Publications
Shifting Towards Hybrid Pension Systems: A European Perspective
EDHEC-Risk Institute publication, March 2012
What Asset-Liability Management Strategy for Sovereign Wealth Funds?
EDHEC-Risk Institute publication, March 2012
Stock Return Predictability of Cross-Market Deviations in Option Prices and Credit Default Swap Spreads
March 2012
Shedding Light on Non-Financial Risks
EDHEC-Risk Institute publication, March 2012
PRIVATE BENEFITS OF CONTROL IN THE BANKING INDUSTRY: A CROSS-COUNTRY ANALYSIS
Corporate Ownership & Control, March 2012
Pension Fund Investment in Social Infrastructure
EDHEC-Risk Institute publication, February 2012
Dynamic Investment Strategies for Corporate Pension Funds in the Presence of Sponsor Risk
EDHEC-Risk Institute publication, February 2012
De la modulation des subventions à la formation continue des salariés
EDHEC Position paper, February 2012
Which growth Strategy for LOTUS Original Speculoos on the French market: focusing on the core market or diversifying into new one?
February 2012
Asset Prices in General Equilibrium with Transactions Costs and Recursive Utility
February 2012
Quelle stratégie de croissance pour Original Speculoos de LOTUS BAKERIES sur le marché français: focus sur son cœur de métier ou diversification sur de nouveaux marchés?
February 2012
COSMEBIO, ECOCERT, BDIH et les autres : La perception des labels en cosmétique biologique
CCMP M1763, February 2012
Introducing the EDHEC-Risk Solvency Benchmarks – Maximising the Benefits of Equity Investments for Insurance Companies facing Solvency II Constraints
EDHEC-Risk Institute publication, January 2012
Les estimateurs de marché optimaux de la performance de l’immobilier de bureaux en France
EDHEC Position paper, January 2012
La dégradation des rendements locatifs affectera l’évolution des prix de l’immobilier
EDHEC Position paper, January 2012
Capturing the Risk Premium of Commodity Futures: The Role of Hedging Pressure
January 2012
The influence of variable selection methods on the accuracy of bankruptcy prediction models
Bankers, Markets and Investors, January 2012, Pages 20 - 39
Understanding Mergers and Acquisitions in the 21st Century: A Multidisciplinary Approach.
January 2012
Learning at the Crossroads of Theory and Practice : Advances in Business Education and Training.
January 2012