Savoir & publications

La liste des revues académiques considérées par la Faculté comme des publications de premier plan est la suivante:

  • le classement FT50 du Financial Times (FT50) ;

  • les revues de rang 1 du Centre national de la recherche scientifique (CNRS) ;

  • les revues de rang 4 de l'Association of Business School (ABS) du Royaume-Uni ;

  • les revues de rang A* de l'Australian Business Deans Council (ABDC);

  • les revues de rang A du Verband der Hochschullehrer für Betriebswirtschaft (VHB) allemand.


2021

 


Economie

Fadinger, H., Ghiglino, C. & Teteryatnikova, M. Income Differences, Productivity and Input-Output Networks. American Economic Journal: Macroeconomics.
à paraître

Galeottia, A. & Ghiglino, C. Cross-ownership and portfolio choice. Journal of Economic Theory, 192.
doi:10.1016/J.JET.2021.105194

Kitagawa, T. & Tetenov, A. Equality-Minded Treatment Choice. Journal of Business & Economic Statistics, 39(2), 561–574.
doi:10.1080/07350015.2019.1688664

Maggi, G., Mrázová, M. & Neary, J. P. Choked by Red Tape? The Political Economy of Wasteful Trade Barriers. International Economic Review.
doi:10.1111/iere.12533

Mrázová, M., Neary, J. P. & Parenti, M. Sales and Markup Dispersion: Theory and Empirics. Econometrica, 89(4), 1753–1788.
doi:10.3982/ECTA17416


Management

Ambos, T. & Tatarinov, K. Building Responsible Innovation in International Organizations through Intrapreneurship. Journal of Management Studies.
doi:10.1111/joms.12738

Menz, M., Kunisch, S., Birkinshaw, J., Collis, D.J., Foss, N.J., Hoskisson, R.E. & Prescott, J.E. Corporate strategy and the theory of the firm in the digital age. Journal of Management Studies.
doi:10.1111/joms.12760

Nauhaus, S., Luger, J., & Raisch, S. Strategic Decision Making in the Digital Age: Expert Sentiment and Corporate Capital Allocation. Journal of Management Studies
doi:10.1111/joms.12742


Statistique

Gnecco N., Meinshausen, N., Peters, J., & Engelke, S. Causal discovery in heavy-tailed models. The Annals of Statistics.
à paraître

Guerrier, S., Molinari, R., Victoria-Feser, M.-P., & Xu, H. Robust Two-Step Wavelet-Based Inference for Time Series Models. Journal of the American Statistical Association.
doi:10.1080/01621459.2021.1895176

Lalancette, M., Engelke, S. & Volgushev, S. Rank-based Estimation under Asymptotic Dependence and Independence, with Applications to Spatial Extremes. The Annals of Statistics.
à paraître


Finance

Barras, L., Gagliardini, P. & Scaillet, O. Skill, Scale, and Value Creation in the Mutual Fund Industry. The Journal of Finance.
doi:10.2139/ssrn.3269995

Bourassa, S. C., Hoesli, M., Merlin, L., & Renne, J. Big Data, Accessibility, and Urban House Prices. Urban Studies.
doi:10.1177/0042098020982508

Chaieb, I., Langlois, H., & Scaillet, O. Factors and Risk Premia in Individual International Stock Returns. Journal of Financial Economics.
Journal of Financial Economics, 141(2), 669692.
doi:10.1016/j.jfineco.2021.04.007


2020

 

Economie

Bulte, E., Di Falco, S., & Lensink, R. Randomized interventions and “real” treatment effects: A cautionary tale and an example. World Development, 127.
doi:10.1016/j.worlddev.2019.104790

Carrère, C., Fugazza M., Olarreaga, M. & Robert-Nicoud, F. Comparative advantage and equilibrium unemployment. European Economic Review, 127.
doi:10.1016/j.euroecorev.2020.103496

