Bank- en Financiewezen, 2033-7825

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  1. A Default Prediction Model for Belgian Manufacturing SME's

    Lamers, M., De Jonghe, F. & Janssens, E., 2010, In : Bank- en Financiewezen. 74, 1, p. 38-42 5 p.

    Research output: Contribution to journalArticleAcademicpeer-review

  2. Towards a more risk based approach in the supervision of European pension funds: Lessons to learn from Solvency II and FTK

    Knot, K. H. W., Lechkar, M. & Pröpper, M. H., 2008, In : Bank- en Financiewezen. 8, p. 459 - 466

    Research output: Contribution to journalArticleProfessional

  3. Socially responsible investing and management style of mutal funds in the Euronext stock markets

    Plantinga, A. & Scholtens, B., 2002, In : Revue Bancaire et Financière. 66, 4, p. 248 - 254 7 p.

    Research output: Contribution to journalArticleAcademicpeer-review

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