Articles publiés dans des revues classées (CNRS, FNEGE, AERES, CRM)

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1 AXE FINANCE Articles publiés dans des revues classées (CNRS, FNEGE, AERES, CRM) Attar, A., Mariotti, T., & Salanie, F Non-Exclusive Competition under Adverse Selection Theoretical Economics, 9(1): (CNRS 2, FNEGE NC, Attar, A., Campioni, E., & Piaser, G Two-sided communication in competing mechanism games. Journal of Mathematical Economics, 49(1): (CNRS 1, FNEGE NC, AERES A). Azam, J.-P., Bates, R., & Biais, B Political Predation and Economic Development. Economics & Politics, 21(2): (CNRS 3, FNEGE NC, AERES B). Biais, B., Bisière, C., & Pouget, S Equilibrium Discovery and Preopening Mechanisms in an Experimental Market. Management Science, 60(3): (CNRS 1eg, FNEGE 1*, Biais, B., Weill, P. O., & Hombert, J Equilibrium Pricing and Trading Volume under Preference Uncertainty. Review of Economic Studies (online). (CNRS 1e, FNEGE NC, Biais, B., Martimort, D., & Rochet, J.-C Competing mechanisms in a common value environment: A corrigendum. Econometrica, 81(1): (CNRS 1e, FNEGE NC, Biais, B., Bossaerts, P., & Spatt, P Equilibrium Asset Pricing And Portfolio Choice Under Asymmetric Information. Review of Financial Studies, 23(4): (CNRS 1, FNEGE 1, Biais, B., Mariotti, T., Rochet, J.-C., & Villeneuve, S Large Risk, Limited Liability and Dynamic Moral Hazard. Econometrica, 78(1): (CNRS 1e, FNEGE NC, Biais, B., Bisière, C., & Spatt, C Imperfect Competition in Financial Markets: An Empirical Study of Island and Nasdaq. Management Science, 56(12): (CNRS 1eg, FNEGE 1*, Biais, B., & Mariotti, T Credit, Wages and Bankruptcy Laws. Journal of the European Economic Association, 7(5): (CNRS 1, FNEGE NC, Biais, B., & Weber, M Hindsight Bias, Risk Perception, and Investment Performance. Management Science, 55(6): (CNRS 1eg, FNEGE 1*, Bianchi, M., & Bobba, M Liquidity, Risk, and Occupational Choice. Review of Economic Studies 80(2): (CNRS 1e, FNEGE NC, Bianchi, M Immigration Policy and Self-Selecting Migrants. Journal of Public Economic Theory, 15(1): (CNRS 2, FNEGE NC, Bisière, C., Décamps, J. P., & Lovo, S Risk Attitude, Beliefs Updating and the Information Content of Trades: An Experiment. Management Science: à paraître. (CNRS 1eg, FNEGE 1*, Bobtcheff, C., & Villeneuve, S Technology choice under several uncertainty sources. European Journal of Operational Research, 206(3): (CNRS 1, FNEGE NC, Casamatta, C., & Haritchabalet, C Dealing with Venture Capitalists: Shopping Around or Exclusive Negotiation. Review of Finance (online). (CNRS 1, FNEGE 1, Casamatta, C., & Guembel, A Managerial Legacies, Entrenchment, and Strategic Inertia. Journal of Finance, 65(6): (CNRS 1g, FNEGE 1*, Décamps, J.-P., & Villeneuve, S Rethinking Dynamic Capital Structure models with Roll- Over Debt Mathematical Finance, 24(1): (CNRS 2, FNEGE NC, Décamps, J.-P., Mariotti, T., Rocher, J.-C., & Villeneuve, S Free Cash Flows, Inssuance Costs and Volatility. Journal of Finance, 66(Issue 5): (CNRS 1g, FNEGE 1*, AERES

