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    <title>Finance | Cairn.info</title>
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    <id>tag:cairn.info,2005:rss/revue/FINA</id>
    <rights>Cairn.info 2026</rights>

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    <updated>2026-03-02T00:00:00+01:00</updated>

                <entry>
    <id>tag:cairn.info,2005:numero:FINA_PR</id>
    <title type="html"><![CDATA[
        Publications anticipées
                    | Finance
            (2026/0 Pub. anticipées)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2026-0?lang=fr" type="text/html" rel="alternate" />
            <published>2026-03-02T00:00:00+01:00</published>
                <updated>2026-03-02T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages I49 à LVI | Assessing the Drivers of Robo-Advisor Reprofiling: Evidence of
Time-Varying Risk Aversion
                                            |  Sylvain Benoit,  Jérémy Dudek,  Indigo Jones
                                    </li>
                            <li>
                    Pages I51 à XLV | Algorithmic vs. Human Portfolio Choice
                                            |  Béatrice Boulu-Reshef,  Alexis Direr,  Nicole von Wilczur
                                    </li>
                            <li>
                    Pages I52 à L | Understanding Stock Price Crashes: The Influence of Goodwill and
Economic Policy Uncertainty
                                            |  Amal Hsissou
                                    </li>
                            <li>
                    Pages I54 à XXXVII | Do Blockchain Competent Investors’ Sentiments Drive Bitcoin
Volatility: A Machine Learning and Nonlinear Analysis?
                                            |  David Bourghelle,  Pierre Fay,  Fredj Jawadi
                                    </li>
                            <li>
                    Pages I55 à L | Forecasting stock prices: Deep Learning and Full Order Book
Dynamics
                                            |  Léo Dody
                                    </li>
                            <li>
                    Pages I56 à LVI | The impact of IFRS 9 on bank lending: Evidence from Croatia
                                            |  Marina Puljiz,  Michael Troege
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_471</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2026/1 Vol. 47)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2026-1?lang=fr" type="text/html" rel="alternate" />
            <published>2026-02-17T00:00:00+01:00</published>
                <updated>2026-02-17T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 5 à 6 | Editorial
                                            |  Christophe J. Godlewski,  Christophe J. Godlewski
                                    </li>
                            <li>
                    Pages 7 à 23 | The Welfare Costs of Energy Inflation
                                            |  Apostolos Serletis,  Libo Xu
                                    </li>
                            <li>
                    Pages 24 à 96 | Macro-Financial Spillovers between Stock Markets &amp;
Cryptocurrencies
                                            |  Pavlos Koulmas,  Arsenios-Georgios Prelorentzos,  Panos Xidonas,  Stéphane Goutte,  Panayotis G. Michaelides
                                    </li>
                            <li>
                    Pages 97 à 141 | Interday Cross-Sectional Momentum: Global Evidence and Determinants
                                            |  Sebastian Schlie,  Xiaozhou Zhou
                                    </li>
                            <li>
                    Pages 142 à 187 | Mapping the Evolution: A Fifteen-Year Bibliometric Analysis of
<i>Finance</i>
                                            |  Dejan Glavas,  Alexandre Renaud,  Raphaël Maucuer
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_463</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2025/3 Vol. 46)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2025-3?lang=fr" type="text/html" rel="alternate" />
            <published>2025-11-17T00:00:00+01:00</published>
                <updated>2025-11-17T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 5 à 6 | Editorial
                                            |  Christophe J. Godlewski
                                    </li>
                            <li>
                    Pages 7 à 67 | Debt and Wages: The Role of Labor Regulation
                                            |  Thomas David,  Christophe Moussu
                                    </li>
                            <li>
                    Pages 68 à 102 | In Business Groups We Trust
                                            |  Anaïs Hamelin,  Vivien Lefebvre,  Laurent Weill
                                    </li>
                            <li>
                    Pages 103 à 175 | Stock Markets Reactions to Women Appointments and National Culture
as a Moderator
                                            |  Loïc Dubois,  Hind Sami,  Loredana Ureche-Rangau
                                    </li>
                            <li>
                    Pages 176 à 216 | Not all Analysts are Created Equal: Evidence from Seasoned Equity
Offerings
                                            |  Hassan Raza Kazmi,  Pascal Dumontier
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_462</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2025/2 Vol. 46)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2025-2?lang=fr" type="text/html" rel="alternate" />
            <published>2025-07-04T00:00:00+02:00</published>
                <updated>2025-07-04T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 5 à 6 | Editorial
                                            |  Christophe J. Godlewski
                                    </li>
                            <li>
                    Pages 7 à 51 | Uncovering the profile of passive exchange-traded fund retail
investors
                                            |  Catherine D’Hondt,  Mikael Petitjean,  Younes Elhichou Elmaya
                                    </li>
                            <li>
                    Pages 52 à 100 | Heterogeneity of Family Firms and Carbon Emissions: Which Factors
Matter?
