Biographie
Biographie
Alexandre Garel et chercheur et enseignant en Finance à Audencia Business School. Sa recherche porte sur la finance d'entreprise, la finance comportementale, les régulations financières françaises, les conséquences de la pandémie, et l'incorporation des enjeux climatiques et ESG dans les décisions des dirigeants et la valorisation des actifs financiers. Il a par ailleurs occupé la fonction de conseiller scientifique pour divers acteurs du monde de la finance. Après un master en études économiques européennes au Collège d'Europe, il a obtenu son doctorat en finance en 2016 (ESCP Europe - Université Paris 1 Panthéon-Sorbonne).
Formation
PhD in Finance
ESCP Europe Business School, Paris
(2016)
Postgraduate Master Degree in European Economics
College of Europe, Bruges
(2012)
Expériences professionnelles
Professeur Assistant
Auckland University of Technology, Auckland
2016 - 2019
Scientific Advisor for KPMG
Cabinet KPMG, Paris
2015 - 2016
Publications
Publié
ALBERTA DI GIULI A., GAREL A., RONI MICHAELY R., ARTHUR ROMEC A., (2026). Climate Change and Mutual Fund Voting on Climate Proposals.
Management Science, 72 (2), 783-1726
GAREL A., ARTHUR ROMEC A., SAUTNER Z., WAGNER A., (2026). Firm-level nature dependence.
Review of Finance, 30 (1), 231–272
GAREL A., BART FRIJNS B., SHUSHU LIAO S., (2025). Employee demographic diversity and firm performance.
Financial Management, 54 (2), 305-330
GAREL A., ARTHUR ROMEC A., ZHOU F., (2025). Shareholder engagements in banks.
Economics Letters, 254, 112447
BOURVEAU T., GAREL A., PETER JOOS P., PETIT-ROMEC A., (2024). When attention is away, analysts misplay: distraction and analyst forecast performance.
Review of Accounting Studies, 29 (1), 916 - 958
FRANÇOIS DERRIEN F., GAREL A., PETIT-ROMEC A., JEAN-PHILIPPE WEISSKOPF J.-P., (2024). Online Reputation and Debt Capacity.
Journal of Financial and Quantitative Analysis, 59 (3), 1100 - 1140
GAREL A., PETIT-ROMEC A., SAUTNER Z., WAGNER A., (2024). Do investors care about biodiversity?.
Review of Finance, 28 (4), 1151–1186
ALEX EDMANS A., ADRIAN FERNANDEZ-PEREZ A., GAREL A., IVAN INDRIAWAN I., (2022). Music Sentiment and Stock Returns Around the World.
Journal of Financial Economics, 145 (2 - Part A), 234-254
BOURVEAU T., BROCHET F., GAREL A., (2022). The Capital Market Consequences of Tenure-Based Voting Rights: Evidence from the Florange Act.
Management Science, 68 (12), 9107–9128
GAREL A., PETIT-ROMEC A., (2022). CEO Exposure to Abnormally Hot Temperature and Corporate Carbon Emissions.
Economics Letters, 210 (January 2022), Article N° 110156
GAREL A., ARTHUR PETIT-ROMEC A., VANDER VENNET R., (2022). Institutional Shareholders and Bank Capital.
Journal of Financial Intermediation, 50 (April 2022), Article N° 100960
ADRIAN FERNANDEZ-PEREZ A., GAREL A., IVAN INDRIAWAN I., (2022). In the mood for sustainable funds?.
Economics Letters, 217 (August 2022), Article N° 110691
DODD O., FRIJNS B., GAREL A., (2022). Cultural Diversity Among Directors and Corporate Social Responsibility .
International Review of Financial Analysis, 83 (October 2022), Article N°102337
SEAN FOLEY S., FRIJNS B., GAREL A., TAI-YONG ROH T.-Y., (2022). Who buys Bitcoin? The Cultural Determinants of Bitcoin Activity.
International Review of Financial Analysis, 84 (November 2022), 102385
GAREL A., PETIT-ROMEC A., (2021). Engaging Employees for the Long-Run: Long-Term Investors and Employee-Related CSR.
Journal of Business Ethics, 174 (1), 35-63
GAREL A., MOUSSU C., OHANA S., PETIT-ROMEC A., (2021). Does Analyst Coverage Impede Long-Term Investments? Evidence from Health and Safety Programs.
