Jean-Pierre Gueyie

University of Quebec in Montreal-Department of Finance

School of Business Administration

Montreal, Quebec H3C 4R2

Canada

SCHOLARLY PAPERS

9

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Top 20,030

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2,175

CITATIONS
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Top 23,928

in Total Papers Citations

11

Scholarly Papers (9)

1.

Financial Liberalization: Commercial Bank's Blessing or Curse?

Working Paper No 97-2
Number of pages: 44 Posted: 06 Jun 1997
Klaus P. Fischer, Jean-Pierre Gueyie and Edgar Ortiz
affiliation not provided to SSRN, University of Quebec in Montreal-Department of Finance and National Autonomous University of Mexico (UNAM)
Downloads 540 (46,050)
Citation 2

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2.

Bank Moral Hazard and the Introduction of Official Deposit Insurance in Canada

Number of pages: 46 Posted: 22 Mar 2002
Jean-Pierre Gueyie and Van Son Lai
University of Quebec in Montreal-Department of Finance and Université Laval
Downloads 510 (49,517)
Citation 8

Abstract:

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Moral Hazard, Risk-Taking, Capital, Deposit Insurance, Bank Regulation

3.

How Do Firms Hedge Risks? Empirical Evidence from U.S. Oil and Gas Producers

Number of pages: 74 Posted: 07 Apr 2013 Last Revised: 27 Dec 2013
Mohamed Mnasri, Georges Dionne and Jean-Pierre Gueyie
University of Quebec at Montreal (UQAM), HEC Montreal - Department of Finance and University of Quebec in Montreal-Department of Finance
Downloads 440 (59,509)

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Risk management, derivative choice, hedging strategy, oil and gas industry

4.

Managing Contractual Risk Through Organization: Strategic Vs. Consensual Networks

Number of pages: 47 Posted: 06 Oct 2004
Martin Desrochers, Klaus P. Fischer and Jean-Pierre Gueyie
Developpement International Desjardins, affiliation not provided to SSRN and University of Quebec in Montreal-Department of Finance
Downloads 173 (160,203)
Citation 1

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Transaction cost economics, financial cooperatives, networks, corporate governance, technical efficiency, X-Efficiency

5.

Canadian Stock Splits and Financial Analyst Forecasts: Testing Signaling and Attention Effects

The International Journal of Business and Finance Research, Vol. 1, No. 1, pp. 11-20, 2007
Number of pages: 10 Posted: 19 Feb 2010
Jean-Pierre Gueyie, Ramzi Ben Sedrine and Roger B. Atindehou
University of Quebec in Montreal-Department of Finance, University of Quebec at Montreal (UQAM) and Université de Moncton
Downloads 155 (176,066)

Abstract:

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6.

The Maturity Structure of Corporate Hedging: The Case of the U.S. Oil and Gas Industry

Number of pages: 57 Posted: 23 Oct 2013 Last Revised: 18 Jan 2014
Mohamed Mnasri, Georges Dionne and Jean-Pierre Gueyie
University of Quebec at Montreal (UQAM), HEC Montreal - Department of Finance and University of Quebec in Montreal-Department of Finance
Downloads 130 (203,145)

Abstract:

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Risk management, maturity choice, early termination, economic effects, oil and gas industry

7.

Banks’ Non-Traditional Activities Under Regulatory Changes: Impact on Risk, Performance and Capital Adequacy

Number of pages: 44 Posted: 11 Jan 2015 Last Revised: 12 Mar 2017
Alaa Guidara, Jean-Pierre Gueyie, Van Son Lai and Issouf Soumaré
Université Laval, University of Quebec in Montreal-Department of Finance, Université Laval and Laval University
Downloads 112 (227,277)

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Non-interest income, Banking regulation, Risk exposure, Performance, Capital

8.

Dynamic Corporate Risk Management: Motivations and Real Implications

Journal of Banking and Finance, Forthcoming
Number of pages: 53 Posted: 08 Jul 2016 Last Revised: 16 Aug 2017
Georges Dionne, Jean-Pierre Gueyie and Mohamed Mnasri
HEC Montreal - Department of Finance, University of Quebec in Montreal-Department of Finance and University of Quebec at Montreal (UQAM)
Downloads 69 (308,275)

Abstract:

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Hedging maturity; Early termination of contracts; Firm value; Heterogeneous treatment effects; Essential heterogeneity models; Oil industry

9.

The Impact of the Subprime Crisis on Canadian Banks’ Stock Returns

Frontiers in Finance and Economics, Vol. 10, No. 2, 103-128, 2013
Number of pages: 24 Posted: 03 Feb 2015
Jean-Pierre Gueyie
University of Quebec in Montreal-Department of Finance
Downloads 46 (373,796)

Abstract:

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Canadian chartered banks, subprime crisis, market reaction.