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.





Katovich, E. S., 2024. Winning and losing the resource lottery: Governance after uncertain oil discoveries. Journal of Development Economics, 166, Article 103204.



Raisch, S. & Fomina, K. 2024. Combining Human and Artificial Intelligence: Hybrid Problem Solving in Organizations. Academy of Management Review.

Schrempf-Stirling, J., & Van Buren, H. J. 2024. The Importance of Human Rights for Management and Organization Studies. British Journal of Management.

Vives-Gabriel, J., Schrempf-Stirling, J., & Coraiola, D. M. 2024. Dealing with Organizational Legacies of Irresponsibility. Academy of Management Perspectives.



Guerrier, S., Kuzmics, C., & Victoria-Feser, M.-P. 2024. Assessing COVID-19 Prevalence in Austria with Infection Surveys and Case Count Data as Auxiliary Information. Journal of the American Statistical Association.



Lombard, E., & Gibson Brandon, R. N. 2024. Do wealth managers understand codes of conduct and their ethical dilemmas? Lessons from an online survey.  Journal of Business Ethics, 189, 553–572.





Beltramo, T. P., Calvi, R., De Giorgi, G., & Sarr, I. 2023. Child poverty among refugees. World Development, 171, Article 106340.

Bulte, E., Di Falco, S., Kassie, M., & Vollenweider, X. 2023. Low-quality seeds, labor supply and economic returns: Experimental evidence from Tanzania. The Review of Economics and Statistics, 1(33).

De Giorgi, G., Drenik, A., & Seira, E. 2023. The extension of credit with non-exclusive contracts and sequential banking externalities. American Economic Journal: Economic Policy, 15(1), 233–271.

Kramlinger, P., Krivobokova, T., & Sperlich, S. 2023. Marginal and Conditional Multiple Inference for Linear Mixed Model Predictors. Journal of the American Statistical Association, 118(544), 2344–2355.

Laurent-Lucchetti, J., Rohner, D., & Thoenig, M. 2023. Ethnic conflict and the informational dividend of democracy. Journal of the European Economic Association.

Müller, T., Pannatier, P., & Viarengo, M. 2023. Labor market integration, local conditions and inequalities: Evidence from refugees in Switzerland. World Development, 170,  Article 106288.

Nigus, H. Y., Nillesen, E., Mohnen, P., & Di Falco, S. 2023. Markets and socially responsible behavior: Do punishment and religion matter? Journal of Economic Behavior & Organization, 209, 572–593.


Fischer, T. 2023. Measuring behaviors counterfactually. The Leadership Quarterly34(6). Article 101750.

Fischer, T., Hambrick D. C., Sajons G. B., & van Quaquebeke N. 2023. Leadership science beyond questionnaires. The Leadership Quarterly34(6), Article 101752.

Fischer, T., & Sitkin, S. B. Leadership Styles: 2023. A comprehensive assessment and way forward. Academy of Management Annals, 17(1).

Krakowski, S., Luger, J., & Raisch, S. 2023. Artificial intelligence and the changing sources of competitive advantage. Strategic Management Journal, 44(6), 1425–1452.

Kunisch, S., Denyer, D., Bartunek, J. M., Menz, M., & Cardinal, L. B. 2023. Review research as scientific inquiry. Organizational Research Methods, 26(1), 3–45.

Langan, R., Krause, R., & Menz, M. 2023. Executive board chairs: Examining the performance consequences of a corporate governance hybrid. Journal of Management, 49(7), 2218–2253.

Schrempf-Stirling, J., & Wettstein, F. 2023. The mutual reinforcement of hard and soft regulation. Academy of Management Perspectives, 37(1).

Tatarinov, K., Ambos, T. C., & Chang, F. T. 2023. Scaling digital solutions for wicked problems: Ecosystem versatility. Journal of International Business Studies, 54(4), 631–656.

Tippmann, E., Ambos, T. C., Del Giudice, M., Monaghan, S., & Ringove, D. 2023. Scale-ups and scaling in an international business context. Journal of World Business, 58(1), Article 101397.

