Content
2023
- 2023-001 On the relationship between Jorda?s IRF local projection and Dufour et al.?s robust (p,h)-autoregression multihorizon causality: a note
by François-Éric Racicota & David Tessierc
2021
- 2021-010 Enterprise Risk Management and Solvency: The Case of the Listed EU Insurers
by Duc Khuong Nguyen & Dinh-Tri Vo - 2021-009 Predicting French SME Failures: New Evidence from Machine Learning Techniques
by Christophe Schalck & Meryem Schalck - 2021-008 Local Bank, Digital Financial Inclusion and SME Financing Constraints: Empirical Evidence from China
by Zhiqiang Lu & Junjie Wu & Hongyu Li & Duc Khuong Nguyen - 2021-007 Representation of Chinese Language and Culture Through Analysis of Media Coverage of Linguistic Education in France
by Joël Bellassen & Charlotte Wang - 2021-006 Is Corporate Social Responsibility an Agency Problem? An Empirical Note from Takeovers
by Mussa Hussain & Nazim Hussain & Duc Khuong Nguyen & Ugo Rigoni - 2021-005 Liquid, Solid and In-Between: Service Relationships in Global Mobility
by Alisa Minina & Jonas Holmqvist - 2021-004 Covid-19 Outbreak and CO2 Emissions: Macro-Financial Linkages
by Julien Chevallier - 2021-003 Statistical Arbitrage: Factor Investing Approach
by Erdinc Akyildirim & Ahmet Goncu & Alper Hekimoglu & Duc Khuong Nguyen & Ahmet Sensoy - 2021-002 Broker Network Connectivity and the Cross-Section of Expected Stock Returns
by Murat Tiniç & Ahmet Sensoy & Muge Demir & Duc Khuong Nguyen - 2021-001 Covid-19 Pandemic and Financial Contagion
by Julien Chevallier
2020
- 2020-012 Ranking with a Euclidean Common Set of Weights in Data Envelopment Analysis: With Application to the Eurozone Banking Sector
by Helmi Hammami & Thanh Ngo & Dinh-Tri Vo & David Trip - 2020-011 Regime Changes and Fiscal Sustainability in Kenya with Comparative Nonlinear Granger Causalities Across East-African Countries
by William Nganga Irungu & Julien Chevallier & Simon Wagura Ndiritu - 2020-010 On the Efficiency of Foreign Exchange Markets in Times of the COVID-19 Pandemic
by Faheem Aslam & Saqib Aziz & Duc K. Nguyen & Khurram S. Mughal & Maaz Khan - 2020-009 Asset Classes and Portfolio Diversification: Evidence from a Stochastic Spanning Approach
by Duc Khuong Nguyen & Nikolas Topaloglou & Thomas Walther - 2020-008 A Characterization of CAT Bond Performance Indices
by Denis-Alexandre Trottier & Van Son Lai & Frédéric Godin - 2020-007 The Importance of Considering Optimal Government Policy When Social Norms Matter for the Private Provision of Public Goods
by Guy Meunier & Ingmar Schumacher - 2020-006 Dynamics of Return and Liquidity (Co)Jumps in Emerging Foreign Exchange Markets
by Suleyman Serdengeçti & Ahmet Sensoy & Duc Khuong Nguyen - 2020-005 Securite? Des Navires et Gouvernance Internationale : Quel Rôle Pour Les Sociétés de Classification ? Une Approche Selon Bourdieu
by Raphael LISSILLOUR & Dominique BONET FERNANDEZ - 2020-004 Analyse d?impact du Moment de Décaissement d?un Produit avec Garantie de Rachat Viager
by Maxime Turgeon-Rhéaume & Van Son Lai - 2020-003 Suggestions for a Covid-19 Post-Pandemic Research Agenda in Environmental Economics
by Robert J R Elliott & Ingmar Schumacher & Cees Withagen - 2020-002 Confiance et Economie Collaborative : Etude d?une Communauté d?autopartage
by D. Bonet Fernandez & Marc Van Migom & Elisa Conti & Claude Alavoine - 2020-001 Advancing Research on Creativity in Family Firms
by Julia Vincent Ponroy & Dianne & H.B. Welsh
2019
- 2019-015 In a Family Way? A Model of Family Firm Identity Maintenance by Non-Family Members
by Julia VINCENT PONROY & Patrick LÊ & Camille PRADIES - 2019-014 Option Pricing Under Regime-Switching Models: Novel Approaches Removing Path-Dependence
by Frédéric Godiny & Van Son Lai & Denis-Alexandre Trottier - 2019-013 Life Narratives, a Research Method in Social Sciences
by Julia VINCENT PONROY & Françoise CHEVALIER - 2019-012 How Does the Stock Market View Bank Regulatory Capital Forbearance Policies?
by Van Son Lai & Xiaoxia Ye - 2019-011 Order Flow Persistence in Equity Spot and Futures Markets: Evidence from a Dynamic Emerging Market
by Erdinc Akyildirim & Shaen Corbet & Guzhan Gulay & Duc Khuong Nguyen & Ahmet Sensoy - 2019-010 Including intangible costs into the cost-of-illness approach: a method refinement illustrated based on the PM2.5 economic burden in China
by Bangzhu Zhu & Runzhi Pang & Julien Chevallier & Yi-Ming Wei & Dinh-Tri Vo - 2019-009 Dynamic Volatility Spillover Effect between Oil and Agricultural Products
by Pick Schen Yip & Robert Brooks & Hung Xuan Do & Duc Khuong Nguyen - 2019-008 Diversification Benefits of Cat Bonds: An In-Depth Examination
by Karl Demers-Bélanger & Van Son Lai - 2019-007 The Role of Sexual Orientation in Entrepreneurial Intention: The Case of Parisian LGB People
by Rony Germon & Séverine Leloarne & Myriam Razgallah & Myriam Razgallah & Adnane Maalaoui - 2019-006 When Is Transparent Packaging Beneficial?
by Ouidade Sabri & Van Doan Hai & Faten Malek & Hager Bachouche - 2019-005 Regulatory Changes and Long-run Relationships of the EMU Sovereign Debt Markets: Implications for Future Policy Framework
by Erdinc Akyildirim & Shaen Corbet & Duc Khuong Nguyene & Ahmet Sensoy - 2019-004 A General Class of Distortion Operators for Pricing Contingent Claims with Applications to CAT Bonds
by Frédéric Godin & Van Son Lai & Denis-Alexandre Trottier - 2019-003 Rejoindre L?entreprise Familiale et Y Rester? Une Analyse du Contrat Psychologique Entre Employés Non-Familiaux et Entreprise Familiale
by Julia Vincent Ponroy & Julia Vincent Ponroy - 2019-002 How Subjective Age Affects Entrepreneurship: The Effects of Rejuvenating Trend on Entrepreneurial Intention among Seniors
by Adnane MAALAOUI & Imen SAFRAOU & Judith PARTOUCHE & Celine Viala - 2019-001 Empowerment in Marketing: Synthesis, Critical Review, and Agenda for Future Research
by Hajer Bachouche & Ouidade Sabri
2018
- 2018-011 Favoring Your In-Group Can Harm Both Them and You: Ethnicity and Public Goods Provision in China
by César Mantilla & Ling Zhou & Charlotte Wang & Donghui Yang & Suping Shene & Paul Seabright - 2018-010 Allocating Provincial CO2 Quotas for the Chinese National Carbon Program
by Minxing Jiang & Bangzhu Zhu & Julien Chevallier & Rui Xie - 2018-009 Dynamic Integration and Network Structure of the EMU Sovereign Bond Markets
by Ahmet Sensoy & Duc Khuong Nguyen & Erk Hacihasanoglu & Ahmed Rostom - 2018-008 Discretionary Idiosyncratic Risk, Firm Cash Holdings and Investment
by Van Son Lai & Duc Khuong Nguyen & William Sodjahin & Issouf Soumaré - 2018-007 Financial Development, Government Bond Returns, and Stability: International Evidence
by Sabri Boubaker & Duc Khuong Nguyen & Vanja Piljak & Andreas Savvides - 2018-006 Le Récit de Vie, Méthode de Recherche en Sciences Sociales
by Julia VINCENT-PONROY & Françoise CHEVALIER - 2018-005 Parent-Offspring Conflict over Mate Choice: An Experimental Investigation Using a Chinese Marriage Market
by Jeanne Bovet & Eva Raiber & Weiwei Ren & Charlotte Wang & Paul Seabright - 2018-004 A Tale of Two Risks in the EMU Sovereign Debt Markets
by Erdinc Akyildirim & Duc Khuong Nguyen & Ahmet Sensoy - 2018-003 Banks? Non-Traditional Activities Under Regulatory Changes: Impact on Risk, Performance and Capital Adequacy
by Jean-Pierre Gueyié & Alaa Guidara & Van Son Lai - 2018-002 The Aggregation Dilemma in Climate Change Policy Evaluation
by Ingmar Schumacher - 2018-001 Are Market Views on Banking Industry Useful for Forecasting Economic Growth?
