Search - Clermont Recherche Management Access content directly

Filter your results

56 Results
Domains : qfin
Image document

Investor strategies in the green bond market: The influence of liquidity risks, economic factors and clientele effects

Mohamed Amine Boutabba , Yves Rannou
International Review of Financial Analysis, 2022, 81, ⟨10.1016/j.irfa.2022.102071⟩
Journal articles hal-03582603v1

Beta and Size Revisited: Evidence from the French Stock Market

Bing Xiao
International Journal of Financial Research, 2016, 7 (5), ⟨10.5430/ijfr.v7n5p42⟩
Journal articles hal-02541115v1
Image document

Gold in a portfolio: Why, when, and where?

Mathieu Gomes , Thi Ngoc Mai Lê , Benjamin Williams
Journal of Investing, 2023
Journal articles hal-03925429v1

Nickel Market: A Study on Volatility with Non-Linear GARCH Family Models

Marie-Eliette Dury , Bing Xiao
Summer Conference on Financial Implications of Sustainability and Corporate Social Responsibility, 22nd June 2018, University Côte d'Azur, Jun 2018, Nice, France
Conference papers hal-02554214v1
Image document

Greenwashing and product market competition

Mohamed Arouri , Sadok El Ghoul , Mathieu Gomes
Finance Research Letters, In press
Journal articles hal-03106623v1
Image document

The Impact of International Financial Integration on Economic Growth: New Evidence on Threshold Effects

Jinzhao Chen , Thérèse Quang
Economic Modelling, 2014, ⟨10.1016/j.econmod.2014.06.011⟩
Journal articles hal-03737730v1
Image document

THE SEASONAL EFFECT ON THE CHINESE GOLD MARKET USING AN EMPIRICAL ANALYSIS OF THE SHANGHAI GOLD EXCHANGE

Bing Xiao , Philippe Maillebuau
EURASIAN JOURNAL OF ECONOMICS AND FINANCE, 2020, 8 (2), pp.104-114
Journal articles hal-02905216v1
Image document

Residual return reversals: European evidences

Anh Duc Nguyen
Research in International Business and Finance, In press
Journal articles hal-02493457v1

Unpleasant arithmetic of socially responsible investment

Mohamed Arouri , Guillaume Pijourlet , Benjamin Williams
Economics Letters, 2020, 193, pp.109281. ⟨10.1016/j.econlet.2020.109281⟩
Journal articles hal-02861448v1
Image document

The impact of leverage on earnings management and the trade-off between discretionary accruals and real earnings management

Isaac Selasi Awuye , François Aubert
Journal of Accounting and Taxation, 2022, 14 (1), pp.89-101. ⟨10.5897/JAT2022.0519⟩
Journal articles hal-03824383v1
Image document

L’assurance indicielle paramétrique dans les pays en voie de développement : une réflexion sur l’estimation de la prime de risque contre les pluies torrentielles

Marie-Eliette Dury , Bing Xiao
Revue francophone du développement durable, 2020, Mars 2020 (15), pp.117-132
Journal articles hal-02571428v1
Image document

Are Green Bond and Carbon Markets in Europe complements or substitutes? Insights from the activity of power firms

Yves Rannou , Mohamed Amine Boutabba , Pascal Barneto
Energy Economics, 2021
Journal articles hal-03435879v1
Image document

Beyond Cheap Talks: Assessing the Undervaluation of the Chinese Currency between 1994 and 2007

Jinzhao Chen
Économie Internationale, 2009, 119, pp.47 à 82. ⟨10.3917/ecoi.119.0047⟩
Journal articles hal-03722246v1

On the determinants of stock market dynamics in emerging countries: the role of economic policy uncertainty in China and India

Mohamed Arouri , David Roubaud
Economics Bulletin, 2016, 36 (2), pp.760-770
Journal articles hal-02009136v1

Covid-19 pandemic, a catalyst for aggressive earnings management by banks?