Carrère, C., Grujovic, A., & Robert-Nicoud, F. Trade and Frictional Unemployment in the Global Economy. Journal of the European Economic Association, 18(6), 2869–2921.
doi:10.1093/jeea/jvz074

Carrère, C., Mrázová, M., & Neary J. P. Gravity Without Apology: the Science of Elasticities, Distance and Trade. The Economic Journal, 130(628), 880–910.
doi:10.1093/ej/ueaa034

De Giorgi, G., Frederiksen, A., & Pistaferri, L. Consumption Networks Effects. The Review of Economic Studies, 87(1), 130–163.
doi:10.1093/restud/rdz026

Escudero V., López Mourelo E., & Pignatti C. Joint provision of income and employment support: Evidence from a crisis response in Uruguay. World Development, 134.
doi:10.1016/j.worlddev.2020.105015

Kerr, W., & Robert-Nicoud, F. Tech Clusters. Journal of Economic Perspectives, 34(3), 50–76.
doi:10.1257/jep.34.3.50

Krishnakumar, J., & Nogales, R. Education, skills and a good job: A multidimensional econometric analysis. World Development, 128.
doi:10.1016/j.worlddev.2019.104842

Mrázová, M., & Neary, J. P. IO for exports(s). International Journal of Industrial Organization, 70.
doi:10.1016/j.ijindorg.2019.102561

Olarreaga, M., Sperlich, S. A., & Trachsel, V. Exploring the heterogeneous effects of export promotion. The World Bank Economic Review, 34(2), 332–350.
doi:10.1093/wber/lhy034

Solleder, J.-M. Market Power and Export Taxes. European Economic Review, 125.
doi:10.1016/j.euroecorev.2020.103425

Solleder, J.-M., & De Melo, J. Barriers to trade in environmental goods: How Important they are and what should developing countries expect from their removal. World Development, 130.
doi:10.1016/j.worlddev.2020.104910


Management

Ambos, T., Fuchs, S., & Zimmermann, A. Managing Interrelated Tensions in Headquarters-Subsidiary Relationships: The Case of a Multinational Hybrid Organization. Journal of International Business Studies, 51, 906–932.
doi:10.1057/s41267-020-00307-z

Banks, G., Fischer, T., Gooty, J., & Stock, G. Ethical leadership: Mapping the terrain for concept cleanup and a future research agenda. The Leadership Quarterly.
doi:10.1016/j.leaqua.2020.101471

Das Guru, R. R., & Paulssen, M. W. Customers’ experienced product quality: Scale development and validation. European Journal of Marketing54 (4), 645–670.
doi:10.1108/EJM-03-2018-0156

Fischer, T., Hambrick, D., Sajons, G., & van Quaquebeke, N. Beyond the ritualized use of questionnaires: Toward a science of actual behaviors and psychological states. The Leadership Quarterly, 31(4).
doi:10.1016/S1048-9843(20)30076-X

Phillips, R., Schrempf-Stirling, J., & Stutz, C. The Past, History, and Corporate Social Responsibility. Journal of Business Ethics, 166, 203–2013.
doi:10.1007/s10551-019-04319-0

Raisch, S., & Krakowski, S. Artificial Intelligence and Management: The Automation-Augmentation Paradox. Academy of Management Review.
doi:10.5465/2018.0072


Statistique

Engelke, S., & Hirtz A. S. Graphical models for extremes. Journal of the Royal Statistical Society Series B: Statistical Methodology, 82(4).
doi:10.1111/rssb.12355

Hallin, M., & La Vecchia, D. A simple R-estimation method for semiparametric duration models. Journal of Econometrics, 218(2), 736–749.
doi:10.1016/j.jeconom.2020.04.036

Hallin, M., La Vecchia, D., & Liu, H. Center-Outward R-Estimation for Semiparametric VARMA Models. Journal of the American Statistical Association.
doi:10.1080/01621459.2020.1832501