by Van Son Lai & Xiaoxia Ye & Lu Zhao
2017
- 2017-010 Is Environmentally-induced Income Variability a Driver of Human Migration?
by Luca Marchiori & Jean-François Maystadt & Ingmar Schumacher - 2017-009 Basel III Capital Buffers and Canadian Credit Unions Lending: Impact of The Credit Cycle and The Business Cycle
by Helyoth Hessou & Van Son Lai - 2017-008 Sovereign Bond Market Dependencies and Crisis Transmission around the Eurozone Debt Crisis: A Dynamic Copula Approach
by Stelios Bekiros & Shawkat Hammoudeh & Rania Jammazi & Duc Khuong Nguyen - 2017-007 Basel III Capital Buffer Requirements and Credit Union Prudential Regulation: Canadian Evidence
by Helyoth Hessou & Van Son Lai - 2017-006 Electricity-Savings Pressure and Electricity-Savings Potential among China?s Inter-Provincial Manufacturing Sectors
by Hao Xiao & Shuquan Li & Julien Chevallier & Bangzhu Zhu - 2017-005 Market Integration and Financial Linkages among Stock Markets in Pacific Basin Countries
by Julien Chevallier & Duc Khuong Nguyen & Jonathan Siverskog & Gazi Salah Uddin - 2017-004 Can Investors of Chinese Energy Stocks Benefit from Diversification into Commodity Futures?
by Xiaoqian Wen & Duc Khuong Nguyen - 2017-003 Reinsurance or CAT Bond? How to Optimally Combine Both
by Denis-Alexandre Trottier & Van Son Lai - 2017-002 CAT Bond Spreads Via HARA Utility and Nonparametric Tests
by Denis-Alexandre Trottier & Van Son Lai & Anne-Sophie Charest - 2017-001 The Consequences of a One-Sided Externality in a Dynamic, Two-Agent Framework
by Georg Müller-Fürstenberger & Ingmar Schumacher
2016
- 2016-633 Climate Policy Must Favour Mitigation Over Adaptation
by Ingmar Schumacher - 2016-006 Consumption of Financial Services: Developing a Conceptual Framework
by Alisa Minina - 2016-005 Assessing the Effects of Unconventional Monetary Policy on Pension Funds Risk Incentives
by Sabri Boubaker & Dimitrios Gounopoulos & Duc Khuong Nguyen & Nikos Paltalidis - 2016-004 An Adaptive Multiscale Ensemble Learning Paradigm for Nonstationary and Nonlinear Energy Price Time Series Forecasting
by Bangzhu Zhu & Xuetao Shi & Julien Chevallier & Ping Wang & Yi-Ming Wei - 2016-003 Revisiting Interest Rate Swap Valuation with Counterparty Risk, Wrong-Way Risk and OIS Discount
by Ayoub Gargouri & Van Son Lai & Issouf Soumaré - 2016-002 Fiscal Policy Interventions at the Zero Lower Bound
by Sabri Boubaker & Duc Khuong Nguyen & Nikos Paltalidis
2015
- 2015-632 On Competing Mechanisms under Exclusive Competition
by Andrea Attar & Eloisa Campioni & Gwenaël Piaser - 2015-631 Crisis, Potential Output And Hysteresis
by Annabelle Mourougane - 2015-630 Equity Prices and Fundamentals: a DDM-APT Mixed Approach
by Fredj Jawadi & Georges Prat - 2015-629 On the transition from nonrenewable energy to renewable energy
by Yacoub Bahini & Cuong Le Van - 2015-628 Revisiting the New Normal Hypothesis
by Bertrand Candelon & Alina Carare & Keith Miao - 2015-627 Threshold Preferences and the Environment
by Ingmar Schumacher & Benteng Zou - 2015-626 L’approche catégorielle en grande distribution : analyse comparée entre la France et le Canada
by Dominique BONET FERNANDEZ - 2015-625 Factors of Competitiveness of Islamic Banks in the New Financial Order
