Short bio:
I am an economist whose research focuses on econometric methods applied to macro- and sustainable finance. I hold a Ph.D. in Finance from the University of Paris-Saclay and a qualification in economics from the French National Council of Universities (Section 05 - #22205359857).
Research: I work as a researcher at the Aix-Marseille School of Economics (AMSE) and Louvain Finance (LFIN). My research has been supported by the Institut Louis Bachelier (insti7 research chair), and I was a visiting researcher at the University of Cambridge (2019-2020) and UCLouvain (2018). I have about ten papers published in peer-reviewed journals.
Teaching: I have over ten years' experience in teaching economics and finance: Asset Allocation and Decarbonization (Aix-Marseille University), Capital Markets and Financial Innovation (UCLouvain), Corporate Finance (Paris Sorbonne University), Computational Finance and Asset Management (Aix-Marseille University) and Introduction to Econometrics with R (Paris Dauphine University).
Service: I am a co-founder of the Association for Research in Applied Econometrics, aimed at bringing together researchers and practitioners working on various aspects of applied research. I serve as an Associate Editor at Empirical Economics (Springer) and I am a R Contributor (R CRAN). I joined the Forum pour L'investissement Responsable (FIR) as a qualified member and I participate to the "Finance & Handicap" working group.
Research interests:
Primary: Applied econometrics ;
Secondary: Regulation and sustainable finance (SRI / ESG / Climate).
Links:
ResearchGate: [click here]
LinkedIn: [click here]
Google Scholar: [click here]
Contact: