Aller au contenu principal
A propos d'HEC A propos d'HEC Faculté et Recherche Faculté et Recherche Grande Ecole
& Masters Grande Ecole
& Masters
Programmes MBA Programmes MBA Programme PhD Programme PhD Executive Education Executive Education Summer School Summer School HEC Online HEC Online
A propos d'HEC En bref En bref Qui sommes-nous ? Qui sommes-nous ? Egalité des chances Egalité des chances Centre Carrières Centre Carrières International International Vie du campus Vie du campus Stories Stories Fondation HEC Fondation HEC Faculté et Recherche À propos À propos Corps professoral Corps professoral Départements Départements Centres Centres Chaires Chaires Knowledge Knowledge Grande Ecole
& Masters
Programme
Grande Ecole Programme
Grande Ecole
Doubles Diplômes
en Admission directe Doubles Diplômes
en Admission directe
MSc International
Finance MSc International
Finance
MS et MSc MS et MSc Vie
Etudiante Vie
Etudiante
Certificats Certificats
Programmes MBA MBA MBA EMBA EMBA TRIUM EMBA TRIUM EMBA Programme PhD Overview Overview HEC Difference HEC Difference Program details Program details Research areas Research areas HEC Community HEC Community Placement Placement Job Market Job Market Admissions Admissions Financing Financing Summer School Youth Leadership Initiative Youth Leadership Initiative Summer programs Summer programs Admissions Admissions FAQ FAQ HEC Online En bref En bref Programme diplômant Programme diplômant Certificats Executive Certificats Executive MOOCs MOOCs

Evren ORS

Professeur Associé

Finance

 Profile picture

Biographie

Evren Örs est Professeur Associé dans le Département Finance d'HEC Paris. Il a obtenu son Ph.D. de Boston College en 1999. Ses projets de recherche couvrent, entre autres, l’impacte de la régulation bancaire sur le commerce international, les effets de l’intégration bancaire sur la croissance des industries et leurs activités M&A, l’impacte de la régulation sur la compensation des employés indispensables. Il a des articles de recherche accepté dans Journal of Finance, Journal of Financial Economics, Journal of Money Credit and Banking, Journal of Banking and Finance, Journal of Corporate Finance, entre autres publications. Depuis Septembre 2015 Evren est le Coordinateur du Département Finance à HEC Paris. Depuis Décembre 2015 il est Directeur Académique de l’Executive Master in Finance d’HEC Paris. Il enseigne des cours de finance aux niveaux master et executive education.

Articles scientifiques

Risk-Based Capital Requirements for Banks and International Trade

Review of Financial Studies, novembre 2017, vol. 30, n° 11, pp 3970-4002

(Interstate) banking and (interstate) trade: Does real integration follow financial integration?

Journal of Financial Economics, avril 2012, vol. 104, n° 1, pp 89-117

Performance Gender-Gap: Does Competition Matter ?

Journal of Labor Economics, juillet 2013, vol. 31, n° 3, pp 443-499

Systemic Risk in Clearing Houses: Evidence from the European Repo Market

Journal of Financial Economics, septembre 2017, vol. 125, n° 3, pp 511-536

The Competitive Dynamics of Geographic Deregulation in Banking: Implications for Productive Efficiency

Journal of Money, Credit and Banking, août 2008, vol. 40, n° 5, pp 897-928

Margin Regulation and Market Quality: A Microstructure Analysis

Journal of Corporate Finance, septembre 2004, vol. 10, n° 4, pp 549-574

Post Mortem on Federal Reserve's Functional Cost Analysis Program: How Useful Was the FCA?

Review of Financial Economics, 2004, vol. 13, n° 1-2, pp 121-148

The predictive power of implied volatility: Evidence from 35 futures markets

Journal of Banking and Finance, novembre 2003, vol. 11, n° 27, pp 2151-2176

Bank Performance Around the Introduction of a Section 20 Subsidiary

Journal of Finance (The), février 2002, vol. 57, n° 1, pp 501-521

Using Implied Volatility on Options to Measure the Relation Between Asset Retums and Variability

Journal of Banking and Finance, juillet 2001, vol. 25, n° 7, pp 1245-1269

Actes de conférence

The Role of Advertising in Commercial Banking

Proceedings of the Federal Reserve Bank of Chicago's 39th Bank Structure and Competition Conference , 2003