by Jean-Michel Sahut & Mehdi Mili & Maroua Ben Krir & Frédéric Teulon - 2015-623 Modeling the causal linkages between nuclear energy, renewable energy and economic growth in developed and developing countries
by Anis Omri & Nejah ben mabrouk & Amel Sassi-Tmar - 2015-622 Financial Development, Environmental Quality, Trade and Economic Growth : What Causes What in MENA Countries
by Anis Omri & Saida Daly & Anissa Chaibi & Christophe Rault - 2015-621 Patent Litigation Insurance
by Anne Duchêne - 2015-620 Impact Evaluation of Development Programmes and Policies: Experiences from Viet Nam
by Nguyen Viet Cuong - 2015-619 An Introduction to Alternative Methods in Program Impact Evaluation
by Nguyen Viet Cuong - 2015-618 La place du raisonnement statistique dans les sciences sociales et dans l’analyse des comportements humains
by Frédéric Teulon - 2015-617 A Linkage between Firm Agglomeration and Poverty Reduction First evidence in Vietnam
by Long Thanh Giang & Cuong Viet Nguyen & Tuyen Quang Tran - 2015-616 Défis au Bas de la Pyramide
by Bernard GARRETTE & Asli KOZAN & Thomas ROULET - 2015-615 Le Plan De Sauvetage De Chypre : Frein Ou Accelerateur Du Risque Systemique En Europe ?
by Jean Messiha & Frédéric Teulon - 2015-614 Link between Economic Growth and Energy Consumption in Over 90 Countries
by Sahbi FARHANI & Jaleleddine BEN REJEB - 2015-613 A panel analysis of the effects of oil consumption, international tourism, environmental quality and political instability on economic growth in MENA region
by Anis Omri & Mohamed Shahbaz & Anissa Chaibi & Christophe Rault - 2015-612 Renewable energy consumption, economic growth and CO2 emissions: Evidence from selected MENA countries
by Sahbi Farhani
2014
- 2014-609 What Matters Most in the Design of Stress Tests? Evidence from U.S. and the Europe
by Bertrand Candelon & Amadou N. R. Sy - 2014-602 Explaining the convenience yield in the WTI crude oil market using realized volatility and jumps
by Benoît Sévi - 2014-601 Forecasting the density of oil futures
by Florian Ielpo & Benoît Sévi - 2014-600 Increases In Risk and Demand for Risky Asset
by A.Chateauneuf & G.Lakhnati - 2014-597 On the precautionary motive for savings and prudence in the rank dependent utility framework
by A.Chateauneuf & G.Lakhnati & E.Langlais - 2014-596 Determinants of crop yield and profit of family farms: Evidence from the Senegal River Valley
by Elodie Blanc & Aurelia Lepine & Eric Strobl - 2014-595 Innovative Activity in the Caribbean: Drivers, Benefits, and Obstacles
by Preeya Mohan & Eric Strobl & Patrick Watson - 2014-594 A Hurricane Risk and Loss Assessment of Caribbean Agriculture
by Preeya Mohan & Eric Strobl - 2014-593 Hurricane Damage Risk Assessment in the Caribbean: An Analysis using Synthetic Hurricane Events and Nightlight Imagery
by Luisito Bertinelli & Preeya Mohan & Eric Strobl - 2014-590 Dependence and extreme dependence of crude oil and natural gas prices with applications to risk management
by Riadh Aloui & Mohamed Safouane Ben Aïssa & Shawkat Hammoudeh & Duc Khuong Nguyen - 2014-588 Forecasting electricity spot prices using time-series models with a double temporal segmentation
