Hübner, G., & Plunus, S. (2013). Accommodating profile dynamism in MiFID II. Revue Bancaire et Financière, (3). |
Plunus, S., Gillet, R., & Hübner, G. (September 2012). Reputational damage of operational loss on the bond market: Evidence from the financial industry. International Review of Financial Analysis, 24, 66-73. doi:10.1016/j.irfa.2012.07.007 Peer Reviewed verified by ORBi |
Plunus, S., Hübner, G., & Peters, J.-P. (2012). Measuring operational risk in financial institutions. Applied Financial Economics, 22 (18), 1553-1569. doi:10.1080/09603107.2012.667546 Peer Reviewed verified by ORBi |
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. |
Gillet, R., Hübner, G., & Plunus, S. (2010). Operational Risk and Reputation in the Financial Industry. Journal of Banking and Finance, 34, 224-235. doi:10.1016/j.jbankfin.2009.07.020 Peer Reviewed verified by ORBi |
Plunus, S. (2005). Modèles de risque crédit. In Chapelle, G. Hübner, ... J.-P. Peters, Le risque opérationnel (pp. 125-134). Larcier. |
Plunus, S., Hübner, G., & Peters, J.-P. (2005). Application de CreditRisk+ au risque opérationnel. In A. Chapelle, G. Hübner, ... J.-P. Peters, Le risque opérationnel (pp. 135-148). |