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Bruno BIAIS
Bruno BIAIS
Professor of Finance and Economics, HEC
Verified email at hec.fr
Title
Cited by
Cited by
Year
An empirical analysis of the limit order book and the order flow in the Paris Bourse
B Biais, P Hillion, C Spatt
the Journal of Finance 50 (5), 1655-1689, 1995
16271995
Trade credit and credit rationing
B Biais, C Gollier
The review of financial studies 10 (4), 903-937, 1997
15091997
The blockchain folk theorem
B Biais, C Bisiere, M Bouvard, C Casamatta
The Review of Financial Studies 32 (5), 1662-1715, 2019
7702019
Judgemental overconfidence, self-monitoring, and trading performance in an experimental financial market
B Biais, D Hilton, K Mazurier, S Pouget
The Review of economic studies 72 (2), 287-312, 2005
7462005
Market microstructure: A survey of microfoundations, empirical results, and policy implications
B Biais, L Glosten, C Spatt
Journal of Financial Markets 8 (2), 217-264, 2005
6782005
Equilibrium fast trading
B Biais, T Foucault, S Moinas
Journal of Financial economics 116 (2), 292-313, 2015
6082015
Machiavellian privatization
B Biais, E Perotti
American Economic Review 92 (1), 240-258, 2002
5982002
Price formation and equilibrium liquidity in fragmented and centralized markets
B Biais
The Journal of Finance 48 (1), 157-185, 1993
4921993
Dynamic security design: Convergence to continuous time and asset pricing implications
B Biais, T Mariotti, G Plantin, JC Rochet
The Review of Economic Studies 74 (2), 345-390, 2007
4642007
Competing mechanisms in a common value environment
B Biais, D Martimort, JC Rochet
Econometrica 68 (4), 799-837, 2000
4582000
Equilibrium bitcoin pricing
B Biais, C Bisiere, M Bouvard, C Casamatta, AJ Menkveld
The Journal of Finance 78 (2), 967-1014, 2023
4512023
Price discovery and learning during the preopening period in the Paris Bourse
B Biais, P Hillion, C Spatt
Journal of Political Economy 107 (6), 1218-1248, 1999
4471999
Large risks, limited liability, and dynamic moral hazard
B Biais, T Mariotti, JC Rochet, S Villeneuve
Econometrica 78 (1), 73-118, 2010
4242010
Insider and liquidity trading in stock and options markets
B Biais, P Hillion
The Review of Financial Studies 7 (4), 743-780, 1994
3661994
IPO auctions: English, Dutch,… French, and internet
B Biais, AM Faugeron-Crouzet
Journal of Financial Intermediation 11 (1), 9-36, 2002
2902002
An optimal IPO mechanism
B Biais, P Bossaerts, JC Rochet
The Review of Economic Studies 69 (1), 117-146, 2002
2772002
The microstructure of the bond market in the 20th century
B Biais, R Green
Review of Economic Dynamics 33, 250-271, 2019
2622019
Risk‐sharing or risk‐taking? Counterparty risk, incentives, and margins
B Biais, F Heider, M Hoerova
The Journal of Finance 71 (4), 1669-1698, 2016
2182016
HFT and market quality
B Biais, T Foucault
Bankers, Markets & Investors 128 (1), 5-19, 2014
2152014
Hindsight bias, risk perception, and investment performance
B Biais, M Weber
Management Science 55 (6), 1018-1029, 2009
2032009
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Articles 1–20