Vié, M.-S., Zufferey, N., & Minner, S. 2023. A matheuristic for tactical locomotive and driver scheduling for the Swiss national railway company SBB Cargo AG. OR Spectrum, 45, 1113–1151.

Wang, D., & Ziano, I. 2023. Give Me a Straight Answer: Response Ambiguity Diminishes Likability. Personality and Social Psychology Bulletin.

Ziano, I., & Villanova, D. 2023. More useful to you: Believing that others find the same objects more useful. Journal of Experimental Social Psychology, 106, Article 104460.


Deuber D., Li J., Engelke, S., & Maathuis M. 2023. Estimation and Inference of Extremal Quantile Treatment Effects for Heavy-Tailed Distributions. Journal of the American Statistical Association.

Jiang, C.La Vecchia, D.Ronchetti, E., & Scaillet, O. 2023. Saddlepoint approximations for spatial panel data models. Journal of the American Statistical Association, 118(542), 11641175.

La Vecchia, D., Moor, A., & Scaillet, O. 2023. A higher-order correct fast moving-average bootstrap for dependent data. Journal of Econometrics, 235(1), 6581.

Reluga, K., Lombardía, M.-J., & Sperlich, S. 2023. Simultaneous inference for empirical best predictors with a poverty study in small areas. Journal of the American Statistical Association118(541), 583–595.

Röttger, F., Engelke, S., & Zwiernik, P. 2023. Total positivity in multivariate extremes. The Annals of Statistics, 51(3), 962–1004.


Arvanitis, S., Scaillet, O., & Topaloglou, N. (in press). Spanning analysis of stock market anomalies under prospect stochastic dominance. Management Science.

Bakalli, G., Guerrier, S., & Scaillet, O. 2023. A penalized two-pass regression to predict stock returns with time-varying risk premia. Journal of Econometrics, 237(2), Article 105375.

Efing, M., Fahlenbrach, R., Herpfer, C., & Krüger, P. 2023. How do investors and firms react to a large, unexpected currency appreciation shock? The Review of Corporate Finance Studies, 12(3), 488–538.

Efing, M., Hau, H., Kampkötter, P., & Rochet, J.-C. 2023. Bank bonus pay as a risk sharing contract. The Review of Financial Studies, 36(1), 235–280.

Fortin, A.-P., Gagliardini, P., & Scaillet, O. 2023. Eigenvalue tests for the number of latent factors in short panels. Journal of Financial Econometrics.

Gersbach, H., Rochet, J.-C., & Scheffel, M. 2023. Financial intermediation, capital accumulation, and crisis recovery. Review of Finance, 27(4), 1423–1469.

Ilhan, E., Krüger, P., Sautner, Z., & Starks, L. T. 2023. Climate risk disclosure and institutional investors. The Review of Financial Studies, 36(7), 26172650.

Korsaye, S. A., Trojani, F., & Vedolin, A. 2023. The global factor structure of exchange rates. Journal of Financial Economics, 148(1), 21–46.

Orłowski, P., Schneider, P., & Trojani, F. (in press). On the nature of (jump) skewness risk premia. Management Science.




Albanesi, S., De Giorgi, G., & Nosal, J. 2022. Credit growth and the financial crisis: A new narrative. Journal of Monetary Economics, 132, 118–139.

Di Falco, S., & Vieider, F. M. 2022. Environmental Adaptation of Risk Preferences. The Economic Journal, 132(648), 2737–2766.

Fadinger, H., Ghiglino, C., & Teteryatnikova, M. 2022. Income Differences, Productivity, and Input-Output Networks. American Economic Journal: Macroeconomics, 14(2), 367–415.

Kadilli, A., & Krishnakumar, J. 2022. Smooth Transition Simultaneous Equation Models. Journal of Economic Dynamics and Control, 145, Article 104546.

Kuosmanen, I., & Meriläinen, J. 2022. Labor Market Effects of Open Borders: Evidence from the Finnish Construction Sector after EU Enlargement. Journal of Human Resources.

Maggi, G., Mrázová, M., & Neary, J. P. 2022. Choked by red tape? The political economy of wasteful trade barriers. International Economic Review, 63(1), 161–188.