2 A). Décamps, J.-P., Mariotti, T., & Villeneuve, S Investment Timing Under Incomplete Information: Erratum. Mathematics of Operations Research, 34: (CNRS 1, FNEGE NC, Guembel, A., & White, L Good Cop, Bad Cop: Complementarities in Debt and Equity in Disciplining Management. Journal of Financial Intermediation: online. (CNRS 2, FNEGE 2, Guembel, A., & Rossetto, S Reputational Cheap Talk with Misunderstanding. Games and Economic Behavior, 67(2): (CNRS 1, FNEGE NC, Heimann, M., & Pouget, S La recommandation des fonds ISR. Une étude empirique sur les conseillers clients bancaires français. Revue Française de Gestion, 39(236): (CNRS 4, FNEGE 3, AERES C). Makarov, I., & Plantin, G Equilibrium Subprime Lending. Journal of Finance, 68(3): (CNRS 1g, FNEGE 1*, Moinas, S., & Pouget, S The Bubble Game: An Experimental Study of Speculation. Econometrica, 81(4): (CNRS 1e, FNEGE NC, Plantin, G., & Makarov, I Rewarding Trading Skills Without Inducing Gambling Journal of Finance (forthcoming). (CNRS 1g, FNEGE 1*, Pouget, S On the Financial Performance of Socially Responsible Investments Bankers, Markets & Investors (128): (CNRS 3, FNEGE 3, AERES B). Pouget, S., & Dia, M Sunshine Trading in an African Stock Market. Managerial Finance, 37(3): (CNRS 4, FNEGE 4, AERES C). Rochet, J.-C., & Villeneuve, S Liquidity management and Corporate Demand for Hedging and Insurance. Journal of Financial Intermediation, 20(3): (CNRS 2, FNEGE 2, Rossetto, S IPO activity and information in secondary market prices. Annals of Finance, 9(4): (CNRS 4, FNEGE 4, AERES C). Rossetto, S., & van Bommel, J Endless Leverage Certificates. Journal of Banking and Finance, 33(8): (CNRS 2, FNEGE1, Tankov, P., & Voltchkova, E Jump-diffusion Models: a Practitioner's Guide. Bankers, Markets & Investors (99). (CNRS 3, FNEGE 3, AERES B). Tankov, P., & Voltchkova, E Asymptotic Analysis of Hedging Errors in Models with Jumps. Stochastic Processes and their Applications, 119(6): (CNRS NC, FNEGE NC, AERES NC, CRM). Articles publiés dans des revues référencées (JCR, ISI, Harzing ), autres revues, éditoriaux et cahiers de recherche Biais, B., Heider, F., & Hoerova, M Clearing, counterparty risk and aggregate risk. IMF Economic Review (60): Biais, B., Bisière, C., & Pouget, S Equilibrium liquidity discovery: an experimental investigation. IDEI Working Paper (543). Biais, B., Rochet, J.-C., & Woolley, P Rents, Learning and Risk in the Financial Sector and Other Speculative Industries. IDEI Working Paper (549). Biais, B., & Weill, P.-O Liquidity Shocks and Order Book Dynamics. IDEI Working Paper (550). Bisière, C., Décamps, J.-P., & Lovo, S On the Information Content of the Order Flow: An Experiment. IDEI Working Paper. Moinas, S The Markets in Financial Instruments Directive: a first assessment. Briefing Paper, Observatoire de l'epargne Européenne.

