Research
Publications
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MERLI M., PULIKOVA M., ROGER T. (2024). Green Values and Transparency of Household Savings: A Survey. The European Journal of Finance [ABS cat.3, CNRS cat.4, FNEGE cat.3, HCERES cat.B] Impact Factor. 2.9
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MERLI M., PALLUD J., PULIKOVA M. (2024). Going Green? On the Drivers of Individuals' Green Bank Adoption. Business Ethics: A European Review, 33 (n° 4) [ABS cat.2, CNRS cat.3, FNEGE cat.3, HCERES cat.B] Impact Factor. 3.6
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D'HONDT C., MERLI M., ROGER T. (2022). What drives the retail portfolio exposure to ESG factors?. Finance Research Letters, 46 [ABS cat.2, CNRS cat.3, FNEGE cat.3, HCERES cat.B] Impact Factor. 7.4
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D'HONDT C., MERLI M., DE WINNE R. (2021). Do retail investors bite off more than they can chew? A close look at their return objectives. Journal of Economic Behavior and Organization, 188 [ABS cat.3, CNRS cat.2, FNEGE cat.2, HCERES cat.A] Impact Factor. 2.3
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MERLI M., PARENT A., EDLINGER C. (2021). Portfolio Advice Before Modern Portfolio Theory: the Belle Epoque of French Analyst Alfred Neymarck. Business History, 63 [ABS cat.4, CNRS cat.2, FNEGE cat.2, HCERES cat.A] Impact Factor. 1.2
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BROIHANNE M., MERLI M., ROGER P. (2016). Diversification, gambling and market forces. Review of Quantitative Finance and Accounting, 47 (n° 1) [ABS cat.3, CNRS cat.3, FNEGE cat.3, HCERES cat.B]
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MAGRON C., MERLI M. (2015). Repurchase behavior of individual investors, sophistication and regret. Journal of Banking and Finance (n° 61) [ABS cat.3, CNRS cat.2, FNEGE cat.1, HCERES cat.A] Impact Factor. 3.6
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BROIHANNE M., MERLI M., ROGER P. (2014). Des biais psychologiques orientent aussi les décisions des gérants de fonds. L'Agefi hebdo, 20
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BROIHANNE M., MERLI M., ROGER P. (2014). Overconfidence, Risk Perception and the Risk-Taking Behavior of Finance Professionals. Finance Research Letters, 2 (n° 11) [ABS cat.2, CNRS cat.3, FNEGE cat.3, HCERES cat.B]
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MERLI M., ROGER T. (2013). What Drives the Herding Behavior of the individuals Investors?. Finance, 34 (n° 3) [ABS cat.1, CNRS cat.2, FNEGE cat.2, HCERES cat.A]
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EDLINGER C., PARENT A., MERLI M. (2013). An optimal world portfolio on the eve of World War One: Was there a bias to investing in the New World rather than in Europe?. Journal of Economic History, 73 (n° 2) [ABS cat.3, CNRS cat.1, HCERES cat.A]
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BROIHANNE M., MERLI M. (2012). Sophistication of Individual Investors and Disposition Effects Dynamics. Finance, 33 (n° 1) [ABS cat.1, CNRS cat.2, FNEGE cat.2, HCERES cat.A]
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BROIHANNE M., MERLI M., ROGER P. (2012). Portefeuilles et biais comportementaux des petits porteurs. Analyse financière, 43
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BROIHANNE M., MERLI M., ROGER P. (2012). Focus on the Individual Investor
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EDLINGER C., MERLI M., PARENT A. (2011). La diversification des portefeuilles français à la veille de 1914 ou l'image écornée du rentier français du 19e siècle. Revue d'Économie Politique, 6 (n° 121) [CNRS cat.2, HCERES cat.A]
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BROIHANNE M., MERLI M., ROGER P. (2011). Aversion au risque, prise de risque et finance comportementale. Revue Risques, 85
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BROIHANNE M., MERLI M., BOOLELL-GUNESH S. (2009). Disposition effect, Investor sophistication and Taxes: Some French Specificities. Finance, 30 [ABS cat.1, CNRS cat.2, FNEGE cat.2, HCERES cat.A]
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BROIHANNE M., MERLI M., ROGER P. (2008). Solving Some Financial Puzzles with Prospect Theory and Mental Accounting: A Survey. Revue d'Économie Politique, 118 [CNRS cat.2, HCERES cat.A]
