Contents: European Financial Management 2/2017

Published date01 March 2017
EUROPEAN
FINANCIAL MANAGEMENT
The Journal of the European Financial Management Association
VOLUME 23, NUMBER 2
MARCH 2017
A Theoretical Model for the Term Structure of Corporate Credit based on
Competitive Advantage 183
BALA RAJARATNAM, KANSHUKAN RAJARATNAM and
MYURAN RAJARATNAM
Due Diligence and Investee Performance 211
DOUGLAS CUMMING and SIMONA ZAMBELLI
Dynamic Asset Allocation with Liabilities 254
DANIEL GIAMOURIDIS, ATHANASIOS SAKKAS and
NIKOLAOS TESSAROMATIS
Bankers on the Board and CEO Incentives 292
MIN JUNG KANG and ANDY (Y. HAN) KIM
The Role of the Conditional Skewness and Kurtosis in VIX Index Valuation 325
SIMON LALANCETTE and JEAN-GUY SIMONATO
181

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