Finance

Arvanitis, S., Scaillet, O., & Topaloglou, N. Spanning Tests for Markowitz Stochastic Dominance. Journal of Econometrics, 217(2), 291–311.
doi:10.1016/j.jeconom.2019.12.005

Chaieb, I., Errunza, V., & Gibson Brandon, R.-N. Measuring Sovereign Bond Market Integration. The Review of Financial Studies, 33(8), 3446–3491.
doi:10.1093/rfs/hhz107

Chaieb, I., Errunza, V., & Langlois, H. How is Liquidity Priced in Global Markets? The Review of Financial Studies.
doi:10.1093/rfs/hhaa125/5956731

Gibson Brandon, R.-N., & Wang, S. Earnings Belief risk and the cross section of stock returns. Review of Finance, 24(5), 1107–1158.
doi:10.1093/rof/rfaa001

Gruber, P., Tebaldi, C., & Trojani, F. The Price of the Smile and Variance Risk Premia. Management Science.
doi:10.1287/mnsc.2020.3689

Hau, H., Huang Y., & Wang, G. Firm Response to Competitive Shocks: Evidence from China’s Minimum Wage Policy. The Review of Economic Studies, 87(6), 2639–2671.
doi:10.1093/restud/rdz058

Krüger, P., Sautner, Z., & Starks, L. The Importance of Climate Risks for Institutional Investors. The Review of Financial Studies, 33(3), 1067–1111.
doi:10.1093/rfs/hhz137

Loubergé, H., Malevergne, Y., & Rey, B. New Results for additive and multiplicative risk apportionment. Journal of Mathematical Economics, 90, 140–151.
doi:10.1016/j.jmateco.2020.07.004

Michaely, R., Rossi, S., & Weber, M. Signaling Safety. Journal of Financial Economics, 139(2), 405–427.
doi:10.1016/j.jfineco.2020.08.013

Scaillet, O., Baulescu-Radu, D., Hurlin, C., & Leymarie, J. Backtesting Marginal Expected Shortfall and Related Systemic Risk Measures. Management Science.
doi:10.1287/mnsc.2020.3751

Scaillet, O., Treccani, A., & Trevisan, C. High-Frequency Jump Analysis of the Bitcoin Market. Journal of Financial Econometrics, 18(2), 209–232.
doi:10.1093/jjfinec/nby013


 

2019

 

Economie

Albouy, D., Behrens, K., Robert-Nicoud, F., & Seegert, N. The Optimal Distribution of Population Across Cities. Journal of Urban Economics, 110, 102–113.
doi:10.1016/j.jue.2018.08.004

Bochet, O., Lucchetti, J., Leroux, J., & Sinclair-Dersgagné, B. Collective Risk-Taking in the Commons. Journal of Economic Behavior and Organization, 163, 277–296.
doi:10.1016/j.jebo.2019.04.011

Calderon-Guemez, G., Cunha, J., & De Giorgi, G. Business Literacy and Development: Evidence from a Randomized Controlled Trial in Rural Mexico. Economic Development and Cultural Change, 68(2).
doi:10.1086/701213

Cunha, J. M., De Giorgi, G. & Jayachandran, S. The Price Effects of Cash Versus In-Kind Transfers. The Review of Economic Studies, 86(1), 240–281.
doi:10.1093/restud/rdy018

Daubanes, J., & Rochet, J.-C. The Rise of NGO Activism. American Economic Journal: Economic Policy, 11(4), 183–212.
doi:10.1257/pol.20180027

Di Falco, S.,  Berck, P.,  Bezabih, M., & Köhlin, G. Rain and Impatience: Evidence from rural Ethiopia. Journal of Economic Behavior & Organization, 160, 40–51.
doi:10.1016/j.jebo.2019.02.016

