I teach economics and finance classes at Rennes School of Business.
Financial Mathematics (3rd year Bachelor): since 2024.
Contemporary Economic Issues (1st year Bachelor), similar to Introductory Macroeconomics: since 2022.
Applied Economics (MSc in Finance), similar to Intermediate Microeconomics: 2022-2024.
I have taught various classes at emlyon business school, from macroeconomics to econometrics and spanned a large number of programs: bachelor, MSc in Management, Specialized Master in Quantitative Finance, or Research Master (approximately equivalent to a PhD 1st year).
Fixed Income (MSc in Management): 2008-2022.
Excel and VBA (MSc in Management): 2009-2022.
Asset Pricing (Research Master): 2016-2022.
Introduction to Macroeconomics (Bachelor): 2014-2018.
Advanced Fixed Income (Specialized Master in Quantitative Finance): 2008-2016.
Introduction to Econometrics and Time Series (Specialized Master in Quantitative Finance): 2010-2014.
Credit Risk (MSc in Management): 2008-2009.
A while ago, I have been a TA in macroeconomics in the APE Master (second year) at Paris School of Economics.
I post below the various assignments (in french) I wrote (old tex and pdf files). They have not been checked for a long while, so please use with caution.
See the details.I teach economics and finance classes at Rennes School of Business.
Financial Mathematics (3rd year Bachelor): since 2024.
Contemporary Economic Issues (1st year Bachelor), similar to Introductory Macroeconomics: since 2022.
Applied Economics (MSc in Finance), similar to Intermediate Microeconomics: 2022-2024.
I have taught various classes at emlyon business school, from macroeconomics to econometrics and spanned a large number of programs: bachelor, MSc in Management, Specialized Master in Quantitative Finance, or Research Master (approximately equivalent to a PhD 1st year).
Fixed Income (MSc in Management): 2008-2022.
Excel and VBA (MSc in Management): 2009-2022.
Asset Pricing (Research Master): 2016-2022.
Introduction to Macroeconomics (Bachelor): 2014-2018.
Advanced Fixed Income (Specialized Master in Quantitative Finance): 2008-2016.
Introduction to Econometrics and Time Series (Specialized Master in Quantitative Finance): 2010-2014.
Credit Risk (MSc in Management): 2008-2009.
A while ago, I have been a TA in macroeconomics in the APE Master (second year) at Paris School of Economics.
I post below the various assignments (in french) I wrote (old tex and pdf files). They have not been checked for a long while, so please use with caution.
Week 1: job search. Assignment [tex] [pdf] and correction [tex] [pdf]
Week 2: optimal unemployment insurance. Assignment [tex] [pdf] and correction [tex] [pdf]
Week 3: Ricardian equivalence. Assignment [tex] [pdf] and correction [tex] [pdf]
Week 4: fiscal theory of the price level. Assignment [tex] [pdf] and correction [tex] [pdf]
Week 5: time-consistency. Assignment [tex] [pdf] and correction [tex] [pdf]
Week 6: optimal taxation. Assignment [tex] [pdf] and correction [tex] [pdf]
Week 7: international lending I. Assignment [tex] [pdf] and correction [tex] [pdf]
Week 8: international lending II. Assignment [tex] [pdf] and correction [tex] [pdf]
Week 9: endogenous growth I. Assignment [tex] [pdf] and correction [tex] [pdf]
Week 10: endogenous growth II. Assignment [tex] [pdf] and correction [tex] [pdf]