Articles and Book Chapters
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2000-Present
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89. "The future of Business Schools: Where Do We Stand After Twenty Years", Journal of Management Development, Vol 44, No. 5, pp. 654-663, November 2025.
88. “On the Dilemmatic Legitimacy of Business Schools: The Barbell Syndrome and the Dominance of Business Degrees”, in Debating the Legitimacy of the Business School, edited by A. Ortenblad and R. Koris: Palgrave Macmillan (2022).
87. “The Debate about Shareholder vs. Stakeholder Value is Futile”, The European Financial Review, October-November 2019, pp. 6-8.
86. “Why Managers - Now More Than Ever - Need to Understand Corporate Finance”, INSEAD Knowledge, June 14, 2019.
85. “How Higher Education Institutions Should Internationalise,” INSEAD Knowledge, June 20, 2017.
84. “Higher Education Must Still Go Global,” INSEAD Knowledge, June 1, 2017.
83. “Outward Internationalisation in Action at INSEAD,” University World News, No. 457, April 28, 2017.
82. “Future of Outward Higher Education Internationalisation,” University World News, No. 447, February 17, 2017.
81. “Does your School Have an International Strategy?” BizEd, January 30, 2017.
80. “Asking for the World,” Global Focus, Vol. 11, No. 1, February 2017, pp. 64-67.
79. “Multicampus Globalization of Higher Education Institutions”, in Univer-Cities: Strategic Dilemmas of Medical Origins & Select Modalities, Volume III: Imperial College Press (2017).
78. “Crisis and Consequences: Preparing for the Worst, in BizEd, January-February 2009, pp.26-27.
77. "A Brief History of Yield Approximations", in 20th Century Pioneers of Financial Economics (2007), edited by Geoffrey Poitras: Edward Elgar Publishing (with Ashok Vora).
76. "The Future of Business Schools", the Journal of Management Development, Volume 24, N° 9, November 2005, pp. 770-782.
75. "Is Performance Driven by Industry- or Firm-specific Factors? A Reply to McNamara, Aime and Vaaler", Strategic Management Journal, Volume 26, N° 4, November 2005, pp. 1083-1086 (with P. Verdin and V. Subramanian).
74. "The Globalization of Business Education", in The INSEAD-Wharton Alliance on Globalizing, edited by H. Gatignon and J. Kimberly: Cambridge University Press (2004) (with A. De Meyer and P. Harker).
73. "The home country in the age of globalization: how much does it matter for firm performance?", the Journal of World Business, Volume 39, N° 2, May 2004, pp. 121 - 135, (with P. Verdin and V. Subramanian).
72. "Is Profitability Driven by Industry- or Firm-Specific Factors? A New Look at the Evidence", Strategic Management Journal, Volume 34, N° 1; January 2003, pp. 1-16 (with P. Verdin and V. Subramanian).
71. "INSEAD: Management education with a mission", in Warriors on the High Wire: The Balancing Act of Brand Leadership in the 21st Century, edited by F. Gilmore, Harper Collins Business (2002).
70. "Investment Banking: Old and New Challenges", in Financial Services in the Evolving Global Marketplace, edited by E. Lyn and G. Papaioannou: Hofstra University Press, Hempstead, New York (2002).
69. "Great Eastern Toys", in Cases in International Finance by Michael Moffett: Addison Wesley 2001 (with Lee Remmers).
68. "Are 'Old' Strategy Concepts Still Working?", in European Business Forum, Winter 2001, N° 8, pp. 23-26 (with P. Verdin and V. Subramanian). Read more on INSEAD Knowledge.
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1990-1999
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67. "The Cross Section of Common Stock Returns: A Synthesis of the Evidence and Explanations", in Security Market Imperfections in Worldwide Equity Markets, edited by W.T. Ziemba and D. Keim : Cambridge University Press (with D. Keim) (1999).
66. "Beta, size and price/book: three risk measures or one? ", in The Complete Finance Companion, FT/Prentice Hall: London, 1998 (with D. Keim).
65. "EC Trade and Investment Relations with the Developing Asia-Pacific Economies : Evolution in the 1980's", in Emerging Growth Pole: The Asia-Pacific Economy, edited by Dilip K. Das, Prentice Hall : Simon & Schuster : Singapore, 1996 (with J. Probert).
64. "On the Predictability of Common Stock Returns : Worldwide Evidence", in Handbooks in Operations Research and Management Science - Finance Volume, edited by R.A. Jarrow, V. Maksimovic and W.T. Ziemba, North Holland : Amsterdam, 1995 (with D. Keim).
63. "Equity Price Behavior : Some Evidence from Markets around the World" Journal of Banking and Finance, Volume 18, N° 4, Winter 1994, pp. 603-620.
62. "Myths and Realities of the Global Market for Capital : Lessons for Financial Managers", Journal of Applied Corporate Finance, Volume 6, Winter 1994, pp. 6-15 (with L. Jacque).
61. "The Japanese Presence in the European Financial Services Sector : Historical Perspective and Future Prospects", Does Ownership Matter : Japanese Multinationals in Europe, edited by M. Mason and D. Encarnation, Oxford University Press, 1994 (with M. Schill).
60. "The Information Content of the Belgian Royal Decree of October 8, 1976, Relative to Companies' Annual Financial Statements", (in French), in Liber Amicorum edited by the Belgian Institute of Auditors, June 1993 (with P. Michel, M. Bourguignon and G. Hubner).
59. "Market Efficiency and Equity Pricing : International Evidence", in International Finance : Contemporary Issues, edited by Dilip K. Das, Routledge : London and New York, 1993.
58. "European Equity Markets" in European Banking in 1990's (second edition), edited by Jean Dermine, Basil Blackwell : Oxford, 1993 (with B. Jacquillat).
57. "Current State and Prospects of Equity Trading in the European Community", The Journal of International Securities Markets, Volume 6, Winter 1992, pp. 325-340 (with M. Schill).
56. "The Valuation of Cross-Border Mergers & Acquisitions", Financial Markets and Portfolio Management, Volume 6, N° 1, 1992, pp. 38-60.
55. "Stock Market Anomalies and the Pricing of Equity on the Tokyo Stock Exchange", in Japanese Financial Market Research, edited by W.T. Ziemba, W. Bailey and Y. Hamao, North Holland, Amsterdam, 1991.
54. "Integrating and Legislating Rapid Changes in the Financial Services Industry", in Single Market Europe : Opportunities and Challenges for Business, edited by S. Makridakis, Jossey-Bass : San Francisco, 1991 (with E. Rajendra). Also translated into French and Spanish.
53. "The Valuation of Strategic Alliances" (in French), Harvard-L'Expansion, Fall 1990, pp. 47-52 (with B. Chaintron et C. François).
52. "The Integration of EEC Equity Markets: Analysis and Implications for Switzerland", Financial Markets and Portfolio Management, Volume 4, N° 3, 1990, pp. 263-280 (with E. Rajendra).
51. "European Equity Markets : Toward 1992 and Beyond", in European Banking in the 1990's, edited by J. Dermine, Basil Blackwell : Oxford, 1990 (with B. Jacquillat).
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1985-1989
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50. "Integration of European Equity Market", Revista Valenciana De Hacienda Publica (in English), Volume 9, September-December 1989, pp. 33-44 (with E. Rajendra).
49. "A Prognosis for European Equity Markets : Implications for Key Market Participants", Equities International, N° 108, July 1989, pp. 11-13 (with E. Rajendra).
48. "A Prognosis for European Equity Markets : Evolving Market Structures and Dynamics", Equities International, N° 107, July 1989, pp. 9-10 (with E. Rajendra).
47. "A Look at the Validity of the Capital Asset Pricing Model in Light of Equity Market Anomalies: The Case of Belgian Common Stocks", in A Reappraisal of the Efficiency of Financial Markets, edited by S.J. Taylor, B.G. Kingsman and R.M.C. Guimaraes, Springer-Verlag, 1989 (with A. Corhay and P. Michel).
46. "The Pricing of Equity on the London Stock Exchange: Seasonality and Size Premium", in Stock Market Anomalies, edited by E. Dimson, Cambridge University Press, 1988 (with A. Corhay and P. Michel).
45. "Controlling the Interest-Rate Risk of Bonds: An Introduction to Duration Analysis and Immunization Strategies", Financial Markets and Portfolio Management, Volume 1, N° 4, 1987, pp. 8-18.
44. "Equity Pricing and Stock Market Anomalies", Financial Markets and Portfolio Management, Volume 1, N° 3, 1987, pp. 7-15 (with R. Banz).
43. "Financial Innovation and Recent Developments in the French Capital Markets", University of Pennsylvania Journal of International Business Law, Volume 9, April 1987, pp. 145-179. An earlier version of this paper appeared in the Proceedings of the OECD - Capital Market Board Conference, July 1985, Izmir, Turkey. A shorter French version appeared in Politique Economique, Volume 6, October 1986.
42. "Seasonality in the Risk-Return Relationship: Some International Evidence", Journal of Finance, Volume 42, March 1987, pp. 49-68 (with A. Corhay and P. Michel).
41. "Industry Influence on Corporate Working Capital Decisions", Sloan Management Review, Volume 27, Summer 1986, pp. 15-24 (with C. Viallet and A. Vora).
40. "The Geometry of Risk Aversion: A Pedagogic Note", Journal of Economics and Business, Volume 38, May 1986, pp. 93-104.
39. "New Evidence on Beta Stationarity and Forecast for Belgium Common Stocks", Journal of Banking and Finance, Volume 9, December 1985, pp. 553-560 (with A. Corhay and P. Michel).
38. "An Uncertainty Model of the Professional Partnership", The Geneva Papers on Risk and Insurance, Volume 10, N° 36, July 1985, pp.174-191.
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1980-1984
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37. "Proportional vs. Logarithmic Models of Asset Pricing", Finance (the Journal of the French Finance Association), Volume 5, April 1984, pp. 117-142 (with A. Vora), reprinted in Research in Finance, edited by Haim Levy, JAI Press, Inc., Volume 5, 1984.
36. "European Equity Markets: A Review of the Evidence on Price Behavior and Efficiency" (80 pages), in European Equity Markets: Risk, Return and Efficiency, Garland Publishing Company, New York and London: 1984, edited by G. Hawawini and P. Michel.
35. "Market Reaction to Mandatory Financial Disclosure: The Belgian Experience" (27 pages), in European Equity Markets: Risk, Return and Efficiency, Garland Publishing Company, New York and London: 1984, edited by G. Hawawini and P. Michel.
34. "On the Relationship Between Macaulay's Bond Duration and the Term to Maturity", Economics Letters, Volume 16, 1984, pp. 331-337.
33. "Uncertainty and the Production Decisions of Owner-Managed and Labor-Managed Firms", Oxford Economic Papers, Volume 36, March 1984, pp. 119-130.
32. "The Theory of Risk Aversion and Liquidity Preference: A Geometric Exposition", American Economist, Volume 27, Fall 1983, pp. 42-49.
31. "Friction in the Trading Process and the Estimation of Systematic Risk", Journal of Financial Economics, Volume 12, August 1983, pp. 263-278 (with K. Cohen, S. Maier, R. Schwartz and D. Whitcomb).
30. "Is Adjusting Beta Estimates an Illusion?", Journal of Portfolio Management, Volume 10, Fall 1983, pp. 23-26 (with A. Vora).
29. "Why Beta Shifts as the Return Interval Changes", Financial Analyst Journal, Volume 39, May/June 1983, pp. 73-77.
28. "An Assessment of the Risk and Return of French Common Stocks", Journal of Business Finance and Accounting, Volume 10, Autumn 1983, pp. 333-351 (with P. Michel and C. Viallet), reprinted in European Equity Markets : Risk, Return and Efficiency, Garland Publishing Company, New York and London, 1984.
27. "Temporal Aggregation and the Strength of the Association Between Securities' Risk and Return", Economics Letters, Volume 11, 1983, pp. 269-278 (with A. Vora).
26. "The Effects of Production Uncertainty on the Labor-Managed Firm", Journal of Comparative Economics, Volume 7, March 1983, pp. 25-42 (with P. Michel).
25. "Estimating and Adjusting for the Intervaling Effect Bias in Beta", Management Science, Volume 29, January 1983, pp. 135-148 (with K. Cohen, S. Maier, R. Schwartz and D. Whitcomb).
24. "Bond Duration and Immunization: An Introduction and a Bibliographical Index" (30 pages), in Bond Duration and Immunization, Garland Publishing Company, New York and London, 1982, edited by G. Hawawini.
23. "On the Mathematics of Macaulay's Duration" (12 pages), in Bond Duration and Immunization, Garland Publishing Company, New York and London: 1982, edited by G. Hawawini.
22. "The CAPM and the Investment Horizon: Comment", Journal of Portfolio Management, Volume 9, Fall 1982, pp. 66-68, (with A. Vora).