Mammen, E., & Sperlich, S. 2022. Backfitting tests in generalized structured models. Biometrika, 109(1), 137–152.

Peñaranda, F., Rodríguez-Poo, J. M., & Sperlich, S. 2022. Nonparametric specification testing of conditional asset pricing models. Journal of Business & Economic Statistics, 40(4), 1455–1469.


Andrews, D. S., Fainshmidt, S., Ambos, T., & Haensel, K. 2022. The attention-based view and the multinational corporation: Review and research agenda. Journal of World Business, 57(2), Article 101302.

Krim, H., Zufferey, N., Potvin, J.-Y., Benmansour, R., & Duvivier, D. 2022. Tabu search for a parallel-machine scheduling problem with periodic maintenance, job rejection and weighted sum of completion times. Journal of Scheduling, 25, 89–105.

Vié, M.-S., Zufferey, N., & Leus, R. 2022. Aircraft landing planning under uncertain conditions. Journal of Scheduling, 25, 203–228.

Visnjic, I., Jovanovic, M., & Raisch, S2022. Managing the transition to a dual business model: Tradeoff, paradox, and routinized practices. Organization Science, 33(5), 1701–2083.


Engelke, S., & Volgushev, S. 2022. Structure learning for extremal tree models. Journal of the Royal Statistical Society Series B: Statistical Methodology, 84(5), 2055–2087.

Hallin, M., La Vecchia, D., & Liu, H. 2022. Center-Outward R-Estimation for Semiparametric VARMA Models. Journal of the American Statistical Association, 117(538), 925938.

Lideikyte-Huber, G., & Pittavino, M. 2022. Who donates and how? New evidence on the tax incentives in the canton of Geneva, Switzerland. Journal of Empirical Legal Studies, 19(3), 758–797.


Barras, L., Gagliardini, P., & Scaillet, O. 2022. Skill, scale, and value creation in the mutual fund industry. The Journal of Finance, 77(1), 601–638.

Camanho, N., Hau, H. & Rey, H. 2022. Global Portfolio Rebalancing and Exchange Rates. The Review of Financial Studies, 35(11), 5228–5274.

Gibson Brandon, R., Glossner, S., Krüger, P., Matos, P., & Steffen, T. 2022. Do Responsible Investors Invest Responsibly? Review of Finance, 26(6), 1389–1432.




Amodio, F., Choi, J., De Giorgi, G., & Rahman, A. 2021. Bribes vs. taxes: Market structure and incentives. Journal of Comparative Economics, 50(2), 435–453.

Cacault, M. P., Hildebrand, C., Laurent-Lucchetti, J., & Pellizzari, M. 2021. Distance Learning in Higher Education: Evidence from a Randomized Experiment. Journal of the European Economic Association, 19(4), 2322–2372.

De Giorgi, G., Drenik, A., & Seira, E. 2021. The extension of credit with non-exclusive contracts and sequential banking externalities. American Economic Journal: Economic Policy, 15(1), 233–271.

Fretz, S., Parchet, R., & Robert-Nicoud, F. 2021. Highways, market access and spatial sorting. The Economic Journal, 132(643), 1011–1036.

Galeottia, A., & Ghiglino, C. 2021. Cross-ownership and portfolio choice. Journal of Economic Theory, 192.

Kitagawa, T., & Tetenov, A. 2021. Equality-minded treatment choice. Journal of Business & Economic Statistics, 39(2), 561–574.

Mrázová, M., Neary, J. P., & Parenti, M. 2021. Sales and markup dispersion: Theory and empirics. Econometrica, 89(4), 1753–1788.

Peri, G., & Robert-Nicoud, F. 2021. On the economic geography of climate change. Journal of Economic Geography, 21(4), 487–491.

Reluga, K., Lombardía, M.-J., & Sperlich, S. 2021. Simultaneous inference for empirical best predictors with a poverty study in small areas. Journal of the American Statistical Association.

Vogel, J., Steinberger, J. K., O'Neill, D. W., Lamb, W. F., & Krishnakumar, J. 2021. Socio-economic conditions for satisfying human needs at low energy use: An international analysis of social provisioning. Global Environmental Change, 69.


