Jean-Pierre Gueyie
Jean-Pierre Gueyie
Professor of finance, School of Management, University of Quebec in Montreal
Adresse e-mail validée de uqam.ca
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Financial distress and corporate governance: an empirical analysis
F Elloumi, JP Gueyié
Corporate Governance: The international journal of business in society, 2001
4012001
Risk-adjusted performance of funds of hedge funds using a modified Sharpe ratio
GN Gregoriou, JP Gueyie
The Journal of wealth management 6 (3), 77-83, 2003
2062003
Financial intermediation and economic growth: evidence from Western Africa
RB Atindéhou, JP Gueyie*, EK Amenounve
Applied Financial Economics 15 (11), 777-790, 2005
1022005
CEO compensation, IOS and the role of corporate governance
F Elloumi, JP Gueyié
Corporate Governance: The international journal of business in society, 2001
732001
Bank moral hazard and the introduction of official deposit insurance in Canada
JP Gueyie
International Review of Economics & Finance 12 (2), 247-273, 2003
652003
Canadian chartered banks’ stock returns and exchange rate risk
RB Atindéhou, JP Gueyie
Management decision, 2001
652001
Risk-taking and charter value of commercial banks' from the NAFTA countries
KP Fischer, JP Gueyie, E Ortiz
INTERNATIONAL JOURNAL OF FINANCE 13 (1), 2027-2043, 2001
292001
Risk-taking and charter value of commercial banks' from the NAFTA countries
KP Fischer, JP Gueyie, E Ortiz
INTERNATIONAL JOURNAL OF FINANCE 13 (1), 2027-2043, 2001
292001
Optimal portfolio allocation using funds of hedge funds
JP Gueyie, SP Amvella
The Journal of Wealth Management 9 (2), 85-95, 2006
232006
Charter value and commercial banks’ risk-taking in the NAFTA countries
KP Fisher, JP Gueyie, E Ortiz
The International Journal of Finance 13 (2), 2027-2044, 2001
162001
Financial liberalization: Commercial bank's blessing or curse?
KP Fischer, JP Gueyie, E Ortiz
February 15, 1997). Working Paper, 1997
161997
Microfinance in developing countries: Issues, policies and performance evaluation
J Gueyie, R Manos, J Yaron
Springer, 2013
152013
Hedge funds in a portfolio context: A mean–modified value at risk framework
M Kooli, SP Amvella, JP Gueyie
Derivatives Use, Trading & Regulation 10 (4), 373-383, 2005
142005
Financial Liberalisation and Bank Solvency'
K Fischer, J Gueyie
University of Laval, Quebec, August, 1995
141995
Ownership structure and expropriation in stock exchange listed firms
Y Gadhoum, J Gueyie, M Hentati
Corporate ownership and control 3 (3), 79-87, 2006
112006
How do firms hedge risks? Empirical evidence from US oil and gas producers
M Mnasri, G Dionne, JP Gueyie
Empirical Evidence from US Oil and Gas Producers (December 26, 2013), 2013
102013
Efficience des institutions de microfinance regroupées en réseau: cas des mutuelles communautaires de croissance du Cameroun
JP Gueyie, É Nishimikijimana, JRK Kamdjoug
La revue des Sciences de Gestion, 103-109, 2010
102010
Microfinance and market-oriented microfinance institutions
JP Gueyié, KP Fischer
Canadian Journal of Development Studies/Revue canadienne d'études du …, 2009
92009
La décision de crédit
Y Gadhoum, JP Gueyié, MK Siala
La Revue des Sciences de Gestion, 177-183, 2007
92007
La décision de crédit
Y Gadhoum, JP Gueyié, MK Siala
La Revue des Sciences de Gestion, 177-183, 2007
92007
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