No. 28-4, September 2022
Index
- Automated investment management: Comparing the design and performance of international robo‐managers
- Discounting and the market valuation of defined benefit pensions
- Enhanced indexing and selectivity theory
- Euro area banks' interest rate risk exposure to level, slope and curvature swings in the yield curve
- Hedge inflation risk of specific purpose guarantee funds
- Issue Information: European Financial Management 4/2022
- Seven myths of ESG
- The Banking Union and evidence on bail‐ins and bailouts
- The bias of growth opportunity