by Marie Bessec & Julien Fouquau & Sophie Meritet - 2014-579 Optimal Risk Sharing with Optimistic and Pessimistic Decision Makers
by Aloisio Araujo & Jean-Marc Bonnisseau & Alain Chateauneuf & Rodrigo Novinski - 2014-577 Tests of Financial Market Contagion: Evolutionary Cospectral Analysis V.S. Wavelet Analysis
by Zied Ftiti & Aviral Tiwari & Amél Belanès & Khaled Guesmi - 2014-541 Aggregation of coherent experts opinion: a tractable extreme-outcomes consistent rule
by Marcello Basili & Alain Chateauneuf - 2014-447 The Nexus Between Financial Development and Economic Growth in Laos
by Phouphet KYOPHILAVONG & Gazi Salah Uddin & Muhammad Shahbaz - 2014-446 A Note on Nominal and Real Devaluation in Laos
by Phouphet Kyophilavong & Muhammad Shahbaz & Gazi Salah Uddin - 2014-445 On the liquidity of CAC 40 index options Market
by Alain François-Heude & Ouidad Yous - 2014-438 US Monetary Policy and Commodity Sector Prices
by Shawkat Hammoudeh & Duc Khuong Nguyen & Ricardo M. Sousa - 2014-437 Business Cycle (De)Synchronization in the Aftermath of the Global Financial Crisis: Implications for the Euro Area
by Stelios Bekiros & Duc Khuong Nguyen & Gazi Salah Uddin & Bo Sjö - 2014-436 Can Economic Uncertainty, Financial Stress and Consumer Senti-ments Predict U.S. Equity Premium?
by Rangan Gupta & Shawkat Hammoudeh & Mampho P. Modise & Duc Khuong Nguyen - 2014-435 Oil price impact on financial markets:
by Anna Creti & Zied Ftiti & Khaled Guesmi - 2014-428 The Aggregation Dilemma in Climate Change Policy Evaluation
by Ingmar Schumacher - 2014-427 Défis au Bas de la Pyramide
by Bernard GARRETTE & Asli KOZAN & Thomas ROULET - 2014-426 Policy-oriented macroeconomic forecasting with hybrid DGSE and time-varying parameter VAR models
by Stelios D. Bekiros & Alessia Paccagnini - 2014-425 Structured portfolio analysis under SharpeOmega ratio
by Rania Hentati-KAFFEL & Jean-Luc Prigent - 2014-424 Saving Rate, Total Factor Productivity and Growth Process for Developing Countries
by Cuong Le Van & Tu Anh Nguyen & Tran Dinh Tuan - 2014-420 Common Agency Games with Common Value Exclusion, Convexity and Existence
by Gwenaël Piaser - 2014-410 Optimisation d’une stratégie anti-OPA par limitation linéaire des droits de vote face à un investisseur hostile
by Bruno-Laurent Moschetto & Frédéric Teulon - 2014-409 Predicting and Capitalizing on Stock Market Bears in the U.S
by Bertrand Candelon & Jameel Ahmed & Stefan Straetmans - 2014-408 Les discriminations sur le marché du travail : le point de vue de la psychanalyse
by Fredéric Teulon - 2014-407 Gender Issues About Negotiation: A different perception of the most important driving forces?
by Claude Alavoine - 2014-406 Microfinance in Armenia: Sector characteristics and adaptation strategies
by Knar Khachatryan & Emma Avetisyan & Frédéric Teulon - 2014-403 Partial Stochastic Dominance
by Takashi Kamihigashi & John Stachurski - 2014-402 Seeking Ergodicity in Dynamic Economies
by Takashi Kamihigashiw & John Stachurski - 2014-398 An Application of Kleene's Fixed Point Theorem to Dynamic Programming: A Note
by Takashi Kamihigashi & Kevin Reffett & Masayuki Yao - 2014-392 La Culture nationale freine-t-elle la gestion des résultats ?
