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Jean-Edouard Colliard


Associate Professor of Finance
HEC Paris

Areas of expertise

  • Banking
  • Banking regulation
  • Financial regulation
  • Market microstructure

Short Biography

Jean-Edouard Colliard is an Associate Professor of Finance at HEC Paris. He obtained a PhD in 2012 from the Paris School of Economics. His main research areas are banking theory and market microstructure, with a focus on regulatory issues. His recently published papers deal with topics such as capital requirements, the European Banking Union, systemic risk, financial transactions taxes, and over-the-counter markets. Jean-Edouard received the 1st SUERF/Unicredit & Universities Foundation Research Prize 2013, the "Young Researcher Award" 2015 of AMF (French Securities markets authority), and the "Young Researcher in Economics" Award of Foundation Banque de France in 2017.


Selected publications

  • "Inventory Management, Dealers’ Connections, and Prices in OTC Markets", joint with Thierry Foucault and Peter Hoffmann, Journal of Finance, forthcoming
  • "Optimal Supervisory Architecture and Financial Integration in a Banking Union", Review of Finance, Vol. 24 (1), 2020.
  • The Paper "Multinational Banks and Supranational Supervision", Review of Financial Studies, Vol. 32 (8), 2019.
  • "Strategic Selection of Risk Models and Bank Capital Regulation", Management Science, Vol. 65 (6), 2019.
  • "Financial Transaction Taxes, Market Composition, and Liquidity", with Peter Hoffmann. Journal of Finance, Vol. 72 (6), 2017.
  • "Catching Falling Knives: Speculating on Liquidity Shocks", Management Science, Vol. 63 (8), 2017.
  • "Where the Risks Lie: A Survey on Systemic Risk", with Sylvain Benoît, Christophe Hurlin and Christophe Pérignon. Review of Finance, Vol. 21 (1) 2017.
  • "Trading fees and efficiency in limit order markets", with Thierry Foucault. Review of Financial Studies, Vol. 25 (11), 2012.

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