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Browsing by Author « Dionne, Georges »
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Risk Management and Corporate Governance: The Importance of Independence and Financial Knowledge for the Board and the Audit Committee | Dionne, Georges; Triki, Thouraya | Issue Date : 2005-05 |
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Risk Management : History, Definition and Critique | Dionne, Georges | Issue Date : 2013-03 |
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Scaling Models for the Severity and Frequency of External Operational Loss Data | Dahen, Hela; Dionne, Georges | Issue Date : 2007-01 |
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Securitization and Optimal Retention under Moral Hazard | Malekan, Sara; Dionne, Georges | Issue Date : 2012-04 |
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Separating Moral Hazard from Adverse Selection and Learning in Automobile Insurance: Longitudinal Evidence from France | Dionne, Georges; Michaud, Pierre-Carl; Dahchour, Maki | Issue Date : 2010-09 |
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Structured Finance, Risk Management, and the Recent Financial Crisis | Dionne, Georges | Issue Date : 2009-10 |
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Testing Explanations of Preference Reversal: a Model | Alarie, Yves; Dionne, Georges | Issue Date : 2005-04 |
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A Theoretical Extension of the Consumption-based CAPM Model | Li, Jingyuan; Dionne, Georges | Issue Date : 2010-12 |
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The Value of a Statistical Life: A Meta-Analysis with a Mixed Effects Regression Model | Bellavance, François; Dionne, Georges; Lebeau, Martin | Issue Date : 2006-12 |
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What about Underevaluating Operational Value at Risk in the Banking Sector? | Dionne, Georges; Dahen, Hela | Issue Date : 2007-09 |
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Showing results 51 to 60 of 60
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