David Bourghelle
Publications
List of publications :
My research has been published in various books, book chapters and articles in national and international journals. Overall: I have co-edited 2 books (Economica, Emerald Publishing). I have written or co-authored 10 book chapters. I have written or co-authored several articles classified by the CNRS, the HCERES and the FNEGE.
Articles in peer-reviewed journals:
Bourghelle, D., Jawadi, F. and Rozin, P. (2023), Can Collective Emotions Improve Bitcoin Volatility Forecasts ? Bankers, Markets & Investors [HCERES B, FNEGE 3, CNRS 4] Forthcoming
Bourghelle, D., Jawadi, F. and Rozin, P. (2022), Insights on CO2 Emission in Europe in the Context of COVID-19: A Panel Data Analysis, International Economics, Vol 173 (1), November [HCERES B, CNRS 3]
Bourghelle, D., Jawadi, F. and Rozin, P. (2022), Do Collective Emotions Drive Bitcoin Volatility? A Triple-Regime Switching Vector Approach, Journal of Economic Behavior and Organization, Volume 196, April 2022, Pages 294-306, [HCERES A, CNRS 2]
Bourghelle, D., Jawadi, F. and Rozin, P. (2021), "Oil price volatility in the context of Covid-19", International Economics, [HCERES B], 167, 39-49.
Alphonse, P., Bourghelle, D., Jawadi, F., and Rozin, P. (2021), "Time-Varying Financial Performance of Green and Traditional Energy Indices with Special Reference to the COVID-19 Context," Bankers, Markets & Investors 166, 44-55, special issue green finance [HCERES B]
Bourghelle, D., (2021), Note on the symposium "rethinking financial theory in the face of new social, societal and environmental challenges, Lille, July 2019, Economie et Sociétés, n°9, 1/2021, p.239-244
Bourghelle, D., (2012), L'empire de la valeur, review of André Orléan's book, Economie et Sociétés, série " Entreprises et finance ", KF, n°2, 3/2012, p.423-444
Bourghelle, D., (2012), Can financial markets produce a fair value, Economie et Sociétés, série " Entreprises et finance ", KF, n°2, 3/2012, p.597-603
Bourghelle, D., Hyme, P.,(2012), From the myth of market efficiency to the crash: the illusion of stock market liquidity, Revue de la Régulation, Capitalisme, Institutions, Pouvoir, N°8, December.
Bourghelle, D., Declerck F., (2004) Why Markets should not necessarily Reduce the Tick Size, The Journal of Banking and Finance, Vol 28, N°2, p 373-398
Bourghelle, D., Gillet R., (2002) Electronic Networks and Competition for Order Flow, Revue Bancaire et Financière, p 147-155, Mars-Avril.
Books:
As Editor :
Bourghelle, D., P. Grandin, F. Jawadi, Ph. Rozin (2023): Behavioral Finance and Asset Prices: The Influence of Investor's Emotions, Springer Series Contributions to Finance & Accounting, Springer (forthcoming).
https://www.barnesandnoble.com/w/behavioral-finance-and-asset-prices-david-bourghelle/1142773276
Bourghelle, D., Pérez, R., Rozin, Ph., (2021) Rethinking financial theory in the face of new social, societal and environmental, issues, Critical Studies on Corporate Responsibility, Governance and sustainability, vol 15, Emerald Publishing (October)
Bourghelle, D., Brandouy, O., Gillet, R., Orléan, A., (2005) Croyances, représentations collectives et conventions en Finance, Economica, collection " recherche en gestion ", Paris, August.
As Author:
Bourghelle, D., (2022) The Convention Theory approach to financial bubbles and crashes, Handbook of Economics and Sociology of Conventions, edited by Rainer Diaz-Bone and Guillemette de Larquier, Sptinger (forthcoming)
Bourghelle, D., Rozin, Ph., (2021) Rethinking Finance In The Face Of New Social, Societal and Environmental Challenges, Introduction, p 1-6 (in Rethinking financial theory in the face of new social, societal and environmental, issues, Critical Studies on Corporate Responsibility, Governance and sustainability, vol 15, Emerald Publishing (October)
Bourghelle, D., Rozin, Ph., (2021) Collective Affects and Speculative Bubbles In Financial Markets: A Spinozist Perspective, p 225-244, (in Rethinking financial theory in the face of new social, societal and environmental, issues, Critical Studies on Corporate Responsibility, Governance and sustainability, vol 15, Emerald Publishing (October)
Bourghelle, D., (2013) Liquidity, in Dictionnaire critique de la responsabilité sociale de l'entreprise, Postel Net Sobel R, Presses Universitaires du Septentrion, June, p 289-294
Bourghelle, D., Jemel, H., Louche, C., (2013) Changing the dominant convention: The role of Emerging Initiatives in mainstreaming ESG in Finance and Sustainability: Towards a New Paradigm? A Post-Crisis Agenda, Louche C., Perez R, and Sun W, Eds, Emerald Book, 2011
Bourghelle, D., Brandouy O., (2006) Sensitivité des marchés financiers aux informations macroéconomiques : une lecture conventionnaliste, in L'économie des Conventions : Méthodes et résultats, F. Eymard-Duvernay Ed, La Découverte (collection recherches), Paris, April.
Bourghelle, D., (2005) Flux d'ordres et coordination sur les marchés financiers, in Bourghelle, D., Brandouy, O., Gillet, R., Orléan, A., (2005) Croyances, représentations collectives et conventions en finance, Economica (collection Recherche en Gestion), Paris, August 2005.
Bourghelle, D., Brandouy, O., Orléan, A., (2005) Croyances, représentations collectives et conventions en finance : introduction générale, in Bourghelle, D., Brandouy, O., Gillet, R., Orléan, A., (2005) Croyances, représentations collectives et conventions en finance, Economica (collection Recherche en Gestion), Août 2005.
Bourghelle, D., Gillet, R., (2002) Nouvelles technologies et compétition entre marchés financiers, in Sciences de gestion et pratiques managériales, XVIèmes conférences des IAE, Economica, September.
Bourghelle, D., (2001) Cotation internationale des actifs financiers et liquidité : les résultats empiriques, in La mondialisation : enjeux économiques et managériaux, Presses de l'Université d'Angers, September.
Xerficanal : Fenêtres ouverte sur la Gestion :