Département académique

Finance, Accounting and Management Control

Campus principal

Aix-en-Provence

Domaines de recherche

  • Économie financière
  • Économie comportementale
  • Économie expérimentale

Domaines d'enseignement

  • Finance d'entreprise
  • Statistiques
  • Finance comportementale
  • Marchés et produits financiers
  • Gestion de portefeuille

Publications des cinq dernières années

Articles

MEUNIER, L., OHADI, S. et TATARNIKOVA, O. (2025). Stock Market Participation: When no Priming Works Best. Journal of Behavioral Finance, 26(3), pp. 406-427.

TATARNIKOVA, O., DUCHENE, S., SENTIS, P. et WILLINGER, M. (2023). Portfolio instability and socially responsible investment: experiments with financial professionals and students. Journal of Economic Dynamics and Control, 153, pp. 104702.

Conférences et autres contributions

TATARNIKOVA, O. (2024). Portfolio instability and socially responsible investment: Experiments with financial professionals and students. Dans: Financial research seminar at the AMSE. Aix-Marseille Université.

TATARNIKOVA, O., DUCHENE, S., SENTIS, P. et WILLINGER, M. (2023). Portfolio instability and socially responsible investment: ranking experiments with students. Dans: World Economic Science Association Meeting. Lyon.

TATARNIKOVA, O., DUCHENE, S., SENTIS, P. et WILLINGER, M. (2023). Instability of ESG portfolios in normal and crisis periods. Dans: International Conference in Finance, Banking and Accounting. Montpellier Business School.

TATARNIKOVA, O., DUCHENE, S., SENTIS, P. et WILLINGER, M. (2021). Portfolio instability and socially responsible investment: experiments with financial professionals and students. Dans: American Economic Association ASSA 2021 Virtual Annual Meeting. Chicago.

TATARNIKOVA, O., DUCHENE, S., SENTIS, P. et WILLINGER, M. (2021). Portfolio instability and socially responsible investment: experiments with financial professionals and students. Dans: 11th annual meeting of the Society for Experimental Finance. Innsbruck.