Education
- 2008 : Ph.D. in Economics and Management, HEC-ULg Management School, Belgium
- 2004 : Master of Advanced Studies (DEA), Management Sciences, Finance, Ecole d'Administration des Affaires, University of Liège, Belgium
- 2002 : Master of Science (M.S.) in Business Engineering, Finance, Ecole d'Administration des Affaires, University of Liège, Belgium
Professional Experiences
Academic Experience
- 2023 - present, Director of Academic Development -France, IÉSEG School of Management, , France
- 2020 - present, Academic Director of the PGE (Msc in Management), IÉSEG School of Management, , France
- 2017 - 2020, Head of the Finance, Audit-Control Department, IÉSEG School of Management, , France
- 2015 - present, Associate Professor of Finance, IÉSEG School of Management, , France
- 2010 - 2017, Finance Track Coordinator, IÉSEG School of Management, , France
- 2009 - 2011, Intervenant intermittent, CEPI Management, Marcq-en-Baroeul, France
- 2009 - 2015, Assistant Professor of Finance, IÉSEG School of Management, , France
- 2006 - 2008, Adjunct Lecturer (Maitre de conférences), University of Namur, Namur, Belgium
- 2005 - 2008, Subtitute Lecturer (Professeur Suppléant), HEC-ULg Management School, Liège, Belgium
- 2004 - 2004, Visiting Lecturer, EDHEC Business School, Lille, France
- 2003 - 2007, FNRS Research Fellow, Belgian Fonds National de la Recherche Scientifique (FRS-FNRS), , Belgium
Professional Experience :
- 2002 - 2006, Treasurer, HEC-ULg Investing Group, Liège, Belgium
Scientific prizes and Awards
Awards
- 2005 : Third-prize, FORTIS Award 2004
Honors
- 2003 : E.G. de Barsy Doctoral Fellowship, Belgian Fonds National de la Recherche Scientifique (FRS-FNRS)
Published Papers in Refereed Journals
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Joliet R., Titova Y., (2024). Who is greener, more social and better-governed? Dual ownership by SRI mutual funds stands out, Economics Letters, 243 (October) 111934.
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Braouezec Y., Joliet R., (2019). Valuing an investment project using no-arbitrage and the alpha-maxmin criteria: From Knightian uncertainty to risk, Economics Letters, 178 (May) 111-115.
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Erdemlioglu D., Joliet R., (2019). Long-term asset allocation, risk tolerance and market sentiment, Journal of International Financial Markets, Institutions and Money, 62 (September) 1-19.
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Braouezec Y., Joliet R., (2019). Time to Invest in Corporate Social Responsibility and the Value of CSR Operations: The case of environmental externalities, Managerial and Decision Economics, 40 (5) 539-549.
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Joliet R., Titova Y., (2018). Equity SRI funds vacillate between ethics and money: an analysis of the funds' stock holding decisions, Journal of Banking & Finance, 97 70-86.
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Joliet R., Nessah R., (2016). Euro white and Euro Yolk: Sovereign Debt Structure Stability in the Eurozone, International Game Theory Review, 18 (03) 1650004-1-15.
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Joliet R., Muller A., (2016). Are Foreign Earnings Disclosures Value-Relevant? Disaggregation Solves the Puzzle, Research in International Business and Finance, 37 170-183.
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Braouezec Y., Joliet R., (2015). Taux de facilité négatif, marché interbancaire, et arbitrages, Banque & Stratégie, 333 34-38.
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Joliet R., Muller A., (2015). Dividends and foreign performance signaling, Multinational Finance Journal, 19 (2) 77-107.
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Joliet R., Muller A., (2013). Capital structure effects of international expansion, Journal of Multinational Financial Management, 23 (5) 375-393.
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Hübner G., Joliet R., (2013). Government Debt Denomination Policies before and after the EMU Advent, Open Economies Review, 24 (2) 283-309.
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Joliet R., (2011). Dollar Exposure of East Asian Firms: New Evidence, Investment Management and Financial Innovations, 8 (2) 78-95.
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Beaupain R., Joliet R., (2011). Corporate drivers of market liquidity on the Warsaw stock exchange, International Economics, 125 83-104.
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Joliet R., Hübner G., (2008). Corporate International Diversification and the Cost of Equity: European Evidence, Journal of International Money and Finance, 27 (1) 102-123.
Book Chapters
- Hübner G., Joliet R., (2011), The Added Value of a Central Agency of European Debt, in: La crise économique et financière: quelles conséquences?.
Teaching
Grande Ecole (Master cycle) :
- Introduction to financial data services
- Active portfolio management
MSc in Investment Banking and Capital Markets :
- Portfolio management : equity securities