Stock Market Efficiency and Microstructure of Securities Markets - Stock Market Crises and Extreme Events - Financial Assets Pricing and Real Assets Pricing - Risk and Portfolio Management - Reputation and Operational Risk - Corporate Financial Policy - Banking and Financial Regulation
most representative publications
- Gillet R., Hübner G. and Plunus S., (2015), "Equivalent Risky Allocation : The New ERA of risk measurement for heterogeneous investors", American Journal of Industrial and Business Management, 5, pp. 351-365.
- Gillet R., Hübner G. and Plunus S., (2012), "Reputational damage of operational loss on the bond market : Evidence from the financial industry", International Review of Financial Analysis, 24, pp. 68-73.
- Gillet R., Hübner G. and Plunus S., (2010), "Operational risk and reputation in the financial industry", Journal of Banking and Finance, 34, pp. 224-235.
- de La Bruslerie H. and Gillet R., (2010), "The consequences of issuing convertible bonds : dilution and/or financial restructuring", with H. de La Bruslerie, European Financial Management, 16, 4, pp. 552-584.
- Gillet R., Lapointe M-A. and Raimbourg Ph. (2008), "Dividend policy and reputation", Journal of Business Finance & Accounting, 35, 3-4, pp. 516-540.