Banking Industry Consolidation and Productive Efficiency

Proceedings of the Federal Reserve Bank of Chicago's 37th Bank Structure and Competition Conference , 2001 (D. Evanoff)

Cahiers de recherche

U.S. Banking Integration and State-Level Exports

Cahier de Recherche du Groupe HEC , 2014

Definitional and Statistical Differences in Imputed and Offered Deposit Rates

Mimeo , 2019

State-Subsidies and Firm Performance: Evidence from France

Mimeo , 2019

U.S. Banking Integration and State-Level Exports

Mimeo , 2019

Bank Imputed Interest Rates: Unbiased Estimates of Offered Rates?

FRB of Chicago Working Paper , 2006

Advertising and Pricing at Multiple Output Firms: Evidence from U.S. Thrift Institutions

FRB of Chicago Working Paper , 2004

The Role of Advertising in Commercial Banking

Mimeo , 2019

Articles scientifiques

Risk-Based Capital Requirements for Banks and International Trade

Review of Financial Studies, novembre 2017, vol. 30, n° 11, pp 3970-4002

(Interstate) banking and (interstate) trade: Does real integration follow financial integration?

Journal of Financial Economics, avril 2012, vol. 104, n° 1, pp 89-117

Performance Gender-Gap: Does Competition Matter ?

Journal of Labor Economics, juillet 2013, vol. 31, n° 3, pp 443-499

Systemic Risk in Clearing Houses: Evidence from the European Repo Market

Journal of Financial Economics, septembre 2017, vol. 125, n° 3, pp 511-536

Actes de conférence

The Role of Advertising in Commercial Banking

Proceedings of the Federal Reserve Bank of Chicago's 39th Bank Structure and Competition Conference , 2003

Banking Industry Consolidation and Productive Efficiency

Proceedings of the Federal Reserve Bank of Chicago's 37th Bank Structure and Competition Conference , 2001 (D. Evanoff)

Cahiers de recherche

U.S. Banking Integration and State-Level Exports

Cahier de Recherche du Groupe HEC , 2014

Definitional and Statistical Differences in Imputed and Offered Deposit Rates

Mimeo , 2019

Formation

  • Ph.D. in Finance, Carroll School of Management - Boston College - USA
  • M.S. in Finance, Carroll School of Management - Boston College - USA
  • Master of Business Administration, Middle East Technical University (M.E.T.U.) - Turquie
  • B.S. in Mechanical Eng., Middle East Technical University (M.E.T.U.) - Turquie

Nominations académiques

Responsabilités académiques à HEC

  • 2015-2017 Coordinateur de département, Finance HEC Paris
  • 2015 Directeur Académique, Executive Master in Finance HEC Paris
  • 2011-2012 EMBA Course Leader for Financial Markets HEC Paris
  • 2011-2012 Co-Directeur Scientifique de CESA Finance HEC Paris
  • 2011-2012 Co-Directeur Scientifique d'Executive Master Gestion Financière HEC Paris
  • 2009 Professeur Associé HEC Paris
  • 2003-2008 Professeur Assistant HEC Paris
  • 2004 Membre du GREGHEC (CNRS) HEC Paris

Responsabilités académiques externes

  • 1999-2003 Assistant Professor, Dept. of Finance SIUC
  • 1998-1999 Instructor, Dept. of Finance Southern Illinois University-Carbondale (SIUC).

Activités scientifiques

Adhésion à l'organisation académique ou professionnelle

  • Research Affiliate, Centre for Economic Policy Research (CEPR)
  • Membre, French Finance Association
  • Membre, European Finance Association
  • Membre, American Finance Association

Activités scientifiques

  • Ad hoc referee for the Journal of Finance, Review of Financial Studies, Review of Finance, Journal of Money Credit and Banking, Journal of Financial Intermediation, Journal of Banking & Finance, Journal of Financial Services Research, among others.
  • Associate Editor, Journal of Money, Credit and Banking

  • Conference organisation

  • Member, Conference Program Committees: FMA 2001 and 2002 Annual Meeting ; Southern Finance Association 2000 Meeting
  • 2011-2011 Co-organisateur, Conference on Financial Intermediation and The Real Economy, EBC-CEPR-HEC-NYSE/Euronext-RoF
  • 2009- Co-organizer, HEC-INSEAD-PSE Workshop in Economics and Finance