Di Falco, S., Lucchetti, J., Veronesi, M., & Kohlin, G. Property Rights, Water Scarcity and Land Disputes. American Journal of Agricultural Economics, 102(1), 54–71.
doi:10.1093/ajae/aaz036

Leonardi, M., Pellizzari, M. & Tabasso, D. Wage Compression within the Firm: Evidence from an Indexation Scheme. The Economic Journal, 129(624), 3256–3291.
doi:10.1093/ej/uez022

Mrázová, M., & Neary, J. P. Selection Effects with Heterogeneous Firms. Journal of the European Economic Association, 17(4), 1294–1334.
doi:10.1093/jeea/jvy024


Management

Coindreau, M.-A., Gallay, O., & Zufferey, N.Vehicle Routing with Transportable Resources: Using Carpooling and Walking for On-site Services. European Journal of Operational Research, 279(3), 996–1010.
doi:10.1016/j.ejor.2019.06.039

Gibson, C., Birkinshaw, J., Mcdaniel Sumpter, D., & Ambos, T. The Hierarchical Erosion Effect: A New Perspective on Perceptual Differences and Business Performance. Journal of Management Studies, 56(8), 1713–1747.
doi:10.1111/joms.12443

Paulssen, M., Brunneder, J., & Sommerfeld, A. Customer in-role and extra-role behaviours in a retail setting: The differential roles of customer-company identification and overall satisfaction. European Journal of Marketing, 53(12).
doi:10.1108/EJM-06-2017-0417

Thevenin, S., & Zufferey, N.Learning variable neighborhood search for a scheduling problem with time windows and rejections. Discrete Applied Mathematics, 261, 344–353.
doi:10.1016/j.dam.2018.03.019

Vie, M.-S., Zufferey, N., & Cordeau, J.-F.Solving the Wire-Harness Design Problem at a European car manufacturer. European Journal of Operational Research, 272(2), 712–724.
doi:10.1016/j.ejor.2018.06.047


Statistique

Deléamont, P.-Y., & La Vecchia, D. Semiparametric Segment M-estimation for Locally Stationary Diffusions. Biometrika, 106(4), 941–956.
doi:10.1093/biomet/asz042

Engelke, S., De Fondeville, R., & Oesting, M. Extremal behavior of aggregated data with an application to downscaling. Biometrika, 106(1), 127–144.
doi:10.1093/biomet/asy052

Guerrier, S., Dupuis-Lozeron, E., Ma, Y., & Victoria-Feser, M.-P. Simulation based Bias Correction Methods for Complex Models. Journal of the American Statistical Association Theory and Methods Section, 114(525), 146–157.
doi:10.1080/01621459.2017.1380031

Koo, B., La Vecchia, D., & Linton, O. Estimation of Nonparametric model for Bond Prices from Cross-section and Time series Information. Journal of Econometrics, 220(2), 562–588.
doi:10.1016/j.jeconom.2020.04.014

La Vecchia, D., & Ronchetti, E. Saddlepoint approximations for short and long memory time series: A frequency domain approach. Journal of Econometrics, 213(2), 578–592.
doi:10.1016/j.jeconom.2018.10.009


Finance

Barras, L., Scaillet, O., & Wermers, R. Reassessing False Discoveries in Mutual Fund Performance: Skill, Luck, or Lack of Power? A Reply. The Journal of Finance.
à paraître

Cosma, A., Galluccio, S., Pederzoli, P., & Scaillet, O. Early Exercise Decision in American Options with Dividends, Stochastic Volatility, and Jumps. Journal of Financial and Quantitative Analysis, 55(1), 331356.
doi:10.1017/S0022109018001229

Cziraki, P., Lyandres, E., & Michaely, R. What do insiders know? Evidence from insider trading around share repurchases and SEOs. Journal of Corporate Finance.
doi:10.1016/j.jcorpfin.2019.101544

Gagliardini, P., Ossola, E., & Scaillet, O. A diagnostic criterion for approximate factor structure. Journal of Econometrics, 212(2), 503–521.
doi:10.1016/j.jeconom.2019.06.001

Grullon, G., Larkin, Y., & Michaely, R. Are US Industries Becoming More Concentrated? Review of Finance, 23(4), 697–743.
doi:10.1093/rof/rfz007

Krüger, P., Landier, A., Thesmar, D., & Bouchaud, J.-P. Sticky Expectations and the Profitability Anomaly. The Journal of Finance, 74(2), 639–674.
doi:10.1111/jofi.12734

Loued-Khenissi, L., Döll, O., & Preuschoff, K. An Overview of Functional Magnetic Resonance Imaging Techniques for Organizational Research. Organizational Research Methods, 22(1), 17–45.
doi:10.1177/1094428118802631

Lyandres, E., Marchica, M-T., Michaely, R., & Mura, R. Owners’ Portfolio Diversification and Firm Investment: Theory and Evidence from Private and Public Firm. The Review of Financial Studies, 32(12), 4855–4904.
doi:10.1093/rfs/hhz050

Magill, M., Quinzii, M., & Rochet, J.-C. The safe asset, banking equilibrium, and optimal central bank monetary, prudential and balance-sheet policies. Journal of Monetary Economics, 112, 113–128.
doi:10.1016/j.jmoneco.2019.02.002

Martin, J., Michaely, R., & Müller, M. Consumption Taxes and Corporate Investment. The Review of Financial Studies, 32(8), 3144–3182.
doi:10.1093/rfs/hhy132

Miendlarzewska, E. A., Kometer, M., & Preuschoff, K. Neurofinance. Organizational Research Methods, 22(1), 196-222.
doi:10.1177/1094428117730891

Piatti, I., & Trojani, F. Dividend Growth Predictability and the Price Dividend Ratio. Management Science, 66(1), 1–501.
doi:10.1287/mnsc.2018.3155

Sandulescu, M., Trojani, F., & Vedolin, A. Model-Free International Stochastic Discount Factors. The Journal of Finance, 76(2), 935–976.
doi:10.1111/jofi.12970

Schneider, P., & Trojani, F. (Almost) model-free recovery. The Journal of Finance, 74(1), 323–370.
doi:10.1111/jofi.12737

Schneider, P., & Trojani, F. Divergence and the Price of Uncertainty. Journal of Financial Econometrics, 17(3), 341–396.
doi:10.1093/jjfinec/nby021


Systèmes d'information

Falco, G., Eling, M., Jablanski, D., Weber, M., Miller, V., Gordon, L. A., Wang, S. S., Schmit, J., Thomas, R., Elvedi, M., Maillart, T., Donavan, E., Dejung, S., Durand, E., Nutter, F., Scheffer, U., Arazi, G., Ohana, G., & Lin, H. Cyber risk research impeded by disciplinary barriers. Science, 366(6469), 1066–1069.
doi:10.1126/science.aaz4795     

 

2018

 

Economie

Angelucci, M., De Giorgi, G., & Rasul, I. Consumption and Investment in Resource Pooling Family Networks. The Economic Journal, 128(615), 2613–2651.
doi:10.1111/ecoj.12534

Di Falco, S., Feri, F., Pin, P., & Vollenweider, X. Ties that Bind: Network Redistributive Pressure and Economic Decisions in Village Economies. Journal of Development Economics, 131, 123–131.
doi:10.1016/j.jdeveco.2017.12.001

Guell M., Pellizzari, M., Pica G., & Rodrìguez Mora, J. V. Correlating Social Mobility and Aggregate Economic Outcomes. The Economic Journal, 128(612), F353–F403.
doi:10.1111/ecoj.12599

Nicita, A., Olarreaga, M., & Silva, P. Cooperation in WTO's Tariff Waters? Journal of Political
doi:10.1086/697085