3 Ouvrages et chapitres d ouvrages Ouvrages et chapitres d ouvrages de recherche Biais, B., Mariotti, T., & Rochet, J.-C Dynamic financial Contracting. In D. Acemoglu, M. Arellano, & E. Dekel (Eds.), Advances in Economics and Econometrics Vol. 1: : Cambridge University Press. Casamatta, C Venture capital contracts and value-added. In D. Cumming (Ed.), Venture Capital: Investment Strategies, Structures, and Policies: : Wiley. Décamps, J. P., & Villeneuve, S Optimal investment under liquidity constraints. In A. Bensoussan, S. Peng, & J. Sung (Eds.), Ambiguity, Real Options, Credit Risk and Insurance. Amsterdam: IOS Press. Pouget, S., Heimann, M., Mullet, E., & Bonnefon, J.-F The Experimental Approach To Trust In Socially Responsible Investment Funds. In W. Sun, C. Louche, & R. Perez (Eds.), Finance and Sustainability: Towards a New Paradigm? A Post-Crisis Agenda: Emerald. Pouget, S., & Goetzmann, W. N A shareholder lawsuit in fourteenth century Toulouse. In J. G. S. Koppell (Ed.), Origins of Shareholder Advocacy: Palgrave-MacMillan. Tankov, P., & Voltchkova, E Pricing, Hedging, and Calibration in Jump-Diffusion Models. In R. Cont (Ed.), Frontiers in Quantitative Finance: Volatility and Credit Risk Modeling: Wiley Finance series. Hoboken, N.J.: Wiley. Villeneuve, S Alternating Direction Implicit Method In R. Cont (Ed.), Encyclopedia of Quantitative Finance.: Chichester, UK: Wiley Sons Ltd. Ouvrages et chapitres d ouvrages d études et pédagogiques Parienté, S Analyse financière et évaluation d'entreprise, Méthodologie-Diagnostic- Prix d'offre. Londres: Pearson Education. Congrès internationaux Biais, B., & Declerck, F Liquidity, Competition & Price Discovery in the European Corporate Bond Market. Paper presented at the Northern Finance Conference (NFA), Québec City, Quebec, Canada. September Biais, B., Foucault, T., & Moinas, S Equilibrium High Frequency Trading. Paper presented at the 2nd Finance Cavalcade, Conference organised by the Society for Financial Studies (SFS), University of Virginia (USA) mai Biais, B., Foucault, T., & Moinas, S Equilibrium High Frequency Trading. Paper presented at the American Finance Association meeting (AFA), San Diego. Biais, B., Foucault, T., & Moinas, S Equilibrium High Frequency Trading. Paper presented at the French Finance Association International Meeting, ( AFFI), Montpellier mai Biais, B Dynamic Financial Contracting. Paper presented at the French Finance Association International Meeting, ( AFFI), Saint Malo mai Casamatta, C., Attar, A., Chassagno, A., & Décamps, J.-P Multiple Lenders, Strategic Default and the role of Debt Covenants. Paper presented at the 5th UECE Lisbon conference on game theory and applications Tinbergen Institute Amsterdam. Casamatta, C., & Guembel, A Managerial legacies, entrenchment, and strategy inertia. Paper presented at the 7th Europlace Institute of Finance (EIF) Annual Scientific Forum, Paris.

4 Décamps, J.-P., & Villeneuve, S Corporate cash policy with liquidity and profitability risks. Paper presented at the 30 th Congrés International de l'association Française de Finance (AFFI), Lyon mai Décamps, J.-P., & Villeneuve, S Corporate cash policy with liquidity and profitability risks. Paper presented at the European Meeting of the Econometric Society, Gothenburg (Sweden) august Décamps, J.-P., & Villeneuve, S Corporate cash policy with liquidity and profitability risks. Paper presented at the 13th Society for the Advancement of Economic Theory (SAET ) Conference on Current Trends in Economics, MINES ParisTech. July Décamps, J.-P., Mariotti, T., & Rochet, J.-C Free Cash-Flow, Issuance costs and Stock Price Volatility. Paper presented at the 10th World Congress of the Econometric Society, Shanghai. 