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Cavenaile Laurent

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Main Referenced Co-authors
Artige, Lionel  (5)
Bodson, Laurent  (4)
Dubois, David  (3)
Sougné, Danielle  (3)
Hübner, Georges  (2)
Main Referenced Keywords
Growth (3); Balance of Payments (2); European Union (2); Global imbalances (2); Modified Value-at-Risk (2);
Main Referenced Unit & Research Centers
CREPP - Centre de Recherche en Économie Publique et de la Population - ULiège [BE] (2)
Chaire KBL (1)
Main Referenced Disciplines
Finance (7)
Macroeconomics & monetary economics (5)
International economics (3)

Publications (total 15)

The most downloaded
808 downloads
Cavenaile, L., & Lejeune, T. (2012). A Note on the Use of the Modified Value-at-Risk. Journal of Alternative Investments, 14 (4), 79-83. doi:10.3905/jai.2012.14.4.079 https://hdl.handle.net/2268/112265

The most cited

46 citations (Scopus®)

Cavenaile, L., & Dubois, D. (2011). An empirical analysis of income convergence in the European Union. Applied Economics Letters, 18 (17), 1705-1708. doi:10.1080/13504851.2011.560104 https://hdl.handle.net/2268/96477

Artige, L., & Cavenaile, L. (April 2023). Public Education Expenditures, Growth and Income Inequality. Journal of Economic Theory, 209. doi:10.1016/j.jet.2023.105622
Peer Reviewed verified by ORBi

Cavenaile, L., & Lejeune, T. (2012). A Note on the Use of the Modified Value-at-Risk. Journal of Alternative Investments, 14 (4), 79-83. doi:10.3905/jai.2012.14.4.079
Peer Reviewed verified by ORBi

Artige, L., & Cavenaile, L. (29 August 2011). A Growth Model of Global Imbalances [Paper presentation]. European Economic Association, Oslo, Norway.

Artige, L., & Cavenaile, L. (2011). A Calibrated Growth Model of Global Imbalances. ORBi-University of Liège. https://orbi.uliege.be/handle/2268/90802.

Cavenaile, L., Gengenbach, C., & Palm, F. (2011). Stock markets,banks and long run economic growth: a panel cointegration-based analysis. ORBi-University of Liège. https://orbi.uliege.be/handle/2268/93676.

Artige, L., & Cavenaile, L. (18 March 2011). A Growth Model of Global Imbalances [Paper presentation]. International Atlantic Economic Conference, Athens, Greece.

Cavenaile, L., Dubois, D., & Hlávka, J. (March 2011). Unexpected Correlations in Fama-MacBeth Methodology Outcomes. ICFAI Journal of Financial Economics, IX (1), 7-23.
Peer Reviewed verified by ORBi

Cavenaile, L., Coen, A., & Hübner, G. (March 2011). The Impact of Illiquidity and Higher Moments of Hedge Fund Returns on Their Risk-Adjusted Performance and Diversification Potential. Journal of Alternative Investments, 13 (4). doi:10.3905/jai.2011.13.4.009
Peer Reviewed verified by ORBi

Bodson, L., Cavenaile, L., & Sougné, D. (2011). La taille d’un fonds d’investissement influence-t-elle sa performance? Agefi Luxembourg.

Cavenaile, L., & Dubois, D. (2011). An empirical analysis of income convergence in the European Union. Applied Economics Letters, 18 (17), 1705-1708. doi:10.1080/13504851.2011.560104
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.

Bodson, L., Cavenaile, L., & Hübner, G. (19 March 2010). Normalized Risk-Adjusted Performance Measures Based on Multi-Factor Models [Paper presentation]. Swiss Society for Financial Market Research, Zurich, Switzerland.

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

Cavenaile, L., & Dubois, D. (2010). An Empirical Analysis of Income convergence in the European Union. ORBi-University of Liège. https://orbi.uliege.be/handle/2268/88019.

Artige, L., & Cavenaile, L. (2010). A Growth Model of Global Imbalances. ORBi-University of Liège. https://orbi.uliege.be/handle/2268/87932.

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