16 resultats trouvés
Auteur Titre Type [ Année] Filtres: Auteur est Pascal Louvet [Clear All Filters]
The use of stock market data to define a corporate social responsibility measure based on the Choquet integral." Journal of the Operational Research Society (2022).
"Activity Strategies, Agency Problems, and Bank Risk." Journal of financial research 43, no. 3 (2020): 575-613.
"Activity Strategies, Agency Problems and Bank Risk." SSRN Electronic Journal (2018).
"A decision support system for identifying Socially Responsible firms based on Choquet integral." In 13ème Congrès du Réseau International de Recherche sur les Organisations et le Développement Durable (RIODD). Grenoble, France, 2018.
"Does Sustainability Reduce Country Default Risk ?" Bankers, Markets & Investors (ex-Banque & Marchés) 150 (2018): 34-48.
"L'influence de la culture nationale sur les politiques socialement responsables des entreprises." Management International 21 (2017): 1-18.
"What Do We Know about Bank Capital Structure? Evidence from International Data." SSRN Electronic Journal (2015).
"What do we know about bank capital structure ? Evidence from international data." In 12th Asian Business Research Conference. Bangkok, Thailande, 2015.
"Do Sustainability Sovereign Ratings Help To Explain Countries' Default Risk." In The 31st Spring International Conference of the French Finance Association. Aix-en-Provence, France, 2014.
"Do Sustainability Sovereign Ratings Help To Explain Countries' Default Risk?" In 31st International French Finance Association Conference (AFFI). Aix-en-Provence, France, 2014.
"Which Dimensions of Social Responsibility Concern Financial Investors ?" Journal of Business Ethics 121 (2014): 559-576.
"Les dimensions de la RSE et leur impact sur le coût de financement des entreprises." In 1er Colloque académique Vigeo, Caisse des Dépôts. France, 2013.
"Which dimensions of social responsibility concern financial investors?" In 11ème Conférence Internationale de Gouvernance (CIG). Lyon, France, 2012.
"Which dimensions of social responsibility concern financial investors?" In 29th Spring International Conference of the French Finance Association (AFFI). Strasbourg, France, 2012.
"Influence de la notation éthique sur l'évolution du prix des actions : un modèle théorique." In XVIème Conférence Scientifique Internationale du Réseau PGV. Prague, République Tchèque, 2010.
"Gouvernance d'entreprise : pour une théorie entrepreneuriale." In Regards sur la recherche en gestion - Contributions grenobloises, edited by Michel Le Berre and Alain Spalanzani. L'Harmattan, 2008.
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