17 août Declerck, F., & Moinas, S Trading Structure, Liquidity Rebates and Market Quality. Paper presented at the French Finance Association International Meeting (AFFI ), Saint Malo mai Gollier, C., & Pouget, S The Washing Machine: Investment Strategies And Corporate Behavior With Socially Responsible Investors. Paper presented at the 31st International French Finance Association Conference, (AFFI), Aix-en- Provence mai Guembel, A., & Sussman, O A Welfare Analysis of Fragmented Liquidity Markets. Paper presented at the Financial Intermediation Research Society Quebec, (Canada). 1-4 juin Guembel, A., & Sussman, O Liquidity, Contagion and Financial Crisis Paper presented at the Annual Meeting of European Financial Management (EFM), Porto, (Portugal) june Moinas, S., Pouget, S., & Hong, J Learning To Speculate. Paper presented at the 31st International French Finance Association Conference (AFFI), Aix-en- Provence may Moinas, S Liquidity Supply in Multiple Platforms. Paper presented at the 67th European Meeting of the Econometric Society Meetings, Gothenburg août Moinas, S., & Pouget, S Rational and Irrational bubbles: an Experiment. Paper presented at the Midwest Macroeconomics Meetings Michigan State University, Lansing (USA). mai Rossetto, S., & Staglianò, R The existence of blockholders and corporate governance. Empirical evidence from U.S. Paper presented at the French Finance Association International Meeting (AFFI), Strasbourg mai Rossetto, S., & Stagliano, R The Role of Blockholders in the Governance of a Firm. US Empirical Evidence. Paper presented at the 18th Annual Conference of the Multinational Finance Society, LUISS Guido Carli University, Rome, Italy June Rossetto, S., & Dhillon, A Corporate Control and Multiple Large Shareholders. Paper presented at the Western Finance Association Annual Meeting (WFA), San Diego. june Rossetto, S., & Dhillon, A Corporate Control and Multiple Large Shareholders. Paper presented at the Financial Intermediationn Research Society Annual Conference (FIRS). may Villeneuve, S., & Pouget, S Price Formation with Confirmation Bias. Paper presented at the 70th Annual Meeting American Finance Association, Atlanta, GA.

5 3-5 janvier Colloques, conférences, workshops Biais, B., Heider, F., & Hoerova, M Clearing, counterparty risk and aggregate risk. 5th Financial Risks International Forum on Systemic Risk, Paris. march Biais, B Innovation, rents and risk Regulating Financial Intermediaries, London Business School and University of Chicago Booth School of Business, Londres janvier Biais, B., Hombert, J., & Weill, P.-O Trading and Liquidity with Limited Cognition. Market Organization, UCSB (University of California, Santa Barbara) mars Biais, B., Heiderz, F., & Hoerova, M Risk-sharing or risk-taking? Hedging, margins and incentives Workshop in Economic Theory, UCLA (University of California, Los Angeles). Biais, B Rents Learnind and Risk Conference of the Bank of England, Londres (UK). 8 juin Biais, B Trading and Liquidity with Limited Cognition. European Symposium in Economic Theory, Gerzensee (Switzerland) juillet Biais, B Risk-sharing or risk-taking? 6th MTS Conference on Financial Markets " the Fixed Income Market after the Crisis", Londres décembre Biais, B Risk-sharing or risk-taking? 2nd Conference on Capital Market Dysfunctionalities, Paul Woolley Research Initiative, London School of Economics, Londres juin Biais, B Limited Cognition and Market Reaction to Liquidity Shocks. NYSE Euronext Conference, New-York. 25 mai Biais, B Crédit, parole et crise. Journée sur Economie et écologie", Institut Catholique de Toulouse, Toulouse. 30 janvier Biais, B Capital Markets Dysfunctionality and Fund Management. Marathon Club, Londres. 19 janvier Biais, B., & Weill, P.-O Liquidity Shocks and Order Book Dynamics Workshop CEREG, Université Paris Dauphine. Biais, B Trading and Liquidity with Limited Cognition. Conference Euronext, Paris. 25 mai Bianchi, M Financial Reporting and Market Efficiency with Extrapolative Investors. Meeting on Behavioral Finance, NBER Behavioral Economics Working Group, Cambridge. 