by Imen Khanchel El Mehdi - 2014-391 On the debt capacity of growth and decay options
by N. Letifi & J.-L. Prigent - 2014-389 Volatility forecasting and risk management for commodity markets in the presence of asymmetry and long memory
by Walid Chkili & Shawkat Hammoudeh & Duc Khuong Nguyen - 2014-388 Exchange rate movements and stock market returns in a regime-switching environment: Evidence for BRICS countries
by Walid Chkili & Duc Khuong Nguyen - 2014-387 Crise et prise en charge de l'Intérêt général par l'entreprise: l'exemple des fondations d’entreprise
by Isabelle Petit - 2014-386 Le Mecenat : L'Entreprise Et L'Interet General
by PETIT Isabelle - 2014-385 La Fondation d'entreprise outil de la politique de mécénat ou de la politique RSE ?
by Isabelle Petit - 2014-384 Gestion et titrisation des risques de catastrophe naturelle par les options
by Adlane HAFFAR & Lubica HIKKEROVA - 2014-383 On the risk comovements between the crude oil market and the U.S. dollar exchange rates
by Gilles de Truchis & Benjamin Keddad - 2014-382 Analyzing Financial Integration in East Asia through Fractional Cointegration in Volatilities
by Gilles de Truchis & Benjamin Keddad - 2014-381 Les acteurs du boom économique de la TV chinoise : le câble et la publicité
by Charlotte-Xiaotao Wang - 2014-379 La mise en place d’un système d’innovation sociétale en région PACA
by PETIT Isabelle - 2014-378 La réactivité dans les relations interorganisationnelles en temps de crise : comment bien réagir à plusieurs pour surmonter les perturbations économiques ?
by Odile Chanut & Carole Poirel - 2014-377 Approche géopolitique de l’Internet en Chine
by Charlotte Wang - 2014-374 Les développements numériques en librairie : des services impossibles à mutualiser ? Le cas de 1001libraires.com, une stratégie collective manquée
by Carole Poirel - 2014-371 Equity Risk Premium and Regional Integration
by Mohamed Arouri & Frédéric Teulon & Christophe Rault - 2014-369 Construire un accord : analyse du Social Business comme exemple de compromis
by PETIT Isabelle - 2014-366 Determinants of the Capital Adequacy Ratio of a Foreign Bank’s Subsidiaries: The Role of the Interbank Market and Regulation of Multinational Banks
by Mehdi Mili & Jean-Michel Sahut & Hatem Trimeche - 2014-365 The Evolution of Risk Premium as a Measure for Intra-regional Equity Market Integration
by Khaled Guesmi & Frederic Teulon & Ahmed Taneem Muzaffar - 2014-361 Do IFRS Provide Better Information About Intangibles in Europe ?
by Jean-Michel Sahut & Sandrine Boulerne & Frederic Teulon - 2014-360 Les eurobonds : une sortie de crise possible pour l’Europe ?
by Frederic Teulon - 2014-356 ICT acceptation : The case of CRM project
by Mouna JEGHAM & Jean-Michel SAHUT - 2014-354 Efficiency of e-Learning: the case of French Bank Sales Force
by Erick LEROUX & Jean-Michel SAHUT - 2014-353 Activism of Institutional Investors, Corporate Governance Alerts and Financial Performance
by Jean-Sebastien Lantz & Sophie Montandrau & Jean-Michel Sahut - 2014-352 A Flexible Non Linear Model to Test the Expectation Hypothesis of Interest Rates
by Jean-Michel Sahut - 2014-350 Renverser les discriminations : la politique américaine de discrimination positive
by Frédéric Teulon & Claude Alavoine & Guillaume Bigot & Dominique Bonet & Bernard Terrany - 2014-349 Are Mergers a Solution to Bank Distress in MENA Countries ?
