Publications
Peut-on rendre les stock options versées aux dirigeants plus efficaces ?
EDHEC Position paper, November 2010
Adoption of Green Investing by Institutional Investors: A European Survey
EDHEC-Risk Institute publication, November 2010
Capital Structure, Derivatives and Equity Market Quality
October 2010
From Deterministic to Stochastic Life-Cycle Investing: Implications for the Design of Improved Forms of Target Date Funds
EDHEC-Risk Institute publication, September 2010
New Frontiers in Benchmarking and Liability-Driven Investing
EDHEC-Risk Institute publication, September 2010
Optimal Hedge Fund Allocation with Improved Estimates for Coskewness and Cokurtosis Parameters
EDHEC-Risk Institute publication, September 2010
Do Funds of Hedge Funds Really Add Value?
September 2010
La performance juridique : pour une vision stratégique du droit dans l'entreprise.
September 2010
Les propositions de l'EDHEC pour réformer l'enseignement supérieur : les contrats de formation supérieure
EDHEC Position paper, September 2010
Il faut préserver le Fonds de Réserve pour les Retraites
EDHEC Position paper, July 2010
Les pôles de compétitivité : gouvernance et performance des réseaux d'innovation
July 2010
Réformer la protection de l’emploi des seniors pour accompagner l’augmentation de l’âge de départ à la retraite : Que peut-on attendre d’une baisse du coût de licenciement d’un senior ?
EDHEC Position paper, July 2010
Coherent Stress Testing: A Bayesian Approach to the Analysis of Financial Stress
July 2010
EDHEC Survey of the Asset and Liability Management Practices of European Pension Funds
EDHEC-Risk Institute publication, June 2010
On the Impossibility of Sustainable Development without Culture
EDHEC Position paper, June 2010
Banking on Liquidity
June 2010
The Global Awareness Curriculum in International Business Programs: A Critical Perspective
Journal of Teaching in International Business , June 2010
Predicting bankruptcy using neural networks and other classification methods: The influence of variable selection techniques on model accuracy
Neurocomputing, Volume 73, June 2010, Pages 2047 - 2060
De la pertinence de la calibration du risque private equity dans la formule standard de Solvency II
EDHEC Value Creation Chair, Other study and expert report, May 2010
Solvency II: On the Suitability of the Calibration of Private Equity Risk in the Solvency II Standard Formula
EDHEC Value Creation Chair, Other study and expert report, May 2010
Communautés d’amateurs et création de valeur pour les musées : Le cas des Sociétés d’Amis des Musées (SAM)
Décisions Marketing, May 2010, Pages 33 - 42
Quels sont les rendements de l'immobilier résidentiel en Ile-de-France ?
EDHEC Position paper, May 2010
Spillover Effects of Counter-cyclical Market Regulation: Evidence from the 2008 Ban on Short Sales
EDHEC Position paper, April 2010
Organisation optimale de la liquidité des fonds d’investissement
EDHEC Position paper, April 2010
L’effet du système socio-fiscal sur les rendements privés de l’enseignement supérieur
EDHEC Position paper, March 2010
Improved Estimates of Higher-Order Comoments and Implications for Portfolio Selection
February 2010
Avantages ou désavantages des entreprises familiales ?
Revue Française de Gestion, Volume 36, January 2010, Pages 87 - 109
Faut-il plus protéger les emplois à bas salaires ?
EDHEC Position paper, January 2010
Does Finance Theory Make the Case for Capitalisation- Weighted Indexing?
EDHEC-Risk Institute publication, January 2010
Risk Control through Dynamic Core-Satellite Portfolios of ETFs: Applications to Absolute Return Funds and Tactical Asset Allocation
EDHEC-Risk Institute publication, January 2010
Efficient Indexation: An Alternative to Cap-Weighted Indices
EDHEC-Risk Institute publication, January 2010