Management

Hildebrand, C., & Schlager, T. Focusing On Others Before You Shop: Exposure To Facebook Promotes Conventional Product Configurations. Journal of the Academy of Marketing Science, 47, 291–307.
doi:10.1007/s11747-018-0599-0

Krefeld-Schwalb, A., Donkin, C., Newell, B. R., & Scheibehenne, B. Empirical Comparison of The Adjustable Spanner and the Adaptive Toolbox Models of Choice. Journal of Experimental Psychology: Learning, Memory, and Cognition, 45(7), 11511165.
doi:10.1037/xlm0000641

Luger, J., Raisch S., & Schimmer, M. Dynamically Balancing Exploration and Exploitation: The Contingent Benefits of Ambidexterity. Organization Science, 29(3), 357546.
doi:10.1287/orsc.2017.1189

Olschewski, S., Rieskamp, J., & Scheibehenne, B. Taxing Cognitive Capacities Reduces Choice Consistency rather than Preference: A Model-Based Test. Journal of Experimental Psychology: General, 147(4), 462484.
doi:10.1037/xge0000403

Raisch S., Hargrave T. J., & van de Ven A. H. The Learning Spiral, A Process Perspective on Paradox. Journal of Management Studies, 55(8), 15071526.
doi:10.1111/joms.12397

Rudd, M., Hildebrand, C., & Vohs, K. D. Inspired to Create: Awe Enhances Openness to Learning and the Desire for Experiential Creation. Journal of Marketing Research, 55(5), 766781.
doi:10.1177/0022243718802853

Schlager, T., Hildebrand, C., Häubl, G.,  Franke, N., & Herrmann, A. Social Product-Customization Systems: Peer Input, Conformity, and Consumers’ Evaluation of Customized Products. Journal of Management Information Systems, 35(1), 319349.
doi:10.1080/07421222.2018.1440763

Thevenin, S., Zufferey, N., & Potvin, J.-Y. Graph multi-coloring for a job scheduling application. Discrete Applied Mathematics, 234, 218–235.
doi:10.1016/j.dam.2016.05.023

Zimmermann, A.,Raisch S., & Cardinal, L. B. Managing Persistent Tensions on the Frontline: A Configurational Perspective on Ambidexterity. Journal of Management Studies, 55(5), 739769.
doi:10.1111/joms.12311


Statistique

Avella-Medina, M., & Ronchetti, E. Robust and Consistent Variable Selection in High-Dimensional Generalized Linear Models. Biometrika, 105(1), 31–44.
doi:10.1093/biomet/asx070

Hallin, M., & La Vecchia, D. A Simple R-Estimation Method for Semiparametric Duration Models. Journal of Econometrics, 218(2), 736–749.
doi:10.1016/j.jeconom.2020.04.036


Finance

Berrada, T., Detemple, J., & Rindisbacher, M. Asset Pricing with Beliefs-Dependent Risk Aversion and Learning. Journal of Financial Economics, 128(3), 504–534.
doi:10.1016/j.jfineco.2018.03.002

Oikarinen, E., Bourassa, S. C., Hoesli, M., & Engblom, J. U.S. Metropolitan House Price Dynamics. Journal of Urban Economics, 105, 54–69.
doi:10.1016/j.jue.2018.03.001

 

2017

 

Economie

Bathelt, H., Coe, N. M., Kerr, W. R., & Robert-Nicoud, F. Editorial: Economic Geography IMPULSES. Journal of Economic Geography, 17(5),927–933.
doi:10.1093/jeg/lbx028

Ghiglino, C., & Nocco, A. When Veblen meets Krugman: social network and city dynamics. Economic Theory, 63, 431–470.
doi:10.1007/s00199-015-0940-5

Mrázová, M., & Neary, J. P. Not So Demanding: Demand Structure and Firm Behavior. American Economic Review, 107(12), 3835–74.
doi:10.1257/aer.20160175


