Jean-Laurent VIVIANI

Full professor

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Jean-Laurent Viviani

“My areas of research are based on two major pillars:

  • Corporate finance: finance (financial constraints, financing methods, hybrid financing), investment (real options), financial policy (dividend distribution),
  • Management of banking risks (liquidity risk, systemic risk).

My current research focuses on Supply Chain Finance, Finance and International Business, Green and Responsible Finance.”

Supply chain finance,

Green and sustainable finance

Finance and International Business

Corporate finance: dividend distribution, hybrid securities, financial constraints and funding methods

Risk management: liquidity risk, systemic risk.

Key words: ambiguity, financial constraints, dividends, funding, SRI, liquidity, real options, capital structure

Teaching

  • Banking risk management
  • Interest rate risk management
  • Portfolio Management
  • Banking management
  • Corporate finance and financial engineering
  • International Financial Markets

Carole Maurel, Jean-Laurent Viviani. Gestion du risque de change dans les PME : l’exemple des entreprises vitivinicoles de la Vallée du Rhône. Enometrics XIII, Vineyard Data Quantification Society, May 2006, Bordeaux, France.
Link to the publication (HAL)
Finance
Jean-Laurent Viviani. MESURES DE PERFORMANCES AJUSTÉES POUR LE RISQUE (MPAR) ET ALLOCATION DES CAPITAUX PROPRES. 21ÈME CONGRES DE L’AFC, May 2000, France. pp.CD-Rom.
Link to the publication (HAL)
Finance

Scientific outreach

Research coordination

2016: Codirection of the “Coopérations et Réseaux” dossier in issue no. 259 of the Revue Française de Gestion with F. Chédotel.

2016: Co-coordinator of the collective work “Collaborations and Networks” with L. Bironneau.

2016: Co-organizer of the 2nd PhD Students Day of the RCSM project: Risk, Credit Chain & Supply Chain Management, June 2, 2016 at IGR-IAE Rennes with V. Hovelaque

Scientific Projects

2013: Scientific Coordinator of the RCSM (Risk, Credit Chain & Supply Chain Management) project selected at FUI 15, labeled by the “Finance Innovation” and “Nov@log” competitiveness poles. Professional partners: Weave, Kyriba, BPA, Marsh, JASSP. Academic partners: LIP6 (CNRS, Paris 6), INSA Rouen, ARMINES Ecole des Mines de Nantes. Global budget of the project: 4 386 k€. (IGR 150 000 €)

Scientific events

2015 : President of the Organizing Committee of the IAE France Congress which took place at the IGR-IAE Rennes on June 10-12, 2015.

Invited conferences

  • Invitation to present research at the International Research Conference on Management, 2-3 November 2015, Meiji University (Tokyo).
  • Invitation to present a research at the seminar of Quisqueya University (Haiti), July 2015, July 2014.
  • Invitation to present a research at the Foreign Trade University (Hanoi), November 2013, November 2015.

Expertises

Guest reviewer for the following journals: Finance, Journal of Economic Behavior and Organization, European Review of Agricultural Economics, Management International Finance Contrôle Stratégie, Revue d’Economie Industrielle, Revue Economique, Economie Rurale, International Journal of Wine Business Research, International Food and Agribusiness Management Review, Review of Financial Economics, …

Interaction with the social, economic and cultural environment

  • Conference on the banking crisis 26/02/2015 A2R1
  • Presentation of my works on SRI to the Vigéo Scientific Committee on 12/03/2015.

Three Essays on Bank Income Smoothing and ESG Performance: Evidence from OECD Banks
PhD student : MUHAMMAD Fazal
Date : 11/12/2023
PhD supervisor : Jean-Laurent VIVIANI
Finance
Bankruptcy prediction using machine learning techniques
PhD student : NGUYEN Hoang Hiep
Date : 04/12/2023
PhD supervisor : Jean-Laurent VIVIANI
Finance
lncorporating the financial dimension in tactical production planning decisions
PhD student : HEDAYATINIA Pooya
Date : 12/06/2023
PhD supervisor : Jean-Laurent VIVIANI
Finance
La communication sur la responsabilité sociale des entreprises dans les réseaux sociaux : évidence des banques européennes
PhD student : DAMAK Sirine
Date : 07/12/2021
Finance
Three essays about the consequences of corporate social responsibility disclosure
PhD student : NGUYEN Lan Phuong
Date : 03/06/2019
PhD supervisor : Jean-Laurent VIVIANI
Finance
Machine learning and applications : new models to predict the bankruptcy of bank
PhD student : LE Hong Hanh
Date : 21/11/2018
PhD supervisor : Jean-Laurent VIVIANI
Finance
Essays on financial market development, foreign investment and economic growth
PhD student : FAGHIHI TALEGHANI Hamed
Date : 07/06/2018
PhD supervisor : Jean-Laurent VIVIANI
Finance
Convertible Bonds Financing : Shareholder Wealth Effects, Sequential investment and Call Policies
PhD student : ADOUKONOU Olivier-Yvon
Date : 08/12/2016
Finance
Trois essais sur la modélisation de la liquidité de marché et de financement
PhD student : FALL Malick
Date : 01/12/2016
PhD supervisor : Jean-Laurent VIVIANI
Finance
Les conséquences des annonces de variations des dividendes sur le marché financier français en temps de crise : une analyse comparative par rapport à la crise financière de 2007-2009
PhD student : AGBETONYO Yaovi Selom
Date : 29/11/2016
PhD supervisor : Jean-Laurent VIVIANI
Finance
Effects of financing constraints on firms’ usage of trade credit and other alternative sources
PhD student : Thi Thanh Xuan BUI
Date : 08/12/2015
PhD supervisor : Jean-Laurent VIVIANI
Finance
Performance export : influence des stratégies et des politiques à l’exportation. Le cas de la filière vin
PhD student : BEAUFRERE (DUVAL) Ludivine
Date : 02/10/2015
PhD supervisor : Jean-Laurent VIVIANI
Finance
Exposition au risque de change, politique de couverture et conflits d’agence
PhD student : NOUAJAA Ghassen
Date : 19/12/2014
Finance