Daniel Taylor , Isaac Selasi Awuye , Eunice Yaa Cudjoe
Journal of Accounting and Public Policy, 2022, pp.107032. ⟨10.1016/j.jaccpubpol.2022.107032⟩
Journal articles hal-03824357v1

The Monthly Effect and the Day of the Week Effect in the American Stock Market

Bing Xiao
International Journal of Financial Research, 2016, 7 (2), ⟨10.5430/ijfr.v7n2p11⟩
Journal articles hal-02541111v1

On The Impact Of Firm Size On Risk And Return: Fresh Evidence From The American Stock Market Over The Recent Years

Anissa Chaibi , Sabrina Alioui , Bing Xiao
Journal of Applied Business Research, 2014, 31 (1), pp.29. ⟨10.19030/jabr.v31i1.8987⟩
Journal articles hal-02541123v1

Futures trading with information asymmetry and OTC predominance: Another look at the volume/volatility relations in the European carbon markets

Yves Rannou , Pascal Barneto
Energy Economics, 2016, 53, pp.159-174. ⟨10.1016/j.eneco.2014.10.010⟩
Journal articles hal-02313797v1
Image document

A study of Chinese market efficiency, Shanghai versus Shenzhen: Evidence based on multifractional models

Pierre R. Bertrand , Marie-Eliette Dury , Bing Xiao
Mathematical Methods in Economics and Finance, 2020, 13-14, pp.19-36
Journal articles hal-03031766v1
Image document

Alternative reversal variable

Anh Duy Nguyen
Finance Research Letters, In press
Journal articles hal-02388743v1

Predicting the Volatility of the Russell 3000 Stock Index

Bing Xiao
International Journal of Financial Research, 2016, 7 (4), ⟨10.5430/ijfr.v7n4p18⟩
Journal articles hal-02541113v1

The recent evolution of the volatility in the Chinese gold market

Bing Xiao
GDRI International Development Economic, Nov 2016, Clermont-Ferrand, France
Conference papers hal-02541118v1

Is there a trade-off between environmental performance and financial resilience? International evidence from the subprime crisis

Sylvain Marsat , Guillaume Pijourlet , Muhammad Ullah
Accounting and Finance, 2020
Journal articles hal-03020213v1
Image document

Volatility Spillovers Between Oil Prices And Stock Returns: A Focus On Frontier Markets

Mathieu Gomes , Anissa Chaibi
Journal of Applied Business Research, 2014, 30
Journal articles hal-02314397v1
Image document

Measuring the on-going changes in China's capital controls: A de jure and a hybrid index data set

Jinzhao Chen , Xingwang Qian
China Economic Review, 2016
Journal articles hal-03727640v1
Image document

The impact of audit quality on earnings management: Evidence from France

Isaac Selasi Awuye
Journal of Accounting and Taxation, 2022, 14, pp.52 - 63. ⟨10.5897/jat2021.0514⟩
Journal articles hal-03824396v1
Image document

Investor strategies and Liquidity Premia in the European Green Bond market

Mohamed Amine Boutabba , Yves Rannou
6th International Symposium in Computational Economics and Finance, Oct 2020, Paris, France
Conference papers hal-02544451v1
Image document

Structure financière et recours aux titres hybrides : le cas des sociétés du SBF 120

Pascal Barneto , Stéphane Ouvrard , Yves Rannou
Gestion 2000, 2022, 38, pp.19 - 38. ⟨10.3917/g2000.384.0019⟩
Journal articles hal-03582746v1
Image document

Les titres hybrides : de leur émission à leur classement comptable. Un enjeu de contrôle ?

Pascal Barneto , Stéphane Ouvrard , Yves Rannou
18ème Conférence Internationale de Gouvernance (CIG 2019), May 2019, Bruxelles, Belgique
Conference papers hal-02311469v1

How Does Maize Market Behave in Sub-Saharan Africa? A Study with autoregressive Models

Marie-Eliette Dury , Bing Xiao
Conference on Development Economics, 15-16 November 2018, GDRI CERDI, Nov 2018, Clermont-Ferrand, France
Conference papers hal-02554212v1