Publications and communications of Danielle Sougné

Sougné, D. (Other coll.). (23 November 2018). Pricing Sustainability in the Cross-Section of Stock Returns [Paper presentation]. Annual PhD colloquium in Finance, Liège, Belgium.

Sougné, D., & Ajina, A. (2014). Examining the Effect of Earnings Management on Bid-Ask Spread and Market Liquidity. ORBi-University of Liège. https://orbi.uliege.be/handle/2268/165705.

Sougné, D., Laouti, M., & Ajina, A. (December 2013). Do Board Characteristics Affect Information Asymmetry? International Journal of Academic Research in Business and Social Sciences, 3 (12), 660-675.

Sougné, D., Bodson, L., & Cave, A. (2012). Do Mutual Fund Investors Still Trust Standard Risk-Adjusted Performance Measures? ORBi-University of Liège. https://orbi.uliege.be/handle/2268/125346.

Sougné, D., Bodson, L., & Cavenaile, L. (2012). A Global Approach to Mutual Funds Market Timing Ability. ORBi-University of Liège. https://orbi.uliege.be/handle/2268/122397.

Sougné, D., & Cavenaile, L. (May 2012). Financial Development and Economic Growth: an Empirical Investigation of the Role of Banks and Institutional Investors. Applied Financial Economics, 22 (20), 1719-1725. doi:10.1080/09603107.2012.676731

Sougné, D., & Mattar, J. (2012). Contagion inside the Credit Default Swaps markets in the light of 2008 crisis. Journal of Business and Economics.

Mattar, J., & Sougné, D. (May 2011). Counterparty Risk in Credit Default Swaps Markets, Multiple Questions to Be Checked. Journal of Business and Economics, 2 (5), 354-362.

Hübner, G., Sougné, D., & Cavé, A. (2011). The Market Timing Skills of Hedge Funds during the Financial Crisis. Managerial Finance, vol 38 (issue 1), 4-26. doi:10.1108/03074351211188330

Sougné, D., Bodson, L., & Cavenaile, L. (2011). Does Size Affect Mutual Fund Performance? A General Approach. Journal of Asset Management, 12 (3n), 163-171. doi:10.1057/jam.2011.30

Sougné, D., Bodson, L., Plunus, S., & Cavenaile, L. (21 October 2010). How to Asess a Manager Recovery Skill? [Paper presentation]. International Academy of Business & Public Administration, New Orleans, United States.

Sougné, D., & Ajina, A. (2010). Communication financière : Un outil pour améliorer la liquidité des entreprises françaises. Revue Banque.

Sougné, D., & Ajina, A. (18 March 2010). L'impact de la communication financière sur l'asymétrie d'informatiuons et la liquidité des entreprises françaises cotées [Paper presentation]. 5ème Colloque International Finance & Stratégies de Développement, Sousse, Tunisia.

Bodson, L., Cavenaile, L., & Sougné, D. (2010). Une mesure de performance normalisée. Agefi Luxembourg, p. 32.

Sougné, D. (2010). Une mesure de performance normalisée. AGEFI.

Sougné, D. (2009). Etude sur le financement des PME. Bruxelles, Belgium: CEFIP.

Sougné, D. (2009). L'évaluation actuarielle des engagements de pension selon l'IAS 19 et ses perspectives d'évolution. Revue française de comptabilité.