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BROIHANNE M., MERLI M., ROGER P. (2008). On the Robustness of Mutual Funds Ranking with an Index of Relative Efficiency
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MERLI M., SCHATT A. (2007). Are there contagion or competition effects for non rated firms? The case of successive bond rating downgrade of Alcatel
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BROIHANNE M., MERLI M., ROGER P. (2006). Théorie comportementale du portefeuille : intérêt et limites. Revue Économique, 57 [CNRS cat.2, HCERES cat.A]
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BROIHANNE M., MERLI M., ROGER P. (2006). L'émergence de la finance comportementale. Echanges (n° 236)
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MERLI M. (2005). Book Review: Measuring and Managing Credit Risk, De Servigny and O. Renault, McGraw-Hill, 2004. Finance (n° 26) [ABS cat.1, CNRS cat.2, FNEGE cat.2, HCERES cat.A]
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BROIHANNE M., MERLI M., ROGER P. (2005). Le comportement des investisseurs individuels. Revue Française de Gestion, 157 [CNRS cat.3, FNEGE cat.2, HCERES cat.A]
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MERLI M., ROGER P. (2005). Mesures de risque et notations. Risques, 61
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MERLI M. (2003). Le lien notation - spread de taux : Le marché français avant l'euro. Finance Contrôle Stratégie, 6 [CNRS cat.3, FNEGE cat.3, HCERES cat.B]
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MERLI M., ROGER P. (2002). Sur une mesure d'efficience relative dans la théorie du portefeuille de Markowitz
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MERLI M. (2002). Ecart de rentabilité et niveau général des taux. Revue Française de Gestion, 28 [CNRS cat.3, FNEGE cat.2, HCERES cat.A]
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MERLI M. (2000). Etude comparée des spreads sur les marchés de l'euro-franc et de l'euro-mark
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MERLI M., ROGER P. (1999). Probabilité de défaut et spread de taux : étude empirique du marché français. Finance, 20 [ABS cat.1, CNRS cat.2, FNEGE cat.2, HCERES cat.A]
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MERLI M., PULIKOVA M., ROGER T. Green Values and Transparency of Household Savings: A Survey (pres. T. Roger), AFFI, (Association Française de Finance Juin 2024)
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MERLI M., PALLUD J., PULIKOVA M. Going Green? On the Drivers of Individuals' Green Bank Adoption (pres. M. Pulikova), AFFI, (Association Française de Finance Juin 2023)
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MERLI M., PARENT A. Portfolio Diversification During the Belle Époque: When the Actual Portfolios of French Individual Investors Met Behavioral Finance, World History Economic Congress, ( Aôut 2022)
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MERLI M., PALLUD J., PULIKOVA M. "Going Green? On the Drivers of Individuals' Green Bank Adoption", Séminaire LaRGE, ( Juillet 2022)
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MERLI M., PARENT A., EDLINGER C. Portfolio Advice Before Modern Portfolio Theory: the Belle Epoque of French Analyst Alfred Neymarck, International Congress of French Business History, ( Septembre 2019)
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BROIHANNE M., BELLOFATTO A., DE WINNE R., D'HONDT C., MERLI M., ORKUT H., ROGER P. Présentation du rapport du projet financé par l'Observatoire de l'Epargne Européenne intitulé « MIFID questionnaires and financial advice practices », Observatoire de l'Epargne Européenne, ( 2018)
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BROIHANNE M., MERLI M. Finance Comportementale : Lorsque la psychologie intègre les enseignements de finance, Colloque des Ecoles de la finance en Europe, ( 2016)
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BROIHANNE M., MERLI M., ROGER P. Diversification, gambling and market forces, Conférence de l'AFFI, (Association Française de Finance 2014)
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ROGER P., MERLI M. Overconfidence, Risk Perception and Risk-Taking Behavior of Finance Professionals, (Academy of Behavioral Finance and Economics Septembre 2013)
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BROIHANNE M., MERLI M., ROGER P. Overconfidence, Risk Perception and the Risk-Taking Behavior of Finance Professionals, Conférence de l'AFFI, (Association Française de Finance 2013)