                                            |  Assil Guizani,  Faten Lakhal,  Florence Depoers,  Emna Brahem
                                    </li>
                            <li>
                    Pages 101 à 131 | How trust shapes the structure of banks
                                            |  Frédéric Lobez,  Ly Hoang Vu,  Jean-Christophe Statnik
                                    </li>
                            <li>
                    Pages 132 à 171 | Do CEOs Manipulate R&amp;D Expenses to Increase their Bonus? French
Evidence
                                            |  Alexandre Di Giacomo,  Enrico Prinz
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_461</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2025/1 Vol. 46)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2025-1?lang=fr" type="text/html" rel="alternate" />
            <published>2025-02-17T00:00:00+01:00</published>
                <updated>2025-02-17T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 7 à 36 | Cross-border supervisory cooperation: a progress report and
research agenda
                                            |  Thorsten Beck
                                    </li>
                            <li>
                    Pages 37 à 80 | The Market Timing of Mergers and Acquisitions – Evidence from
Ramadan
                                            |  Muhammad Farooq Ahmad,  Helen Bollaert
                                    </li>
                            <li>
                    Pages 81 à 129 | Are ESG Ratings Informative To Forecast Idiosyncratic Risk?
                                            |  Christophe Boucher,  Wassim Le Lann,  Stéphane Matton,  Sessi Tokpavi
                                    </li>
                            <li>
                    Pages 130 à 192 | Private Information And Trading Speed
                                            |  Hervé Boco,  Laurent Germain,  Fabrice Rousseau
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_453</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2024/3 Vol. 45)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2024-3?lang=fr" type="text/html" rel="alternate" />
            <published>2024-11-05T00:00:00+01:00</published>
                <updated>2024-11-05T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 4 | Pages de début
                                    </li>
                            <li>
                    Pages 5 à 6 | Editorial
                                            |  Christophe J. Godlewski
                                    </li>
                            <li>
                    Pages 7 à 59 | Valuing downside risk on international stock markets
                                            |  Prince Hikouatcha,  Roméo Tédongap
                                    </li>
                            <li>
                    Pages 60 à 80 | Model Comparison in French Stock Returns
                                            |  Michael O’Connell
                                    </li>
                            <li>
                    Pages 81 à 113 | Optimal Portfolio Allocation with Long-Short Strategies:
Application to Factor Investing
                                            |  Philippe Bertrand,  Jean-Luc Prigent
                                    </li>
                            <li>
                    Pages 114 à 159 | Size does matter, as well as sector activities: Systemic Risk
Sensitivities of financial firms in the U.S. and European Stock
Markets
                                            |  Philippe Madiès,  Mathis Mourey,  Ollivier Taramasco
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_452</id>
    <title type="html"><![CDATA[
        New Trends in Social and Sustainable Finance
                    | Finance
            (2024/2 Vol. 45)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2024-2?lang=fr" type="text/html" rel="alternate" />
            <published>2024-01-11T00:00:00+01:00</published>
                <updated>2024-06-18T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 7 à 42 | Donors talk: The signaling and imprinting effects of giving to
social enterprises
                                            |  Bert D’Espallier,  Marek Hudon,  Susanna Khavul,  Ariane Szafarz
                                    </li>
                            <li>
                    Pages 43 à 89 | Board Gender Diversity and ESG: The Influence of the Varieties of
Capitalism
                                            |  Isabelle Allemand,  Daniela Borodak,  Xavier Hollandts
                                    </li>
                            <li>
                    Pages 90 à 145 | Does CSR Help Firms to Cope with Supply Chain Disruptions? Evidence
from the Suez Canal Ever Given Obstruction
                                            |  Eric De Bodt,  Jean-Gabriel Cousin,  Marion Dupire
                                    </li>
                            <li>
                    Pages 146 à 187 | Can Startups Disrupt the Gender Pay Gap? Disruption of Economic
Exclusion A Two-Tiered Approach,
                                            |  Max Berre
