Evènements

Chaque mois, les membres de l'Institut pour la Finance se retrouvent réunis. Sous forme de séminaire, ces après-midis sont l'occasion d'échanger entre eux, notamment sur l'avancée de leurs recherches ou d'inviter des enseignants-chercheurs d'autres institutions académiques françaises ou internationales.

Conférences / Ateliers

Workshop on small business economics, accounting and finance,

17 novembre 2017, La Rochelle Business School

Coprésident : Dr. Ramzi Benkraiem

 

Commodity Markets Winter Workshop

22-23 février 2018, Nantes.
Organisateurs: LEMNA (University of Nantes) & Institute of Finance of Audencia Business School


Conférence Internationale AFFI

2020 (dates exactes à confirmer)
Organisateur: Institut pour la Finance, Audencia Business School.
Présidents : Pr. Emilios GalariotisPr. Mascia BedendoPr. Benoît Sevi

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Hellenic Association for Energy Economics

(H.A.E.E.2ème Conférence sur l'Energie,
18-20 mai 2017, Athènes, Grèce
Président du Comité Scientifique : Professeur Emilios Galariotis

 

International workshop on small business economics, accounting and finance, Mai 2016,
Audencia Business School.

Organisateur : Dr. Ramzi Benkraiem

 

Financial Engineering & Banking Society

(F.E.B.S.), 5ème Conférence Int., Juin 2015

Audencia Business School.

Président : Professeur Emilios Galariotis

 

Financial Engineering & Banking Society
(F.E.B.S.), 4ème Conférence Nat., Déc. 2013,
Athens-Intercontinental, Grèce.

Coprésident : Professeur Emilios Galariotis

Séminaires de recherche

DateIntervenantThématique
29/06/2017Chardin WESE SIMEN, University of ReadingThe predictive power of the dividend risk premium.
01/06/2017Elias RANTAPUSKA, Aalto UniversityWhy Does Portfolio Choice Correlate Across Generations?
04/05/2017Magnus BLOMKVIST et Giacomo NOCERA, Audencia Business SchoolStaged Equity Financing - Who, When and Why?
&
Experience and brokerage in asset markets: Evidence from art auctions
30/03/2017Christophe HURLIN, Université d'Orléans Pitfalls in Systemic-Risk Scoring
02/03/2017Evren ÖRS, HEC ParisRisk-Based Capital Requirements for Banks and International Trade
26/01/2017Salim CHAHINE, American University of Beirut, Olayan School of Business Investor Relations and IPO Performance


DateIntervenantThématique
15/12/2016Sotirios Kokas, Essex Business School, University of Essex Enforcement Actions and the Structure of Loan Syndicates
10/11/2016Olivier de Jonghe, Tilburg UniversityBank Capital (Requirements) and Credit Supply: evidence from Pillar 2 decisions
06/10/2016Per Ösberg, University of Zurich and Swiss Finance InstituteThe Sovereign Debt Crisis: Flights or Freezes?
15/09/2016Emilia Garcia, School of Finance, University of St GallenIndustry bankruptcies and firm investment
02/06/2016Paolo Colla, Bocconi UniversityThe Price of Law: The Case of the Eurozone Collective Action Clauses
19/05/2016Manthos Delis, University of SurreyBank Enforcement Actions and the Terms of Lending
31/03/2016Nickolaos Travlos, ALBA Business School
Chris Adcock, Sheffield University Management School
Workshop on “How to publish in high-impact finance journals”
17/03/2016Carine Girard, Audencia Business SchoolGovernance and Equity Crowdfunding in France
04/02/2016Laurent Germain, Toulouse Business SchoolHeterogeneous Beliefs and Imperfect Competition in Sequential Auction markets

Date

Intervenant

Thématique

03/12/2015

Dimitris Andriosopoulos, University of Strathclyde

Overpayment, Financial Distress, and investor Horizons

05/11/2015

Ilaria Peri, ESC Rennes

Risk measurement

08/10/2015

Bertrand Tavin, EM Lyon

An investigation of model risk in a market with jump and stochastic volatility

04/06/2015

Huainan Zhao, Cranfield University

Are Large Acquisitions Credit Negative?

02/04/2015

Timo Korkeamäki, Hanken School of Economics

Managerial entrenchment and matching leverage preferences

19/03/2015

Thomas Lagoarde-Segot, Kedge Business School

Prolegomenon to an alternative study of finance

05/03/2015

Jérôme Monne, Doctorant Audencia

Rational Herding towards the Poor : Evidence from Location Decisions of Microfinance Institutions within Pakistan

05/02/2015

Paolo Quattrone, University of Edinburgh Business School

Unfolding Rationality: Imagery, Accountability, and Procedural Logics of Order

08/01/2015

Arthur Petit- Romec, ESCP Europe

RoE in Banks: The Unfulfilled Promise of Long Term Performance

DateIntervenantThématique
20/11/2014

Réal Labelle

“Value relevance of environmental provisions pre and post IFRS”

13/11/2014Nondas Katsikas, University of Kent“Management Accounting Change A hybrid Institutional and Managerial perspective”
06/11/2014 Thanos Verousis, University of Bath“Do Investors Follow the Herd? Evidence from the Options Market”
02/10/2014Andrea Resti, Université de Bocconi“The credibility of European banks’ risk-weighted capital: structural differences or national segmentations” with Brunella Bruno and Giacomo Nocera
26/06/2014Christophe Moussu, ESCP Europe“ROE in Banks: Myth and Reality”
05/06/2014Alain Chevalier, ESCP Europe“Emerging markets:Corporate governance and Financial engineering".  "Drivers of LBO operating performance:an empirical investigation in Latin America"with Aurélie Sannajust  and "Do family held firms have weak corporate governance? Evidence from India” with Jyoti Gupta and Nikhil Arora
15/05/2014Andrianos Tsekrekos,  Athens University of Economics & Business“Accounting quality, information risk and the term structure of implied volatility around earnings announcements”
03/04/2014Naceur Naguez, Université de Cergy Pontoise«Dynamic Portfolio Insurance Strategies: Risk Management under Johnson Distributions »
20/02/2014Jing Zhao, Université de Latrobe"The Effects of Information-Based Trading on the Daily Returns and Risk of Individual Stocks”
06/02/2014Rey Dang, La Rochelle Business School"Does Board Gender Diversity Make a Difference? New Evidence from Quantile Regression Analysis"