Research
Publications
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PFIFFELMANN M., ROGER P. (2021). A note on portfolio choice and behavioral finance: Some food for thought. Bankers, Markets & Investors (ex-Banque & Marchés), 164 [CNRS cat.4, FNEGE cat.4, HCERES cat.B]
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COLLECTIF AEI C., HAMELIN A., PFIFFELMANN M. (2020). La résilience entrepreneuriale, un nouvel enjeu de formation ?. Revue Française de Gestion, 8 (n° 293) [CNRS cat.3, FNEGE cat.2, HCERES cat.A]
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FIGUREAU A., HAMELIN A., PFIFFELMANN M. (2020). Experimentally Validated Surveys: Potential for Studying Cognitive and Behavioral Issues in Management. M@n@gement, 23 (n° 4) [ABS cat.1, CNRS cat.2, FNEGE cat.2, HCERES cat.A]
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DE BONDT W., PFIFFELMANN M., ROGER P. (2018). Richard Thaler: the anomalies of life. Finance. Finance, 19 (n° 1) [ABS cat.1, CNRS cat.2, FNEGE cat.2, HCERES cat.A]
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PFIFFELMANN M., ROGER T., BOURACHNIKOVA O. (2016). When Behavioral Portfolio Theory meets markowitz theory. Economic Modelling, 53 [ABS cat.2, CNRS cat.2, FNEGE cat.3, HCERES cat.A]
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HAMELIN A., PFIFFELMANN M. (2015). The private equity premium puzzle: a behavioural finance approach.. International Journal of Entrepreneurship and Small Business, 24 (n° 1) [ABS cat.2, CNRS cat.4, FNEGE cat.4, HCERES cat.C]
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PFIFFELMANN M., ROGER P. (2013). La prise de décision: l'apport de l'économie expérimentale en stratégie. Revue Interdisciplinaire sur le Management, Homme & Entreprise (RIMHE), 5 [FNEGE cat.3, HCERES cat.C]
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PFIFFELMANN M. (2013). What is the optimal design for lottery-linked savings programmes?. Applied Economics, 45 (n° 35), 4861-4871 [ABS cat.2, CNRS cat.2, FNEGE cat.3, HCERES cat.A]
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PFIFFELMANN M. (2011). Solving the St Petersburg Paradox in Cumulative Prospect Theory: the Right Amount of Probability Weighting. Theory and Decision [ABS cat.2, CNRS cat.2, HCERES cat.A]
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PFIFFELMANN M. (2011). Le mariage efficace de l'épargne et du jeu une approche historique du capital. Revue d'Économie Politique [CNRS cat.2, HCERES cat.A]
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PFIFFELMANN M. (2008). Why expected utility theory cannot explain LLDA ?. The IUP Journal of Behavioral Finance
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PFIFFELMANN M., ROGER P. (2005). Les comptes d`épargne associés a des loteries: approche comportementale et étude de cas. Bankers, Markets & Investors (ex-Banque & Marchés), 78 [CNRS cat.4, FNEGE cat.4, HCERES cat.B]
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PFIFFELMANN M., ROGER P. (2017). Richard Thaler: de l'homo economicus à l'homo sapiens. Les Grands Auteurs en Finance, Magagement et Société
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PFIFFELMANN M., ROGER P. (2009). Finance comportementale et design des actifs financiers. Management: enjeux de demain, coll FNEGE Vuibert
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BIJLHOLT J., HAMELIN A., PFIFFELMANN M. Overconfidence and entrepreneurial firm performance, CIG 2024, (Association Académique Internationale de Gouvernance Juin 2024)
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BIJLHOLT J., HAMELIN A., PFIFFELMANN M. Overconfidence and entrepreneurial firm performance, AFFI 2024, (Association Française de Finance Mai 2024)
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BIJLHOLT J., HAMELIN A., PFIFFELMANN M. Overconfidence and entrepreneurial firm performance, RENT 2024, (ESCB - EIASM Novembre 2024)
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HAMELIN A., MICHON S., PFIFFELMANN M. Rapport à l'entrepreneuriat des étudiants. L'espace des vocations et contre-vocations à l'entrepreneuriat, Congrès AEI 2023, (Académie de l'Entrepreneuriat Juin 2023)
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PFIFFELMANN M. Heterogeneous types of entrepreneurs and firm's performance: A literature review and a conceptual framework, Finance et entrepreneuriat, (Mars 2022)
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HAMELIN A., PFIFFELMANN M. Optimism and overconfidence: six of one and half dozen of the other? An experimental approach, Journée des 3F, ( 2019)
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BARASAL MORALES A., HAMELIN A., PFIFFELMANN M. Heterogeneous types of entrepreneurs and firm's performance A literature review and a conceptual framework, EBCA 3, ( 2019)
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HAMELIN A., PFIFFELMANN M. Are overconfidence and overoptimism synonyms ? A literature review and theoretical model in the context of entrepreneurship., (EBCA 2 Septembre 2018)
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HAMELIN A., PFIFFELMANN M. Are overconfidence and overoptimism synonyms ? A literature review and theoretical model in the context of entrepreneurship., (RSAEM seminar at Université Libre de Bruxelles Juin 2018)