21. "The Pricing of Risky Assets on the Belgian Stock Market", Journal of Banking and Finance, Volume 6, June 1982, pp. 161-178 (with P. Michel).Reprinted in European Equity Markets: Risk, Return and Efficiency, Garland Publishing Company: New York and London: 1984.
20. "Investment Horizon, Diversification, and the Efficiency of Alternative Beta Forecasts", Journal of Financial Research, Volume 5, Spring 1982, pp. 1-15 (with A. Vora).
19. "Yield Approximations: A Historical Perspective", Journal of Finance, Volume 37, March 1982, pp. 145-156 (with A. Vora).
18. "The Capital Asset Pricing Model and Investment Horizon: Comment", Review of Economics and Statistics, Volume 64, November 1981, pp. 633-647 (with A. Vora).
17. "A Historical Review of Interest Approximations" (30 pages), in The History of Interest Approximations, Arno Press, New York: 1980, edited by G. Hawawini and A. Vora.
16. "An Analytical Examination of the Intervaling Effect on Skewness and Other Moments", Journal of Financial and Quantitative Analysis, Volume 15, December 1980, pp. 1121-1129.
15. "Temporal Aggregation and the Estimation of the Market Price of Risk", Economics Letters, Volume 5, 1980, pp. 165-170 (with A. Vora).
14. "The Intertemporal Cross Price Behavior of Common Stocks: Evidence and Implications", Journal of Financial Research, Volume 5, Fall 1980, pp. 153-167.
13. "Multiple Variable Factors, Demand Uncertainty and the Cooperative Firm", Economics Letters, Volume 5, 1980, pp. 15-19.
12. "On the Theoretic and Numeric Problems of Approximating the Bond Yield to Maturity", Engineering Economist, Volume 25, Summer 1980, pp. 301-325. Abstracted in the Proceedings of the Eastern Finance Association (1979) and reprinted in the History of Interest Approximations, Arno Press, New York, 1980 (with A. Vora).
11. "Evidence of Intertemporal Systematic Risk in the Daily Price Movement of NYSE and AMEX Common Stocks", Journal of Financial and Quantitative Analysis, Volume 15, June 1980, pp. 331-339 (with A. Vora).
10. "Labor-Managed Enterprise and Uncertainty: Reply", Annals of Public and Cooperative Economy, Volume 51, April/June 1980, pp. 327-333 (with P. Michel).
9. "Implications of Microstructure Theory for Empirical Research in Stock Price Behavior", Journal of Finance, Volume 35, May 1980, pp. 249-257 (with K. Cohen, S. Maier, R. Schwartz and D. Whitcomb).
8. "Intertemporal Cross Dependence in Securities Daily Returns and the Short Term Intervaling Effect on Systematic Risk", Journal of Financial and Quantitative Analysis, Volume 15, March 1980, pp. 139-149.
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1978-1979
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7. "The Time-Covariance Function: Properties and Application", Economics Letters, Volume 2, 1979, pp. 235-238.
6. "Production as Behavior Toward Risk", Recherches Economiques de Louvain, Volume 45, September 1979, pp. 299-311 (with P. Michel).
5. "Theory of the Risk Averse Producer Cooperative Firm Facing Uncertain Demand", Annals of Public and Cooperative Economy, Volume 50, April/June 1979, pp. 43-62 (with P. Michel).
4. "An Assessment of Risk in Thinner Markets: The Belgian Case", Journal of Economics and Business, Volume 31, Spring/Summer 1979, pp. 196-201 (with P. Michel), reprinted in European Equity Markets: Risk, Return and Efficiency, Garland Publishing Company: New York and London: 1984.
3. "A note on temporal Aggregation and Serial Correlation", Economics Letters, Volume 1, 1978, pp. 237-242.
2. "Market Model and Risk Evaluation on the Brussels Stock Exchange" (in French) Analyse Financière, Volume 32, March 1978, pp. 67-76 (with P. Michel).
1. "A Mean-Standard Deviation Exposition of the Theory of the Firm Under Uncertainty", American Economic Review, Volume 68, March 1978, pp. 194-202.
Contact
Gabriel Hawawini
Professor of Finance and former Dean
INSEAD Asia Campus
1 Ayer Rajah Avenue
138676 Singapore
Email: [email protected]
Assistant: Emily Mohamad
Tel : + 65 6799 5351
Fax: + 65 6799 5445
Email: [email protected]