Comptabilité Contrôle Audit, 27 (2021/2), 41-73
GAREL A., MARTÍN-FLORES J. M., PETIT-ROMEC A., SCOTT AYESHA A., (2021). Institutional Investor Distraction and Earnings Management .
Journal of Corporate Finance, 66 (February 2021), Article N° 101801
GAREL A., PETIT-ROMEC A., (2021). The Resilience of French Companies to the COVID-19 Crisis.
Finance, 42 (2021/3), 99-137
ABDUL NOURY A., ABEL FRANÇOIS F., OLIVIER GERGAUD O., GAREL A., (2021). How does COVID-19 affect electoral participation? evidence from the French municipal elections.
PLOS ONE
GAREL A., PETIT-ROMEC A., (2021). Investor Rewards to Environmental Responsibility: Evidence from the COVID-19 Crisis .
Journal of Corporate Finance, 68 (June 2021), Article N° 101948
FRIJNS B., GAREL A., (2021). The Effect of Cultural Distance between an Analyst and a CEO on Analysts’ Earnings Forecast Performance.
Economics Letters, 205 (August 2021), Article N° 109957
GAREL A., (2021). La Bourse au rythme de la musique.
Harvard Business Review
GAREL A., LE PENDEVEN B., (2021). Calendar effects and crowdfunded projects.
Economics Bulletin, 41 (3), 1407-1417
CAPELLE-BLANCARD G., DEROZIERS A., GAREL A., ARTHUR PETIT-ROMEC A., (2021). L'investissement socialement responsable. Changement structurel et faux-semblant.
Revue Française de Gestion, 2021/7 (300), 61-99
ADRIAN FERNANDEZ-PEREZ A., GAREL A., IVAN INDRIAWAN I., (2020). Natural gas storage forecast s: Is the crowd wiser?.
Energy Journal, 41 (5), 213-238
GAREL A., PETIT-ROMEC A., (2020). Investor Horizons and Employee Satisfaction: A test of the long-term perspective vision of CSR.
Economics Bulletin, 40 (1), 765-781
FERNANDEZ-PEREZ A., GAREL A., INDRIAWAN I., (2020). Music sentiment and stock returns.
Economics Letters, 192 (July 2020), article n° 109260
GAREL A., MARTÍN-FLORES J. M., ARTHUR PETIT-ROMEC A., (2020). Stock Market Listing and the Persistence of Bank Performance across Crises.
Journal of Banking and Finance, 118 (September 2020), Article n° 105885
CHEN J., GAREL A., ALIREZA TOURANI-RAD A., (2019). The value of academics: Evidence from academic independent director resignations in China.
Journal of Corporate Finance, 58, 393-414
GAREL A., REROLLE J.-F., (2018). Fundamental Investors Reduce the Distraction on Management from Random Market “Noise”: Evidence from France.
Journal of Applied Corporate Finance, 30 (1), 62-69
GAREL A., ARTHUR PETIT-ROMEC A., (2017). Bank capital in the crisis: It's not just how much you have but who provides it.
Journal of Banking and Finance, 75, 152-166
GAREL A., (2017). WHEN OWNERSHIP STRUCTURE MATTERS: A REVIEW OF THE EFFECTS OF INVESTOR HORIZON ON CORPORATE POLICIES.
Journal of Economic Surveys, 31 (4), 1062-1094
GAREL A., (2017). Myopic market pricing and managerial myopia.
Journal of Business Finance and Accounting, 44 (9-10), 1194-1213
Articles de presse
Emission
Conférence professionnelle
Activités scientifiques
Reviewer revue académique
Management Science
2023
Ecological Economics
2023
Contemporary Accounting Research
2023
Review of Finance
2022
Energy Economics
2022
Journal of Business Ethics
2021
Journal of Corporate Finance
2020
International Review of Economics and Finance
2020
Managerial Finance
2020
Finance Research Letters
2020
European Accounting Review
2020
Journal of Banking and Finance
2020
British Journal of Management
2020
Economics Bulletin
2020
Membre Comité scientifique d'une association académique
AFFI conference 2020
2020
Supervision doctorat
(2019) A. ANGELA ANDERSEN : The social capital of boardrooms.
(2019) S. SHENGZE XU : Institutional Investor ownership and environment-friendly corporate policies.