title type="html"><![CDATA[
        Sustainable Finance Forum
                    | Bankers, Markets &amp; Investors
            (2023/1 N° 172-173)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2023-1?lang=fr" type="text/html" rel="alternate" />
            <published>2023-06-15T00:00:00+02:00</published>
                <updated>2023-07-18T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 3 à 3 | Editorial
                                            |  Jean-François Boulier
                                    </li>
                            <li>
                    Pages 4 à 14 | Determinants of green bond issuance: agency or stakeholder motives
matter?
                                            |  Dejan Glavas
                                    </li>
                            <li>
                    Pages 15 à 22 | Investors’ valuation of corporate CO<sub>2</sub> emissions: the
impact of the COVID-19 crisis
                                            |  Emmanuelle Fromont,  Thi Le Hoa Vo,  Gulliver Lux
                                    </li>
                            <li>
                    Pages 23 à 40 | Are Z Generation young people potential investors in sustainable
finance?
                                            |  Nadège Ribau-Peltre
                                    </li>
                            <li>
                    Pages 41 à 59 | Determinants of coal exit strategy in the banking industry
                                            |  Benoît Jamet,  Julien Bousquet,  Antoine Massé
                                    </li>
                            <li>
                    Pages 60 à 71 | Employee stock ownership and voluntary carbon disclosure
                                            |  Joseph Abdelnour,  Nicolas Aubert,  Walid Ben-Amar
                                    </li>
                            <li>
                    Pages 72 à 84 | Portfolio management with ESG news sentiment
                                            |  Stéphane Goutte,  Ron Grosse,  Hoang-Viet Le,  Fei Liu,  Hans-Jörg Von Mettenheim
                                    </li>
                            <li>
                    Pages 85 à 90 | Responsible finance and financial literacy
                                            |  Frédéric Lobez
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_169</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2022/2 N° 169)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2022-2?lang=fr" type="text/html" rel="alternate" />
            <published>2022-08-08T00:00:00+02:00</published>
                <updated>2023-03-01T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 2 à 12 | Judging the functioning of equity markets in 2020
                                            |  Mikael Petitjean
                                    </li>
                            <li>
                    Pages 13 à 23 | Do surcharges influence our choice of payment instrument? Theory
and evidence
                                            |  Bruno Karoubi
                                    </li>
                            <li>
                    Pages 24 à 30 | What do we know about zombie firms?
                                            |  Éric Séverin,  David Veganzones
                                    </li>
                            <li>
                    Pages 31 à 38 | Ownership and sustainability: the type of shareholder matters
                                            |  Franck Bancel,  Dejan Glavas
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:BMI_168</id>
    <title type="html"><![CDATA[
        Varia
                    | Bankers, Markets &amp; Investors
            (2022/1 N° 168)
            ]]></title>
        <link href="https://shs.cairn.info/revue-bankers-markets-et-investors-2022-1?lang=fr" type="text/html" rel="alternate" />
            <published>2022-03-08T00:00:00+01:00</published>
                <updated>2023-02-15T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 2 à 12 | How institutional framework shapes bank efficiency in Sub-Saharan
Africa
                                            |  Arnaud Tamini
                                    </li>
                            <li>
                    Pages 13 à 27 | Meeting the challenge of innovation in the banking industry: an
analysis through dynamic capabilities
                                            |  Jean Moussavou
                                    </li>
                            <li>
                    Pages 28 à 34 | Practical investment choice without mean-variance
                                            |  Stephen Satchell,  Jarrod Wilcox
                                    </li>
                            <li>
                    Pages 35 à 38 | Robo-advisors: what we know and what we expect
                                            |  Milo Bianchi,  Marie Brière
                                    </li>
                    </ul>
    ]]></content>
</entry>
    </feed>