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HAMELIN A., PFIFFELMANN M. Are overconfidence and over-optimism synonyms? A literature review and theoretical model in the context of entrepreneurship, Journée AIE - AIREPME, Semaine du Management, (Académie de l'Entrepreneuriat Mai 2018)
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HAMELIN A., PFIFFELMANN M. Are overconfidence and overoptimism synonyms ? A literature review and theoretical model in the context of entrepreneurship., (CER Workshop at Universiteit Gent Mai 2018)
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HAMELIN A., PFIFFELMANN M. Are overconfidence and over-optimism synonyms? A literature review and theoretical model in the context of entrepreneurship, RENT (Research in entrepreneurship and small business) Conference, ( Novembre 2018)
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HAMELIN A., PFIFFELMANN M. Are overconfidence and over-optimism synonyms? A literature review and theoretical model in the context of entrepreneurship, G Forum, ( Octobre 2018)
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HAMELIN A., PFIFFELMANN M. Cognition entrepreneuriale et comportement financier de croissance des PME., (Séminaire ECGC 2017)
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HAMELIN A., PFIFFELMANN M. Are overconfidence and overoptimism synonyms ? A literature review and theoretical model in the context of entrepreneurship., (Family business corporate governance emotions and financial dynamics 2017)
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HAMELIN A., PFIFFELMANN M. Experimentally validated surveys : potentials in research in entrepreneurship, (EBCA 2017)
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PFIFFELMANN M., ROGER T., BOURACHNIKOVA O. When Behavioral Portfolio Theory meets Markowitz Theory, Congrès AFFI, (Association Française de Finance Decembre 2013)
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PFIFFELMANN M., BOURACHNIKOVA O. Does Behavioral Portfolio Theory support Markowitz Theory? Evidence from French data, (Association Française de Finance Mai 2012)
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PFIFFELMANN M. Does Behavioral Portfolio Theory support Markowitz Theory? Evidence from French data, (Midwest Finance Association 2012)
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PFIFFELMANN M., BOURACHNIKOVA O. Does Behavioral Portfolio Theory support Markowitz Theory? Evidence from French data, (academy of behavioral finance Septembre 2011)
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PFIFFELMANN M. How to solve the St Petersburg paradox under rank-dependent models?, (Association Française de Science Economique Septembre 2008)
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ROGER P., PFIFFELMANN M. Lottery-Linked Savings Accounts and Lottery Bonds: a Behavioral Approach, (Financial Engineering and Economics Symposium Juin 2008)
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PFIFFELMANN M. How to solve the St Petersburg paradox under rank-dependent models ?, (Behavioral Decision Research in Management Conference, San Diego Avril 2008)
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PFIFFELMANN M. How to solve the St Petersburg paradox under rank-dependent models?, (Eastern Economic Association Annual Conference, Boston 2008)
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PFIFFELMANN M. Which optimal design for Lottery-Linked-Deposit-Account ?, (Workshop on the Recent Development of Research in Economics and Management,Solvay Business School, Université Libre de Bruxelles 2007)
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PFIFFELMANN M. Which optimal design for Lottery-Linked-Deposit-Accounts?, (International Association for Research in Economic Psychology/Society for Advancement of Behavioral Economics (IAREP/SABE) World Meeting 2006)
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PFIFFELMANN M. Which optimal design for Lottery-Linked-Deposit-Accounts?, (IV Workshop LABSI on Behavioral Finance: Theory and Experimental Evidence, Sienne 2006)
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PFIFFELMANN M. Why expected Utility Theory cannot explain LLDA ?, (Séminaire international francophone de finance, Grenoble 2006)
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PFIFFELMANN M. (2010). Comptes d'épargne et actifs à lots: une approche comportementale. Éditions Universitaires Européennes
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Commitment to Academia
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Prix de thèse délivré par la sauas (société des amis des universités de l'académie de strasbourg), Université de Strasbourg (2008).
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Prix du meilleur mémoire en finance, Centre National des Professions Financières (2004).
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Direction de thèse, (avec Anais Hamelin), Confiance de l'entrepreneur, décisions financières et performances de l'entreprise, Barasal Morales Adriano, (Strasbourg), (11/2018, 12/2021)
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