3 novembre Bianchi, M Liquidity, Risk, and Occupational Choices. DIAL Development Conference "Shocks in Developing Countries", Paris. 30 juin-1er juillet Casamatta, C., & Haritchabalet, C Dealing with venture capitalists: shopping around or exclusive negotiation. MOVE workshop on venture capital, Universitat Autonoma de Barcelona, Barcelone avril Casamatta, C., & Pouget, S Fund managers' contracts and financial markets shorttermism. Séminaire Cass Business School, Londres. 9 février Casamatta, C., & Pouget, S Fund Managers' Contracts and Short-Termism. Paper presented at the 10th World Congress of the Econometric Society, Shanghai, (Chine). 17 août Heimann, M., Bonnefon, J.-F., Mullet, E., & Pouget, S Similarity in Values and the

6 Perceived Trustworthiness of Investment Funds. 4th Annual Academic Conference on Responsible Investment (RI ) Research Meets Practice " PRI Dynamics of Responsible Investment", Sigtuna ( Sweden). september Moinas, S., & Pouget, S Rational and Irrational Bubbles. Workshop du Paul Woolley Research Initiative on Capital markets Dysfunctionnalities, Toulouse. mars Moinas, S., & Pouget, S Rational and Irrational Bubbles. Conference CSIO-IDEI Northwestern University, Chicago. mai Moinas, S Trading Structure, Liquidity Rebates and Market Quality. High Frequency Econometrics and Limit Order Book dynamics, Warwick University (UK). septembre Pouget, S Finance and Responsible Business. UC Berckley Conference. novembre Pouget, S Finance and Responsible Business. Paul Woolley Center Conference, University of Technology, Sydney octobre Pouget, S Finance and Responsible Business. Paul Woolley Center Conference, University of Utah. avril Pouget, S Rational and Irrational Speculation : an Experiment Conference The European Center for Corporate Engagement (ECCE), Université de Maastrich. septembre Rossetto, S., & Staglianò, R The role of blockholders in the governance of a firm. US empirical evidence. British Academy of Management (BAM), Cardiff,( UK). september Rossetto, S., & Dhillon, A Corporate Control and Multiple Large Shareholders. Corporate Governance Conference, Toulouse Business School, Toulouse. juin Villeneuve, S A Bayesian Adaptive Singular Control Problem with Discretionary Stopping Arising from Finance. IMS Annual Meeting, Miami, (USA). August 4 Conférences invitées Biais, B., Declerck, F., & Moinas, S Fast trading and prop trading High Frequency Trading Conference. Conference sponsored by ANR, ERC, FBF, IDEI-R & NYSE Euronext, Paris April Biais, B., Declerck, F., & Moinas, S Fast trading and Prop trading 24th CEPR/Study Center Gerzensee European Summer Symposium in Financial Markets (ESSFM), Gerzensee (Switzerland) July Biais, B., Declerck, F., & Moinas, S Adverse selection & liquidity supply in a fast electronic market. Atelier de recherche «Trading algorithmique et trading à haute fréquence», Banque de France, Paris. 8 novembre Biais, B., Declerck, F., & Moinas, S Fast trading and Prop trading Collège de France. Biais, B., Foucault, T., & Moinas, S Equilibrium Fast Trading. Paper presented at the SED Meetings, Toronto, Canada. June Biais, B., Declerck, F. Moinas, S Prop Trading and Fast Trading. International Workshop on Algrithmic and High Frequeny Trading, Banque de France, Paris. 8 novembre Biais, B., Foucault, T., & Moinas, S Equilibrium High Frequency Trading. Université Paris Dauphine. 20 septembre Biais, B Le système financier et sa régulation. Séminaire, Sciences Po et Banque de France, Paris. 25 janvier Biais, B., Foucault, T., & Moinas, S Equilibrium High Frequency Trading. Séminaire

