Publications: Évaluation des performances et des risques ESG à long terme

2020

Andries, M. and N. Boyarchenko, (2020), "Ambiguous Trade-offs: An Application to Climate Change", Working Paper.

2019

Andries, M., T. M. Eisenbach and M. C. Schmalz, (2019), "Horizon-Dependent Risk Aversion and the Timing and Pricing of Uncertainty", Working Paper.

Crifo P., R. Durand and J.P. Gond, (2019), "Encouraging Investors to Enable Corporate Sustainability Transitions: The Case of Responsible Investment in France", Organization & Environment, 32(2), pp. 125-144.

Capelle-Blancard G., P. Crifo, MA. Diaye, R. Oueghlissi and B.Scholtens, (2019), "Environmental, Social and Governance (ESG) performance and sovereign bond spreads: an empirical analysis of OECD countries", Journal of Banking and Finance, 98, pp. 156-169.

Louche C., T. Busch, P. Crifo, and A. Markus, (2019), "Financial Markets and the Transition to a Low-Carbon Economy: Challenging the Dominant Logics", Organization & Environment, 32(1), pp. 3–17.

Mottis N., D.L. Arjalies, P. Crifo and V. Bouchet, (2019), "Mesure d’Impact et Investissement Socialement Responsable", Working Paper.

Arjalies DL., P. Chollet, P. Crifo P. and N. Mottis, (2019), "Myth and Reality of Impact Assessment in the Investment Industry", Working Paper.

Gollier, C., (2019), "Valuation of natural capital under uncertain substitutability", Journal of Environmental Economics and Management, 94, 54-66.

Gollier, C., (2019), Le climat après la fin du mois, PUF, May 2019.

Jaballah, J. and S. Pouget, (2019), "Facteurs Environnentaux, Sociaux et de Gouvernance et performance des petites et moyennes entreprises cotées", Working Paper.

Le Bris D., W. Goetzmann and S. Pouget, (2019), "The present value relation over six centuries: The case of the Bazacle company", Journal of Financial Economics, 132(1), April 2019, pp. 248-265.

2018

Capelle-Blancard G., Crifo P., Diaye MA., Oueghlissi R. and B. Scholtens, (2018), "Environmental, Social and Governance (ESG) performance and sovereign bond spreads: an empirical analysis of OECD countries", Journal of Banking and Finance.

Gollier, C and Kimball M. (2018), "Toward a Systematic Approach to the Economic Effects of Risk: Characterizing Utility Functions", IDEI Working Paper 884.

Jaballah, J., and S. Pouget (2018), "Family and employee ownership in small and mid caps: Impact on financial and extra-financial performance", wp.

2017

Crifo P., Diaye MA. and R. Oueghlissi, (2017), "Measuring the effect of government ESG performance on sovereign borrowing cost", Quarterly Review of Economics and Finance, 66, pp. 13-20.

Jaballah, J. and S. Pouget, (2017), "Facteurs ESG et performance des Petites et Moyennes Capitalisations", Edmond de Rothschild asset Management, Les Chroniques de l’ISR.

Lyon T, Delmas M, Maxwell J, Bansal T, Chiroleu-Assouline M, Crifo P, Durand R , Gond JP, King A, Lenox M, Toeffel M, Vogel D and F. Wijen, (2018), "CSR Needs CPR: Corporate Sustainability and Politics", California Management Review.

2016

Crifo P., Diaye MA. and S. Pekovic, (2016), "CSR related management practices and Firm Performance: An Empirical Analysis of the Quantity-Quality Trade-off on French Data", International Journal of Production Economics. 171 (3), pp. 405-416.

Benhamou S., Diaye MA. and P. Crifo, (2016), "RSE et compétitivité. Evaluation et approche stratégique", Etude France Stratégie, 150 pages.

2015

Cavaco S. and P. Crifo, (2015), "RSE et performance", IRES, Etude CFE CGC.

Crifo P. and V. Forget, (2015), "The Economics of Corporate Social Responsibility: A Firm Level Perspective Survey", Journal of Economic Surveys, 29(1), pp. 112–130.

Crifo P. and V. Forget, (2015), "Capital Investissement et enjeux ESG", Analyse Financière n° 56, pp. 46-48, juillet-août sept 2015.

Gollier, C. and J. Tirole, (2015), Negotiating effective institutions against climate change”, Economics of Energy and Environmental Policy, 4(2), pp. 5–27.

2014

Crifo P., Diaye MA. and R. Oueghlissi, (2014), “Measuring the effect of government ESG performance on sovereign borrowing cost”, Cahiers de Recherche n° 2014-16, Département d’Economie de l’Ecole Polytechnique.

Gollier, C. and J.K. Hammitt, (2014), "The long run discount rate controversy", Annual Review of Resources Economics, 6, pp. 273-295.

2012--

Gollier, C. (2012), "The debate on discounting: Reconciling positivists and ethicists", Chicago Journal of International Law, 13(2), pp. 551-566.

Gollier, C. (2012), "Actualisation et développement durable: en faisons-nous assez pour les générations futures?", Annales d'Economie et de Statistique, Hors Série n°1, pp. 57-96.

Gollier, C. (2012), "Finance durable et investissement responsable", Regards Economiques n°99, pp. 7-19.

Gollier, C. (2012), "Sommes-nous trop égoïstes ou trop généreux envers les générations futures?", Reflets et perspectives de la vie économique, 51, pp. 67-76.

Gollier, C. (2012), "Evaluation of long-dated investments under uncertain growth trend, volatility and catastrophes," IDEI Working Papers, 754, revised Sept 2015.

Gollier, C. (2013), "Asset Pricing with Uncertain Betas: A Long-Term Perspective", CESifo Working Paper Series No. 4072.

Gollier, C. (2012), "Pricing the Planet’s Future: The Economics of Discounting in an Uncertain World", Princeton University Press, Pinceton (NJ).

Courbage C, N. Treich and B. Rey (2011), "Prevention and precaution", The Handbook of Insurance Economics, pp. 185-204