Management

Birkinshaw, J., Ambos, T. C., & Bouquet, C. Boundary Spanning Activities of Corporate HQ. Executives Insights from a Longitudinal Study. Journal of Management Studies, 54(4), 422–454.
doi:10.1111/joms.12260


Statistique

Calvet, L. E., Czellar, V., & Ronchetti, E. Robust Filtering. Journal of the American Statistical Association, 110(512), 1591–1606.
doi:10.1080/01621459.2014.983520

Cantoni, E., Mills Flemming, J., & Welsh, A. H. A Random-Effects Hurdle Model for Predicting Bycatch of Endangered Marine Species. Annals of Applied Statistics, 11(4), 2178–2199.
doi:10.1214/17-AOAS1074

Hallin, M., & La Vecchia, D. R-Estimation in Semiparametric Dynamic Location-Scale Models. Journal of Econometrics, 196(2), 233–247.
doi:10.1016/j.jeconom.2016.08.002


Finance

Favara, G., Morellec, E., Schroth, E., & Valta, P. Debt Enforcement, Investment, and Risk Taking Across Countries. Journal of Financial Economics, 123(1), 22–41.
doi:10.1016/j.jfineco.2016.09.002

Hau, H., & Sandy, L. The Role of Equity Funds in the Financial Crisis Propagation. Review of Finance, 21(1), 77–108.
doi:10.1093/rof/rfw023

 

2016

 

Economie

Braga, B., Paccagnella, M., & Pellizzari, M. The Impact of College Teaching on Students’ Academic and Labor Market Outcomes.
doi:10.1086/684952

Francesconi, M., Ghiglino, C., & Perry, M. An evolutionary theory of monogamy. Journal of Economic Theory, 166, 605628.
doi:10.1016/j.jet.2016.10.001

Ghiglino, C., & Tabasso, N. Risk aversion in a model of endogenous growth. Journal of Mathematical Economics, 64, 3040.
doi:10.1016/j.jmateco.2016.03.002

Lendle, A., Olarreaga, M., Schropp, S., & Vézina, P.-L. There Goes Gravity: eBay and the Death of Distance. The Economic Journal, 126(591), 406–441.
doi:10.1111/ecoj.12286

Tellez, J., Krishnakumar, J., Bungener, M., & Le Galès, C. Capability deprivation of people with Alzheimer's disease: An empirical analysis using a national survey. Social Science & Medicine, 151, 5668.
doi:10.1016/j.socscimed.2015.12.032


Management

Raisch, S., & Tushman, M. L. Growing New Corporate Businesses: From Initiation to Graduation. Organization Science, 27(5), 1065–1341.
doi:10.1287/orsc.2016.1081

Scheibehenne, B., Jamil, T., & Wagenmakers E.-J. Bayesian Evidence Synthesis Can Reconcile Seemingly Inconsistent Results: The Case of Hotel Towel Reuse. Psychological Science, 27(7), 1043–1046.
doi:10.1177/0956797616644081

Studer, B., Scheibehenne, B., & Clark, L. Psychophysiological Arousal and Inter- and Intraindividual Differences in Risk-Sensitive Decision Making. Psychophysiology, 53(6), 940–950.
doi:10.1111/psyp.12627

 

 


Statistique

Cantoni, E., Mills Flemming, J., & Welsh, A. H. A Random-Effects Hurdle Model for Predicting Bycatch of Endangered Marine Species. Annals of Applied Statistics, 11(4), 2178–2199.
doi:10.1214/17-AOAS1074

Hallin, M., & La Vecchia, D. R-Estimation in Semiparametric Dynamic Location-Scale Models. Journal of Econometrics, 196(2), 233–247.
doi:10.1016/j.jeconom.2016.08.002

Zhelonkin, M., Genton, M. G., & Ronchetti, E. Robust Inference in Sample Selection Models. Journal of the Royal Statistical Society. Series B. Statistical Methodology, 78(4), 805–827.
doi:10.1111/rssb.12136


