Country risk assessment: A guide to global investment strategy MH Bouchet, E Clark, B Groslambert John Wiley & Sons, 2003 | 361 | 2003 |
Black swans, extreme risks, and the e-pile model of self-organized criticality AV Milovanov, JJ Rasmussen, B Groslambert Chaos, Solitons & Fractals 144, 110665, 2021 | 12 | 2021 |
An empirical study of the relationships betwen corruption, capital leakages and country risk: part I M Bouchet, B Groslambert Journal of Economics, Finance and Administrative Science 11 (20), 09-27, 2006 | 7 | 2006 |
The Alpha-Stable Hypothesis: An Alternative to the Distribution of Emerging Stock Market Returns B Groslambert, S Kassibrakis Emerging Markets Quarterly 3, 22-38, 1999 | 6 | 1999 |
European Stock Market Financing for High-Growth Companies M Ferrary, B Groslambert, CS Antipolis Research Paper, European Private Equity and Venture Capital Association, 2004 | 4 | 2004 |
A method to measure bank output while excluding credit risk and retaining liquidity effects R Chiappini, B Groslambert, O Bruno The Quarterly Review of Economics and Finance 94, 167-179, 2024 | 3 | 2024 |
Desperately seeking cash: Evidence from bank output measurement B Groslambert, R Chiappini, O Bruno Economic Modelling 59, 495-507, 2016 | 3 | 2016 |
Quelle valeur ajoutée pour les banques françaises? O Bruno, R Chiappini, B Groslambert Revue économique 71 (1), 139-162, 2020 | 2 | 2020 |
Do Corrupt Countries Receive Less Foreign Capital After All B Groslambert, M Bouchet Paris: CERAM.(Mimeographed), 2006 | 2 | 2006 |
Country Risk and Governance: Strange Bedfellows? MH Bouchet, B Groslambert Governance and Risk in Emerging and Global Markets, 69-88, 2005 | 1 | 2005 |
Country Risk Assessment. A Guide to Global Investment Strategy. Wiley Finance series M Bouchet, E Clark, B Groslambert | 1 | 2003 |
Governance, aid flows and market access: a new challenge for international financial institutions MH BOUCHET, B GROSLAMBERT Conférence Internationale en Finance, 2002 | 1 | 2002 |
The impact of innovation on the profitability of the biotech industry C Loir, B Groslambert Economics Bulletin 43 (3), 1286-1297, 2023 | | 2023 |
Liquidity matters when measuring bank output R Chiappini, B Groslambert, O Bruno | | 2022 |
Ranking tail risk across international stock markets'' B Groslambert, WN Lai Economics Bulletin 40 (2), 1756-1768, 2020 | | 2020 |
¿ Qué valor añadido existe para los bancos franceses? O Bruno, R Chiappini, B Groslambert Revue économique 71 (1), 139-162, 2020 | | 2020 |
Estimating French banks added-value O Bruno, R Chiappini, B Groslambert Revue economique 71 (1), 139-162, 2020 | | 2020 |
Is tail risk the missing link between institutions and risk? B Groslambert, D Basu, WN Lai Economics Bulletin 39 (2), 1435-1448, 2019 | | 2019 |
Determinants of tail risk in emerging and developed markets D Basu, B Groslambert | | 2016 |
Bank Output CalCulatiOn in the Case Of franCe: What DO neW MethODs tell aBOut the finanCial interMeDiatiOn serviCes in the afterMath Of the Crisis? B Groslambert, R Chiappini, O Bruno GREDEG Working Papers, 2015 | | 2015 |