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MAGRON C., MERLI M. Repurchase behavior of individual investors, sophistication and regret, (Midwest Finance Association Février 2012)
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MAGRON C., MERLI M. Stocks Repurchase Behavior and Sophistication of Individual Investors, Midwest Finance Association, (Midwest Finance Association 2012)
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MAGRON C., MERLI M. Stocks Repurchase Behavior and Sophistication of Individual Investors, AFFI, (Association Française de Finance 2012)
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MERLI M., ROGER T. What Drives the Herding Behavior of the individuals Investors?, EFM, (European Financial Management Association 2012)
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MERLI M., ROGER T. What Drives the Herding Behavior of Individual Investors ?, ABEF, ( Septembre 2011)
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ROGER P., BROIHANNE M., MERLI M. Underdiversification of French individual investors'portfolios andskewness seeking, (Association Française de Finance Mai 2011)
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BROIHANNE M., MERLI M. Investor Sophistication, Learning and the Disposition Effect, Midwest Finance Association, ( 2011)
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ROGER P., BROIHANNE M., MERLI M. Underdiversification of French individual investors'portfolios and skewness seeking, (Behavioral Insurance Meeting, Munich Decembre 2011)
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BROIHANNE M., MERLI M. Investor Sophistication, Learning and the Disposition Effect, Conférence IAE, ( 2010)
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BROIHANNE M., MERLI M. Are French individuals investors reluctant to realize their Losses?, Conférence IAE, ( 2008)
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BROIHANNE M., MERLI M. Are French individuals investors reluctant to realize their Losses?, Colloque AFSE, (Association Française de Science Economique 2008)
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BROIHANNE M., MERLI M. Are French individuals investors reluctant to realize their Losses?, Conférence de l'AFFI, (Association Française de Finance 2008)
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D'HONDT C., MERLI M., ROGER T. (2024). « Retail Investors and ESG investing: Demand Drivers, Trading Behavior and Investors' Profile / European Savings Institute
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D'HONDT C., MERLI M., ROGER T. (2024). ESG investing: Retail Investors' Profile and Behavior / Louis Bachelier Network
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BELLOFATTO A., BROIHANNE M., D'HONDT C., ORKUT H., MERLI M., ROGER P. (2018). MiFID Questionnaires, Financial Advice and Investors Behavior / European Savings Institute
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BOOLEL GUNESH S., BROIHANNE M., MERLI M., ROGER P. (2011). Croyances, Connaissance, Information et Education Financière / Observatoire de l'épargne Euopéeenne
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GODLEWSKI C., MERLI M. (2013). Gestion des risques et institutions financières. Pearson Education
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GODLEWSKI C., MERLI M. (2010). Gestion des risques et institutions financières. Pearson Education
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GODLEWSKI C., MERLI M. (2007). Gestion des risques et institutions financières. Pearson Education
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BROIHANNE M., MERLI M., ROGER P. (2004). Finance comportementale. Economica
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Commitment to Academia
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Award for the best article published in 2021 using eurofidai data (with c. d'hondt and r. de winne). , EUROFIDAI (2021).
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Award for the best article published in 2013 using eurofidai data (with tristan roger), EUROFIDAI (2013).
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Award for the best article published in finance in 2013 (with tristan roger), AFFI (2013).
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