Ambos, T. C., & Tatarinov, K2021. Building responsible innovation in international organizations through intrapreneurship. Journal of Management Studies, 59(1), 92–125.

Banks, G., Fischer, T., Gooty, J., & Stock, G. 2021. Ethical leadership: Mapping the terrain for concept cleanup and a future research agenda. The Leadership Quarterly, 32(2).

Coindreau, M.-A., Gallay, O., Zufferey, N., & Laporte, G. 2021. Inbound and outbound flow integration for cross-docking operations. European Journal of Operational Research, 294(3), 1153–1163.

Fischer, T., Wei Tian, A., Lee, A., & Hughes, D. J. 2021. Abusive supervision: A systematic review and fundamental rethink. The Leadership Quarterly, 32(6).

Menz, M., Kunisch, S., Birkinshaw, J., Collis, D. J., Foss, N. J., Hoskisson, R. E., & Prescott, J. E. 2021. Corporate strategy and the theory of the firm in the digital age. Journal of Management Studies, 58(7), 1695–1720.

Nauhaus, S., Luger, J., & Raisch, S. 2021. Strategic decision making in the digital age: Expert sentiment and corporate capital allocation. Journal of Management Studies, 58(7), 1933–1961.

Raisch, S., & Krakowski, S. 2021. Artificial Intelligence and Management: The Automation-Augmentation Paradox. Academy of Management Review, 46(1), 192–210.


Gnecco N., Meinshausen, N., Peters, J., & Engelke, S. 2021. Causal discovery in heavy-tailed models. Annals of Statistics, 49(3), 1755–1778.

Guerrier, S., Molinari, R., Victoria-Feser, M.-P., & Xu, H2021. Robust two-step wavelet-based inference for time series models. Journal of the American Statistical Association.

Lalancette, M., Engelke, S., & Volgushev, S. 2021. Rank-based estimation under asymptotic dependence and independence, with applications to spatial extremes. Annals of Statistics, 49(5), 2552–2576.


Bourassa, S. C., Hoesli, M., Merlin, L., & Renne, J. 2021. Big data, accessibility and urban house prices. Urban Studies, 58(15), 3176–3195.

Chaieb, I., Errunza, V., & Langlois, H. 2021. How is Liquidity Priced in Global Markets? The Review of Financial Studies, 34(9), 4216–4268.

Chaieb, I., Langlois, H., & Scaillet, O2021. Factors and risk premia in individual international stock returns. Journal of Financial Economics, 141(2), 669–692.

Cziraki, P., Lyandres, E., & Michaely, R. 2021. What do insiders know? Evidence from insider trading around share repurchases and SEOs. Journal of Corporate Finance, 66.

Gruber, P., Tebaldi, C., & Trojani, F. 2021. The Price of the Smile and Variance Risk Premia. Management Science, 67(7), 4056–4074.

Michaely, R., Rossi, S., & Weber, M. 2021. Signaling Safety. Journal of Financial Economics, 139(2), 405–427.

Sandulescu, M., Trojani, F., & Vedolin, A. 2021. Model-Free International Stochastic Discount Factors. The Journal of Finance, 76(2), 935–976.




Bulte, E., Di Falco, S., & Lensink, R. 202o. Randomized interventions and “real” treatment effects: A cautionary tale and an example. World Development, 127.

Carrère, C., Fugazza M., Olarreaga, M., & Robert-Nicoud, F. 202o. Comparative advantage and equilibrium unemployment. European Economic Review, 127.

Carrère, C., Grujovic, A., & Robert-Nicoud, F. 202o. Trade and Frictional Unemployment in the Global Economy. Journal of the European Economic Association, 18(6), 2869–2921.

Carrère, C., Mrázová, M., & Neary J. P. 202o. Gravity Without Apology: the Science of Elasticities, Distance and Trade. The Economic Journal, 130(628), 880–910.

De Giorgi, G., Frederiksen, A., & Pistaferri, L. 202o. Consumption Networks Effects. The Review of Economic Studies, 87(1), 130–163.

Escudero V., López Mourelo E., & Pignatti C. 2020.Joint provision of income and employment support: Evidence from a crisis response in Uruguay. World Development, 134.