by Jean-Michel Sahut & Mehdi Mili - 2014-348 On Path-Dependent Structured Funds: Complexity Does Not Always Pay (Asian versus Average Performance Funds)
by Philippe Bertrand & Jean-luc Prigent - 2014-347 Optimal Positioning in Financial Derivatives under Mixture Distributions
by R. Hentati-Kaffel & J.L. Prigent - 2014-346 Choc technologique et supply chain : retour sur la notion de règles du jeu
by Carole Poirel - 2014-345 Public to Private transactions and cognitive biases: A European study
by Olivier MEIER & Aurélie SANNAJUST - 2014-344 Developpement De La Confiance Dans Les Equipes Virtuelles : Analyse Des Effets Des Comportements De Communication
by Nabila JAWADI - 2014-341 Do shareholders really own the firm?
by Tristan BOYER - 2014-340 IFRS and the need for non-financial information
by Tristan Boyer & Elena Chane-Alune - 2014-339 Femmes et innovation sociétale dans l’espace méditerranéen
by PETIT Isabelle - 2014-337 Electricity consumption and economic growth: exploring panel‐specific differences
by Fatih Karanfil & Yuanjing Li - 2014-336 Optimal Portfolio Positioning within Generalized Johnson Distributions
by Naceur Naguez & Jean-Luc Prigent - 2014-333 A fear index to predict oil futures returns
by Julien Chevallier & Benoit Sevi - 2014-332 Performance des post Public to Private transactions en France
by Olivier MEIER & Aurélie SANNAJUST - 2014-329 Dynamic Portfolio Insurance Strategies: Risk Management under Johnson Distributions
by Naceur Naguez & Jean-Luc Prigent - 2014-328 Disentangling economic recessions and depressions
by Bertrand Candelon & Norbert Metiu & Stefan Straetmans - 2014-327 Impact of the World Financial Crisis to SMEs: The determinants of bank loan rejection in Europe and USA
by Aurelie SANNAJUST - 2014-326 Approche Sociopolitique et Strategique du Pouvoir de l'Edition dans le Canal de Distribution du Livre en France
by Carole Poirel - 2014-325 Volatility forecasting and risk management for commodity markets in the presence of asymmetry and long memory
by Walid Chkili & Shawkat Hammoudeh & Duc Khuong Nguyen - 2014-324 What is the linkage between real growth in the Euro area and global financial market conditions ?
by Jean-Michel Sahut & Medhi Mili & Frédéric Teulon - 2014-323 Pouvoir et leadership dans les canaux de distribution : la logistique face aux jeux des acteurs
by Virginie Noireaux & Carole Poirel - 2014-322 On the determinants of equity international risk premium : Are emerging zones different ?
by Khaled Guesmi & Ilyes Abid & Mohamed Hedi Arouri & Frédéric Teulon - 2014-321 Prévision de la détresse financière des entreprises françaises: Approche par la régression logistique PLS
by Sami BEN JABEUR - 2014-320 Cointegration of Baltic Stock Markets in the Financial Tsunami: Empirical Evidence
by Omar Masood & Mondher Bellalah & Sahil Chaudhary & Walid Mansour & Frederic Teulon - 2014-319 Default Prediction for Small-Medium Enterprises in France: A comparative approach
by Sami BEN JABEUR & Youssef FAHMI - 2014-318 La régression logistique PLS : Application à la détection de défaillance d’entreprises
by BEN JABEUR Sami - 2014-317 Les modèles de prévision de la défaillance des entreprises françaises : une approche comparative
by Sami Ben Jabeur & Youssef Fahmi - 2014-316 Non-Performing Loans and Credit Managers' Role: A Comparative Approach from Pakistan and Turkey
by Omar Masood & Mondher Bellalah & Walid Mansour & Frederic Teulon - 2014-315 La défaillance des entreprises: une revue de littérature
by Sami BEN JABEUR & Youssef FAHMI & Abdellatif TAGHZOUTI & Hicham SADOK - 2014-314 La perception du capital immatériel par le marché financier Marocain: une étude exploratoire
by Hicham SADOK & Youssef FAHMI & Sami BEN JABEUR & Abdellatif TAGHZOUTI - 2014-313 Macroeconomic variables in financial distress: A non parametric method
by Ben Jabeur Sami - 2014-312 A Study on Circular Economy Implementation in China
by Kui ZHOU & Dominique BONET FERNANDEZ & Chengcheng WAN & Akumba DENIS & Gael-Miguel JUILLARD - 2014-311 Economie circulaire : quel cadre règlementaire en France ?
