Publications
Comparing Different Regulatory Measures to Control Stock Market Volatility: A General Equilibrium Analysis
January 2015
Pulling the trigger
nds Europe, January 2015, Pages 68 - 69
Quelle gouvernance et quelles institutions au Maghreb face aux enjeux géostratégiques ?
January 2015
Reconciling risk with smart factors
nds Europe, October 2014, Pages 54 - 56
New Horizons and Familiar Landscapes: New Capital Sources Confront Shifting Real Estate Fundamentals
The Journal of Portfolio Management, January 2015
The Ins and Outs Business and Professional Discourse Research Reflections on Interacting with the Workplace.
January 2015
Towards Smart Equity Factor Indices: Harvesting Risk Premia Without Taking Unrewarded Risks
Journal of Portfolio Management, January 2015
BFR et difficultés financières dans les TPE françaises : étude exploratoire des trajectoires de faillite
La Revue des Sciences de Gestion , January 2015
Measuring and explaining pension system risk
Journal of Pension Economics and Finance, January 2015
Altering student preferences for takeover entrepreneurship: action research based on threshold theory
International Journal of Entrepreneurship and Small Business, January 2015
Concevoir la loi comme une innovation (juridique)
Juriste d'Entreprise Magazine, January 2015
Investigating the Performance of Non-Gaussian Stochastic Intensity Models in the Calibration of Credit Default Swap Spreads
Computational Economics, January 2015
Domyos or the fitness revolution: Innovation within Services
CCMP M1873(GB), March 2015
Les réactions affectives du consommateur : ces raisons du coeur que la raison ignore. Mélanges en l'honneur du Professeur Christian Derbaix.
January 2015
Hedging Inflation-Linked Liabilities without Inflation-Linked Instruments through Long/Short Investments in Nominal Bonds
urnal of Fixed Income, Volume 24, January 2015, Pages 5 - 29
Equity Portfolios with Improved Liability-Hedging Benefits
EDHEC-Risk Institute publication, December 2014
Corporate governance and the information environment: Evidence from Chinese stock markets
International Review of Financial Analysis, December 2014
Why Haven’t Weather Derivatives Been More Successful as Futures Contracts? A Case Study
December 2014
The shopscapes: a tool and a methodology to better grasp kid’s experiences of retailing.
International Journal of Retail and Distribution Management, Volume 42, December 2014, Pages 974 - 989
Pour une politique publique de soutien à la formation professionnelle continue dépendante de l'âge.
EDHEC Position paper, November 2014
Practical Commodity Futures Trading Principles
November 2014
Why Some Futures Contracts Succeed and Others Fail: A Survey of Relevant Research
October 2014
Comment transformer un business model? Suivez l’exemple de Lego, Casino ou encore Club Med
Other study and expert report, September 2014
How Much Construction Risk do Sponsors Take in Project Finance?
EDHEC-Risk Institute publication, September 2014
Que peut-on attendre d'un prêt à remboursement contingent au revenu pour les étudiants en France ?
EDHEC Position paper, September 2014
Finance and employment: Evidence from U.S. banking reforms
Journal of Banking and Finance, September 2014
The Impact of Risk Controls and Strategy-Specific Risk Diversification on Extreme Risk
EDHEC-Risk Institute publication, August 2014
Information acquisition, foreign bank entry, and credit allocation
Quarterly Review of Economics and Finance, August 2014
Unlisted Infrastructure Debt Valuation & Performance Measurement
EDHEC-Risk Institute publication, July 2014