A propos

Les études et articles

La recherche et la publication d'importantes études sur les thèmes de la finance sont des activités importantes de Sagora.

Voici une liste des principales études publiées :

  • 2010, with Chao L.-S., Managing growth risks: Lessons from the current crisis’, a Symcorp Publication
  • 2009, with Laurent M.-P. and Van Belle S., ‘An empirical approach to residual value risk estimation’ in Managerial Finance, Vol. 35 N° 10
  • 2008, ‘Moving from the capital requirement directive to a risk governance directive’, The Financial Crisis, ed. European Parliament, DG Internal Policies of the Union, Policy Department Economic and Scientific Policy
  • 2008, with Ayadi R. and Nieto M., Basel II implementation in the midst of turbulence, ed. by the Center for European Policy Studies
  • 2005, ‘Estimating “distressed” LGD on defaulted exposures’, in Recovery risk: the next challenge in credit risk management, a RiskBooks publication edited by Altman E., Resti A. and Sironi A.
  • 2004, ‘Credit Risk in the leasing industry’, Journal of Banking and Finance

Pour de plus amples informations, veuillez nous contacter via l'adresse email


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