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_444</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2024/1 Vol. 45)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2024-1?lang=fr" type="text/html" rel="alternate" />
            <published>2023-12-21T00:00:00+01:00</published>
                <updated>2023-12-21T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 3 à 61 | Encouraging long-term shareholders: The effects of loyalty shares
with double voting rights
                                            |  François Belot,  Edith Ginglinger,  Laura T. Starks
                                    </li>
                            <li>
                    Pages 62 à 113 | Does State Ownership Impact Green Bond Issuance? International
Evidence
                                            |  Dejan Glavas,  Franck Bancel
                                    </li>
                            <li>
                    Pages 114 à 145 | Mind the conversion risk: contingent convertible bonds as a
transmission channel of systemic risk
                                            |  Gaëtan Le Quang
                                    </li>
                            <li>
                    Pages 145 à 195 | Climate Interconnectedness and Financial Stability
                                            |  Miia Chabot,  Jean-Louis Bertrand,  Valentin Courquin
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_443</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2023/3 Vol. 44)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2023-3?lang=fr" type="text/html" rel="alternate" />
            <published>2023-05-17T00:00:00+02:00</published>
                <updated>2023-05-22T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 3 à 4 | Special issue editorial
                                    </li>
                            <li>
                    Pages 5 à 46 | Does government stability affect the banking system’s stability?
                                            |  Nicolae Stef,  Sophia Dimelis
                                    </li>
                            <li>
                    Pages 47 à 108 | Excess Control Rights, Multiple Large Shareholders, and Corporate
Cash Holding Behavior
                                            |  Ramzi Benkraiem,  Sabri Boubaker,  Imen Derouiche,  Emilios Galariotis
                                    </li>
                            <li>
                    Pages 109 à 153 | Proximity with affinity: How M&amp;A top executives could
exacerbate agency conflicts?
                                            |  Jean-Gabriel Cousin,  Marion Dupire,  Jean-Yves Filbien
                                    </li>
                            <li>
                    Pages 154 à 198 | Sign effects of volatility and jumps in forex markets and a
reappraisal of meteor showers and heat waves
                                            |  Massimiliano Caporin,  Syed Jawad Hussain Shahzad
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_442</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2023/2 Vol. 44)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2023-2?lang=fr" type="text/html" rel="alternate" />
            <published>2023-03-23T00:00:00+01:00</published>
                <updated>2023-03-31T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 3 à 36 | The Impacts of Incentive Contracts and Hormones on Risk Taking
                                            |  François Desmoulins-Lebeault,  Jean-François Gajewski,  Luc Meunier
                                    </li>
                            <li>
                    Pages 37 à 68 | Stock Price Crash Risk, Managerial Ownership, and Cost of Debt
                                            |  Florence Depoers,  Assil Guizani,  Faten Lakhal
                                    </li>
                            <li>
                    Pages 69 à 111 | Why Do Investors Buy Shares of Actively Managed Equity Mutual
Funds? Considering the Correct Reference Portfolio from an
Uninformed Investor’s Perspective
                                            |  Radu Burlacu,  Patrice Fontaine,  Sonia Jimenez-Garces
                                    </li>
                            <li>
                    Pages 112 à 148 | Development of a Shadow Rating Model
                                            |  Rémy Estran,  Victor-Manuel de Fabritus,  Antoine Souchaud
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_441</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2023/1 Vol. 44)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2023-1?lang=fr" type="text/html" rel="alternate" />
            <published>2023-01-05T00:00:00+01:00</published>
                <updated>2023-01-05T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 3 à 63 | Board gender quotas: can women realistically boost firm
performance?
                                            |  Cécile Casteuble,  Laetitia Lepetit,  Thu Ha Tran
                                    </li>
                            <li>
                    Pages 64 à 102 | Mutual Fund Screening Versus Weighting
                                            |  Roman Skripnik
                                    </li>
                            <li>
                    Pages 103 à 153 | How do Large Firms Manage their Banking Pools?