Finance

Gagliardini, P., Ossola, E., & Scaillet, O. Time-Varying Risk Premium in Large Cross-Sectional Equity Data Sets. Econometrica, 84(3), 985–1046.
doi:10.3982/ECTA11069

Valta, P. Strategic Default, Debt Structure, and Stock Returns. Journal of Financial and Quantitative Analysis, 51(1), 197–229.
doi:10.1017/S002210901600003X

 

2015

 

Economie

Boeri, T., De Philippis, M., Patacchini, E., & Pellizzari, M. Immigration, Housing Discrimination and Employment. The Economic Journal, 125(586), F82–F114.
doi:10.1111/ecoj.12232

Dewan, T., Galeotti, A., Ghiglino, C., & Squintani, F. Information Aggregation and Optimal Structure of the Executive. American Journal of Political Science, 59(2), 475–494.
doi:10.1111/ajps.12121

Rodríguez-Póo, J. M., Sperlich, S., & Vieu, P. Specification Testing when the Null is Nonparametric or Semiparametric. Econometric Theory, 31(6), 1281–1309.
doi:10.1017/S0266466614000504


Management

Pollmann, M. M. H., & Scheibehenne, B. An Information Theory Account of Preference Prediction Accuracy. Journal of Consumer Psychology, 25(2), 286–295.
doi:10.1016/j.jcps.2014.10.002

Thevenin, S., Zufferey, N., & Widmer, M. Metaheuristics for a scheduling problem with rejection and tardiness penalties. Journal of Scheduling, 18, 89–105.
doi:10.1007/s10951-014-0395-8

Zimmermann, A., Raisch, S., & Birkinshaw, J. How Is Ambidexterity Initiated? The Emergent Charter Definition Process. Organization Science, 26(4), 941–1261.
doi:10.1287/orsc.2015.0971

 


Statistique

Calvet, L. E., Czellar, V., & Ronchetti, E. Robust Filtering. Journal of the American Statistical Association, 110(512), 1591–1606.
doi:10.1080/01621459.2014.983520


Finance

Bajgrowicz, P., Scaillet, O., & Treccani, A. Jumps in High-Frequency Data: Spurious Detections, Dynamics, and News. Management Science, 62(8), iv–vii, 2149-2455.
doi:10.1287/mnsc.2015.2234

Dunne, P. G., & Hau, H., & Moore, M. J. Dealer Intermediation Between Markets. Journal of the European Economic Association, 13(5), 770–804.
doi:10.1111/jeea.12118

Efing, M., & Hau, H. Structured Debt Ratings: Evidence on Conflicts of Interest. Journal of Financial Economics, 116(1), 46–60.
doi:10.1016/j.jfineco.2014.11.009

Efing, M., Hau, H., Kamkötter, P., & Steinbrecher, J. Incentive pay and bank risk-taking: Evidence from Austrian, German, and Swiss banks. Journal of International Economics, 96, S123–S140.
doi:10.1016/j.jinteco.2014.12.006

Hau, H., & Lai, S. Asset Allocation and Monetary Policy: Evidence from the Eurozone. Journal of Financial Economics, 120(2), 309329.
doi:10.1016/j.jfineco.2016.01.014

Krüger, P. Corporate Goodness and Shareholder Wealth. Journal of Financial Economics, 115(2), 304329.
doi:10.1016/j.jfineco.2014.09.008

Krüger, P., Landier, A., & Thesmar, D. The WACC Fallacy: The Real Effects of Using a Unique Discount Rate. The Journal of Finance, 70(3), 12531285.
doi:10.1111/jofi.12250

Morellec, E., Valta, P., & Zhdanov, A. Financing Investment: The choice Between Bonds and Bank Loans. Management Science, 61(11), iv–vi, 2549–2824.
doi:10.1287/mnsc.2014.2005

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