7 "Economie du Risque", Université Paris Dauphine. 20 septembre Biais, B Equilibrium Algorithmic Trading. 2nd Conference FBF/IDEI-R on Investment Banking and financial markets : Transaction algorithmiques sur les marchés financiers, Paris. 14 octobre Biais, B Algorithmic Trading. Colloque du Conseil scientifique de l Autorité des Marchés Financiers (AMF), Paris. 27 mai Biais, B Trading and Liquidity with Limited Cognition. HEC, Finance Seminar, Montréal. 12 novembre Biais, B Trading and Liquidity with Limited Cognition. Massachusetts Institute of Technology (MIT), Sloan Finance Seminar. 17 novembre Biais, B Algorithmic Trading : Equilibrium, Efficiency and Stability. Market Microstructure : Conforting Many Viewpoints, Institut Louis Bachelier, Paris 6-10 décembre Biais, B Keynote Adress. Conference. Université Pompeu Fabra, Barcelone. 10 décembre Biais, B Rents, learning and risk in the financial sector and other innovative industries. Séminaire, Banque Centrale Européenne, Francfort, Allemagne. 8 février Biais, B Table ronde sur les marchés obligataires. Conférence euro MTS. Londres décembre Biais, B Invited lecture sur le thème : «Dynamic Financial Contracting. Shanghai, (Chine). 11 août Biais, B., Hombert, J., & Weill, P.-O Trading and Liquidity with Limited Cognition. Economic Theory Seminar, Northwestern University, Evanston, Illinois. 10 novembre Biais, B., & Declerck, F Liquidity,Competition and Price Discovery in the European Corporate Bond Market. Financial Econometrics Conference, Toulouse School of Economic mai Bisière, C., Décamps, J.-P., & Lovo, S Risk attitude, beliefs updating and the information content of trades: an experiment. Seminar at CORE, Universitaire Catholique de Louvain, (Belgium). mai Casamatta, C., Attar, A., Chassagnon, A., & Décamps, J.-P Multiple lenders, strategic default, and the role of debt covenants. Séminaire, Tilburg University, Pays-Bas. Casamatta, C., Attar, A., Chassagnon, A., & Décamps, J.-P Multiple lenders, strategic default, and the role of debt covenants. Séminaire, Rotterdam School of Management (Erasmus University), Pays-Bas. Casamatta, C., Attar, A., Chassagnon, A., & Décamps, J.-P Multiple lenders, strategic default, and the role of debt covenants. Séminaire, Tinbergen Institute Amsterdam, Pays-Bas. Casamatta, C., & Pouget, S Fund managers' contracts and short-termism. Séminaire à Helsinki School of Economics. Casamatta, C., & Pouget, S Fund managers' contracts and short-termism. Conférence Finance Durable et Investissement Responsable,Toulouse.. Décamps, J.-P., & Villeneuve, S Rethinking Dynamic Capital Structure models with Roll-Over Debt. Séminaire Bachelier. Décamps, J.-P., & Villeneuve, S Rethinking Dynamic Capital Structure models with Roll-Over Debt. Séminaire, Oxford-Man Institute, Oxford. Décamps, J.-P., & Villeneuve, S Rethinking Dynamic Capital Structure models with Roll-Over Debt. Séminaire, Imperial College, Londres.

8 Décamps, J.-P., & Villeneuve, S Corporate cash policy with liquidity and profitability risks. Université de Zurich. Décamps, J.-P., & Villeneuve, S Corporate cash policy with liquidity and profitability risks. Symposium on Stochastic Calculus, Lisbonne. Décamps, J.-P., Attar, A., Casamatta, C., & Chassagnon, A Multiple lenders, strategic default, and the role of debt covenants. Séminaire, Université paris Dauphine. Décamps, J.-P., Attar, A., Casamatta, C., & Chassagnon, A Multiple lenders, strategic default, and the role of debt covenants. Séminaire, EM Lyon. Declerck, F., & Moinas, S Trading Structure, Liquidity. Rebates and Market Quality. Toulouse School of Economic Financial Econometrics Conference, Toulouse. may Declerck, F., & Moinas, S Trading Structure, Liquidity Rebates and Market Quality. First FBF FERC Conference on Individual Decision Making, Toulouse (FR). mars Guembel, A., & Sussman, O A Welfare Analysis of Hot Money. Séminaire, Queen Mary University, London. Guembel, A., & Sussman, O A Welfare Analysis of Hot Money. Séminaire, Tinbergen Institute, Amsterdam. Guembel, A., & Sussman, O A Welfare Analysis of Hot Money. Séminaire, IESEEG, Paris. Guembel, A., & Villeneuve, S Long-term Investment and Managerial Turnover. Séminaire "Economie du Risque", Université Paris Dauphine, Institut Finance. 