                                            |  Thomas David,  Michael Troege
                                    </li>
                            <li>
                    Pages 154 à 194 | Distance in Reward-Based Crowdfunding
                                            |  Ludovic Vigneron
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_433</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2022/3 Vol. 43)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2022-3?lang=fr" type="text/html" rel="alternate" />
            <published>2022-09-06T00:00:00+02:00</published>
                <updated>2022-10-13T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 3 à 36 | The Benefit of Cross-Border Investments in the Chinese Emerging
Venture Capital and Private Equity Market
                                            |  Fabio Bertoni,  Alexander Peter Groh
                                    </li>
                            <li>
                    Pages 37 à 117 | Mergers and Acquisitions Across Cultures
                                            |  Muhammad Farooq Ahmad,  Eric De Bodt,  Helen Bollaert
                                    </li>
                            <li>
                    Pages 119 à 158 | The rise of fast trading: Curse or blessing for liquidity?
                                            |  Christophe Desagre,  Catherine D’Hondt,  Mikael Petitjean
                                    </li>
                            <li>
                    Pages 159 à 220 | Bankruptcy Reform, Credit Availability, and Financial Distress
                                            |  Hamid Boustanifar
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_432</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2022/2 Vol. 43)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2022-2?lang=fr" type="text/html" rel="alternate" />
            <published>2022-05-06T00:00:00+02:00</published>
                <updated>2022-06-07T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 1 à 78 | Asset pricing models with measurement error problems: A new
framework with Compact Genetic Algorithms
                                            |  Erkin Diyarbakirlioglu,  Marc Desban,  Souad Lajili Jarjir
                                    </li>
                            <li>
                    Pages 79 à 110 | Incentive Fees with a Moving Benchmark and Portfolio Selection
under Loss Aversion
                                            |  Constantin Mellios,  Anh Ngoc Lai
                                    </li>
                            <li>
                    Pages 111 à 158 | Timing the Size Risk Premia
                                            |  Serge Darolles,  Gaëlle Le Fol,  Gulten Mero
                                    </li>
                            <li>
                    Pages 159 à 194 | The oak and the reed: Working capital management and the role of
business group affiliation
                                            |  Vivien Lefebvre,  Anaïs Hamelin
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_431</id>
    <title type="html"><![CDATA[
        Special issue honoring the memory of Professor Roland Portait
                    | Finance
            (2022/1 Vol. 43)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2022-1?lang=fr" type="text/html" rel="alternate" />
            <published>2022-03-01T00:00:00+01:00</published>
                <updated>2022-03-17T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 3 à 45 | Honoring the Memory of Professor Roland Portait
                                            |  Patrice Poncet,  Patricia Charléty,  Bernard Dumas,  Isabelle Bajeux-Besnainou,  Benjamin Croitoru
                                    </li>
                            <li>
                    Pages 47 à 94 | Portfolio Optimization and Asset Pricing Implications under Returns
Non-Normality Concerns
                                            |  Roméo Tédongap,  Jules Tinang
                                    </li>
                            <li>
                    Pages 95 à 121 | Portfolio choice and mental accounts: A comparison with traditional
approaches
                                            |  Georges Hübner,  Thomas Lejeune
                                    </li>
                            <li>
                    Pages 123 à 150 | Performance Participation Strategies: OBPP versus CPPP
                                            |  Philippe Bertrand,  Jean-Luc Prigent
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_423</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2021/3 Vol. 42)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2021-3?lang=fr" type="text/html" rel="alternate" />
            <published>2021-11-16T00:00:00+01:00</published>
                <updated>2021-11-30T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 7 à 55 | When Overconfident Traders Meet Feedback Traders
                                            |  Hervé Boco,  Laurent Germain,  Fabrice Rousseau
                                    </li>
                            <li>
                    Pages 57 à 98 | Cash holdings in privately held firms: A closer look on the
precautionary motivation for smaller firms
                                            |  Vivien Lefebvre
                                    </li>
                            <li>
                    Pages 99 à 137 | The Resilience of French Companies to the COVID-19 Crisis
                                            |  Alexandre Garel,  Arthur Petit-Romec
                                    </li>
                            <li>
                    Pages 139 à 179 | Credit spread determinants. How loan officer seniority matters
                                            |  Marion Dupire,  Frédéric Lobez,  Jean-Christophe Statnik
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_422</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2021/2 Vol. 42)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2021-2?lang=fr" type="text/html" rel="alternate" />
            <published>2021-07-12T00:00:00+02:00</published>
                <updated>2021-07-21T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 7 à 37 | Hyperbolic or exponential time discounting function?