by Alexandre LEVILLAIN & Dominique BONET FERNANDEZ - 2014-310 Du pilotage stratégique par la valeur des alliances stratégiques interentreprises : au-delà d’une approche réductionniste
by Abdellatif TAGHZOUTI & Youssef FAHMI & Hicham SADOK & Sami BEN JABEUR - 2014-309 Corporate Failure: A Non Parametric Method
by Ben Jabeur Sami - 2014-308 Predicting Business Failure Using Data-Mining Methods
by Sami BEN JABEUR & Youssef FAHMI - 2014-307 Philosophie morale et économie
by Frédéric Teulon - 2014-306 Intertemporal equilibrium with production: bubbles and efficiency
by Stefano Bosi & Cuong Le Van & Ngoc-Sang Pham - 2014-305 L'Egypte dans la tourmente : révolution ou normalisation ?
by Jean Messiha & Frédéric Teulon - 2014-304 Confrontation ou coopération avec les pays du Sud de la Méditerranée ? Choc ou convergence des civilisations ?
by Frédéric TEULON & Linda PRINCE & Bernard TERRANY & Negar YOUSSEFIAN - 2014-303 Constant Proportion Portfolio Insurance under Tolerance and Transaction Costs
by Farid MKAOUAR & Jean-luc PRIGENT - 2014-302 L’émirat du Qatar, un micro-Etat qui veut exister à tout prix
by Jean MESSIHA & Frédéric TEULON & Guillaume BIGOT - 2014-301 Long-Term Investment with Stochastic Interest and Inflation Rates Incompleteness and Compensating Variation
by Farid Mkouar & Jean-Luc Prigent - 2014-300 The environmental Kuznets curve and sustainability: A panel data analysis
by Sahbi Farhani & Sana Mrizak & Anissa Chaibi & Christophe Rault - 2014-299 Testing the relationships between energy consumption and income in G7 countries with nonlinear causality tests
by Ahdi Noomen Ajmi & Ghassen El Montasser & Duc Khuong Nguyen - 2014-298 China’s Monetary Policy and Commodity Prices
by Shawkat Hammoudeh & Duc Khuong Nguyen & Ricardo M. Sousa - 2014-297 Does Board Gender Diversity Make a Difference? New Evidence from Quantile Regression Analysis
by Rey Dang & Duc Khuong Nguyen - 2014-296 Carbon emissions - income relationships with structural breaks: the case of the Middle East and North African countries
by Ahdi Noomen Ajmi & Ghassen El Montasser & Duc Khuong Nguyen - 2014-295 Policy uncertainty and performance characteristics of sustainable investments across regions around the global financial crisis
by Hooi Hooi Lean & Duc Khuong Nguyen - 2014-294 Diversification benefits and strategic portfolio allocation across asset classes: The case of the US markets
by Mohamed Arouri & Duc Khuong Nguyen & Kuntara Pukthuanthong - 2014-293 Integration versus segmentation in Middle East North Africa equity market: Time variations and currency risk
by Khaled Guesmi & Jean-Yves Moisseron & Frédéric Teulon - 2014-292 Causality between consumer price and producer price: Evidence from Mexico
by Aviral Kumar Tiwari & Suresh K.G. & Mohamed Arouri & Frédéric Teulon - 2014-291 Financial Development and Poverty Reduction Nexus: A cointegration and causality analysis in Bangladesh
by Gazi Salah Uddin & Muhammed Shahbaz & Mohamed Arouri & Frédéric Teulon - 2014-290 Flaws in Banking Governance
by Jean-Michel Sahut & Sandrine Boulerne