2006
| BOYER T. | |
|
Approche réflexive de la gouvernance des situations de risque dans l’entreprise. L’emploi et le droit d’alerte, No 06-01 |
|
| LAMBERT M., HÜBNER G., MICHEL P.-A. et OLIVIER H. | |
| The Impact of International Financial Reporting Standards on Market Microstructure in Europe, No 06-02 |
|
| BRUGIAVINI A. et PIASER G. | |
| Non-Exclusivity and Adverse Selection: Application to the Annuity Market, No 06-03 |
|
| LAMBERT M., HÜBNER G., MICHEL P.-A. et OLIVIER H., | |
| International Financial Reporting Standards and Market Efficiency: A European Perspective, No 06-04 |
|
| BLAZY R. et CHOPARD B. | |
| Bankruptcy Law: a Mechanism of Governance for Financially Distressed Firms, No 06-05. | |
| BLAZY R. et CHOPARD B. | |
| Quelles performances financières pour les jeunes entreprises pérennes ? No 06-06. |
|
| BLAZY R. et WEILL L. | |
| Why Do Banks Ask for Collateral and Which Ones?, No 06-07 |
|
| BLAZY R. et WEILL L. | |
| How Recovery Process Influences the Design of Debt Contracts? No 06-08 |
|
| BLAZY R. et WEILL L. | |
| The Impact of Legal Sanctions on Moral Hazard When Debt Contracts are Renegotiable, No 06-09. |
|
| COSMA A. et GALLI F. | |
| A Nonparametric ACD Model. CORE Discussion - Paper 2006/67, No 06-10 |
|
| BOYER T. | |
| Les déterminants de la décision en entreprise : instrumentation de gestion, argumentations et représentations. Analyse du cas du plan de licenciement, No 06-11. | |
| COBBAUT R. | |
| Market Efficiency, Rationality, Structures of Governance and Capital Market Regulation, No 06-12. | |
| MUSSARD S. et TERRAZA V. | |
| Mesure des Risques et Classification des Titres d’un Portefeuille à l’Aide de la Valeur de Shapley, No 06-13 | |
| BEAULIEU P. et PICINATI A. | |
| The Emergence of Financial Fine Art Markets: A New Asset Class. No 06-14 | |
| GUIGOU J.-D. et LOVAT B. | |
| Evaluation des Performances Relatives, Risque et Entrée, No 06-15 |
|
| ROBE M., STEIGER E-M. et MICHEL P-A. | |
| Penalties and Optimality in Financial Contracts: Taking Stock, No 06-16 | |
| HÜBNER G. et PAPAGEORGIOU N. | |
| Optional and Conditional Components in Hedge Fund Returns, No 06-17. | |
| CRAMA Y., HÜBNER G. et PETERS J-Ph. | |
| Impact of the Collection Threshold on the Determination of the Capital Charge for Operational Risk, No 06-18 | |
| CHAPELLE A., CRAMA Y., HÜBNER G. et PETERS J-Ph. | |
| Measuring and Managing Operational Risk in the Financial Sector: An Integrated Framework, No 06-19 | |