                                            |  Hubert de La Bruslerie,  Alain Coën
                                    </li>
                            <li>
                    Pages 39 à 80 | Foreign Stock Investment and Sophistication of French Retail
Investors
                                            |  Hava Orkut
                                    </li>
                            <li>
                    Pages 81 à 115 | Bond Fund Fragility: Flow Reactions to Extremely Negative Return
Shocks
                                            |  Raphaëlle Bellando,  Laura-Dona Capotă,  Sébastien Galanti
                                    </li>
                            <li>
                    Pages 117 à 163 | Cross-Asset Holdings and the Interbank Lending Market
                                            |  Olessia Caillé,  Louis Raffestin
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_421</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2021/1 Vol. 42)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2021-1?lang=fr" type="text/html" rel="alternate" />
            <published>2021-05-18T00:00:00+02:00</published>
                <updated>2021-05-26T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 7 à 49 | Board Gender Diversity and&#160;Corporate&#160;Cash&#160;Holdings
                                            |  Aitzaz Ahsan Alias Sarang,  Nicolas Aubert,  Xavier Hollandts
                                    </li>
                            <li>
                    Pages 51 à 109 | Controlling shareholders and CEO pay&#160;monitoring: A panel
threshold approach on the degree and seniority of control
                                            |  Lionel Almeida
                                    </li>
                            <li>
                    Pages 111 à 154 | Why is there a Home Bias? An Analysis of&#160;US&#160;REITs
Geographic Concentration
                                            |  Alain Coën,  Arnaud Simon,  Saadallah Zaiter
                                    </li>
                            <li>
                    Pages 155 à 219 | Family Control, Stock Price Levels, and&#160;Stock&#160;Split
Activity
                                            |  François Belot,  Timothée Waxin
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_413</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2020/3 Vol. 41)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2020-3?lang=fr" type="text/html" rel="alternate" />
            <published>2020-11-30T00:00:00+01:00</published>
                <updated>2020-12-11T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 7 à 50 | Does corruption impact the demand for bank&#160;credit? A study of
discouraged borrowers in&#160;Asian developing countries
                                            |  Jean-Christophe Statnik,  Thi-Le-Giang Vu
                                    </li>
                            <li>
                    Pages 51 à 92 | Stock returns and weather: The&#160;case&#160;of&#160;European
listed energy firms
                                            |  Jean-Louis Bertrand,  Miia Chabot
                                    </li>
                            <li>
                    Pages 93 à 131 | Bankruptcy of ECF-funded firms: Evidence&#160;from France
                                            |  Karima Bouaiss,  Carine Girard-Guerraud,  Constantin Zopounidis
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_412</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2020/2 Vol. 41)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2020-2?lang=fr" type="text/html" rel="alternate" />
            <published>2020-06-04T00:00:00+02:00</published>
                <updated>2020-06-15T00:00:00+02:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 7 à 51 | Making a Difference: European Mutual Funds Distinctiveness and
Peers’ Performance
                                            |  Sophie Béreau,  Jean-Yves Gnabo,  Henri Vanhomwegen
                                    </li>
                            <li>
                    Pages 53 à 106 | Cash Holdings and the Selection Effect in&#160;the&#160;Eurozone
                                            |  Philippe Dupuy,  Michel Albouy,  Christophe Bonnet,  Safwan Mchawrab
                                    </li>
                            <li>
                    Pages 109 à 139 | The Ups and Downs of European Real Estate Markets’ Integration
                                            |  Jean-François Carpantier,  Christelle Sapata
                                    </li>
                    </ul>
    ]]></content>
</entry>
            <entry>
    <id>tag:cairn.info,2005:numero:FINA_411</id>
    <title type="html"><![CDATA[
        Varia
                    | Finance
            (2020/1 Vol. 41)
            ]]></title>
        <link href="https://shs.cairn.info/revue-finance-2020-1?lang=fr" type="text/html" rel="alternate" />
            <published>2020-02-24T00:00:00+01:00</published>
                <updated>2020-03-04T00:00:00+01:00</updated>
            <content type="html"><![CDATA[
        <ul>
                            <li>
                    Pages 7 à 51 | Green Regulation and Stock Price Reaction to Green Bond Issuance
                                            |  Dejan Glavas
                                    </li>
                            <li>
                    Pages 53 à 95 | A re-examination of analysts’ differential target price forecasting
ability
                                            |  Patrice Fontaine,  Tristan Roger
                                    </li>
                            <li>
                    Pages 97 à 176 | International Mutual Funds Performance and Persistence across the
Universe of Performance Measures
                                            |  Philippe Cogneau,  Georges Hübner
                                    </li>
                    </ul>
    ]]></content>
</entry>
    </feed>