13 novembre Guembel, A., & Sussman, O Liquidity Contagion and Financial Crisis. Séminaire. Guembel, A., & Sussman, O Liquidity Contagion and Financial Crisis. Séminaire, ESCP Paris. Lescourret, L., & Moinas, S Liquidity Supply in Multiple Trading Venues. Université de Zurich. march Moinas, S University of Valencia, Spain. avril Moinas, S Bristol University, UK. février Moinas, S High Frequency Traders, adverse selection and global market making, keynote lecture. Augustin Cournot Doctoral Days. Strasbourg, France avril Moinas, S., & Pouget, S The Bubble Game: An Experimental Analysis of Speculation. 4 nations cup, Amsterdam, Netherlands. 11 mai Moinas, S., & Pouget, S Rational and Irrational Bubbles. Séminaire, California Institute of Technology ( Caltech). 16 mars Moinas, S., & Pouget, S Rational and Irrational Bubbles. Séminaire, University of Utah. 16 mars Moinas, S., & Pouget, S Rational and Irrational Bubbles. Seminaire, Wharton University of Pennsylvania. septembre Moinas, S., & Pouget, S Rational and Irrational Bubbles. Séminaire, Yale University. septembre Moinas, S., & Pouget, S Rational and Irrational Bubbles. Séminaire, Princeton University. december Moinas, S., & Pouget, S Rational and Irrational Bubbles. Séminaire, Federal Reserve Bank, New-York. 4 octobre Plantin, G., & Makarov, I Rewarding Trading Skills Without Inducing Gambling. Séminaire "Economie du Risque", Université Paris Dauphine, Institut Finance. 25 janvier Pouget, S Principles for Responsible Investment. Séminaire, Milan, Bocconi University. October

9 Pouget, S Principles for Responsible Investment. Séminaire, Toronto, CA. October Pouget, S Principles for Responsible Investment. Séminaire, London School of Economics. April Pouget, S Principles for Responsible Investment. Séminaire, Leicester University. March Pouget, S Principles for Responsible Investment. NBER Behavorial Finance Conference. novembre Pouget, S Rational and Irrational Speculation : an Experiment Augustin Cournot Conference Days, Université de Strasbourg. 1er avril Villeneuve, S Invited speaker to the Conference on credit and liquidity risks. University of Freiburg. march Villeneuve, S Conference PWRI. Toulouse. avril Villeneuve, S Invited speaker : Optimal stopping, optimal control and Finance. University of Warwick. july Villeneuve, S Invited speaker toswissquote Conference Lausanne. november Villeneuve, S Modelling and manging the risk. Conférence, Paris. Villeneuve, S Séminaire, ORFE, Princeton. mai Villeneuve, S Séminaire, ISFA, Lyon. mars Villeneuve, S Séminaire, EPFL, Lausanne. avril Villeneuve, S A note on roll-over debt structure models. Invited speaker to Symposium of Optimal stopping with applications.turku, Finland. june Villeneuve, S Large risks, limited liabitity and dynamic moral hazard. Paris. january Villeneuve, S., Mariotti, T., & Rochet, J.-C Free cash-flows, issuance costs and Stock price volatility. First FBF/IDEI Conference on Investment Banking and Financial markets, Toulouse. March Voltchkova, E Séminaire Probabilités et Statistique. Université de Pau. mai Voltchkova, E Séminaire Mathématiques de la Décision. Toulouse School of Economics. juin Voltchkova, E Invited speaker. Technical University of Lisbon, Dpt Financial Mathematics. décembre Articles de presse, interviews Moinas, S Trading haute fréquence : une nécessaire régulation. Les Echos, 4 mai. Moinas, S Finance: Attention, transactions éclairs. L'Expansion, novembre. Moinas, S MTF : leur concurrence a fait évoluer le business model des bourses. Revue Banque août. Plantin, G., Bénassy-Quéré, A., Gourinchas, P.-O., & Martin, P Pourquoi la BCE doit assouplir sa politique monétaire. La Tribune, 17 février. Plantin, G., Thesmar, D., & Tirole, J Les enjeux économiques du droit des faillites. Les Notes du CAE, juin.

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