Kerr, W., & Robert-Nicoud, F. 202o. Tech Clusters. Journal of Economic Perspectives, 34(3), 50–76.

Krishnakumar, J., & Nogales, R. 202o. Education, skills and a good job: A multidimensional econometric analysis. World Development, 128.

Mrázová, M., & Neary, J. P. 202o. IO for exports(s). International Journal of Industrial Organization, 70.

Olarreaga, M., Sperlich, S., & Trachsel, V. 202o. Exploring the heterogeneous effects of export promotion. The World Bank Economic Review, 34(2), 332–350.

Solleder, J.-M. 2020. Market Power and Export Taxes. European Economic Review, 125.

Solleder, J.-M., & De Melo, J. 202o. Barriers to trade in environmental goods: How Important they are and what should developing countries expect from their removal. World Development, 130.


Ambos, T., Fuchs, S., & Zimmermann, A. 2020. Managing Interrelated Tensions in Headquarters-Subsidiary Relationships: The Case of a Multinational Hybrid Organization. Journal of International Business Studies, 51, 906–932.

Das Guru, R. R., & Paulssen, M. 2020. Customers’ experienced product quality: Scale development and validation. European Journal of Marketing54 (4), 645–670.

Fischer, T., Hambrick, D., Sajons, G., & van Quaquebeke, N. 2020. Beyond the ritualized use of questionnaires: Toward a science of actual behaviors and psychological states. The Leadership Quarterly, 31(4).

Phillips, R., Schrempf-Stirling, J., & Stutz, C. 2020. The Past, History, and Corporate Social Responsibility. Journal of Business Ethics, 166, 203–2013.


Engelke, S., & Hirtz A. S. 2020. Graphical models for extremes. Journal of the Royal Statistical Society Series B: Statistical Methodology, 82(4), 871–932.

Hallin, M., & La Vecchia, D. 2020. A simple R-estimation method for semiparametric duration models. Journal of Econometrics, 218(2), 736–749.


Arvanitis, S., Scaillet, O., & Topaloglou, N. 2020. Spanning Tests for Markowitz Stochastic Dominance. Journal of Econometrics, 217(2), 291–311.

Chaieb, I., Errunza, V., & Gibson Brandon, R. 2020. Measuring Sovereign Bond Market Integration. The Review of Financial Studies, 33(8), 3446–3491.

Cosma, A., Galluccio, S., Pederzoli, P., & Scaillet, O. 2020. Early Exercise Decision in American Options with Dividends, Stochastic Volatility, and Jumps. Journal of Financial and Quantitative Analysis, 55(1), 331356.

Gibson Brandon, R., & Wang, S. 2020. Earnings Belief risk and the cross section of stock returns. Review of Finance, 24(5), 1107–1158.

Hau, H., Huang Y., & Wang, G. 2020. Firm Response to Competitive Shocks: Evidence from China’s Minimum Wage Policy. The Review of Economic Studies, 87(6), 2639–2671.

Krueger, P., Sautner, Z., & Starks, L. 2020. The Importance of Climate Risks for Institutional Investors. The Review of Financial Studies, 33(3), 1067–1111.

Loubergé, H., Malevergne, Y., & Rey, B. 2020. New Results for additive and multiplicative risk apportionment. Journal of Mathematical Economics, 90, 140–151.

Magill, M., Quinzii, M., & Rochet, J.-C. 2020. The safe asset, banking equilibrium, and optimal central bank monetary, prudential and balance-sheet policies. Journal of Monetary Economics, 112, 113–128.

Piatti, I., & Trojani, F. 2020. Dividend Growth Predictability and the Price Dividend Ratio. Management Science, 66(1), 1–501.

Scaillet, O., Baulescu-Radu, D., Hurlin, C., & Leymarie, J. 2020. Backtesting Marginal Expected Shortfall and Related Systemic Risk Measures. Management Science, 67(9), 5730–5754.

Scaillet, O., Treccani, A., & Trevisan, C. 2020. High-Frequency Jump Analysis of the Bitcoin Market. Journal of Financial Econometrics, 18(2), 209–232.

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