hec.ca > Faculty

Iwan Meier

Professor,  Department of Finance

Iwan Meier

Contact information

HEC Montréal
3000, chemin de la Côte-Sainte-Catherine
Montréal (Québec)
Canada H3T 2A7

Email : iwan.meier@hec.ca
Phone : 514 340-3198
Secretary: 514 340-6823
Fax : 514 340-5632
Office : 4.226

Other title(s)

Education

  • Ph. D. (sc. écon.), Université de Berne

Expertise

  • Sustainable finance
  • Performance evaluation of mutual funds and hedge funds
  • Investment and financing decisions of firms

This publication selection covers the last five years.


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Journal articles (2)


DROBETZ, Wolfgang, JANZEN, Malte, MEIER, Iwan; « Investment and financing decisions of private and public firms », Journal of Business Finance & Accounting, vol. 46, no 1-2, 2019, p. 225-262.

DORING, Simon, DROBETZ, Wolfgang, JANZEN, Malte, MEIER, Iwan; « Global cash flow sensitivities », Finance Research Letters, vol. 25, 2018, p. 16-22.


This selection of supervision activities covers the last five years.

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Supervised project supervision – MSc in Management (9)

The Relationship between ESG Performance and Financial Performance: an Empirical Study of the US Market , by Mustapha Takkoush
August 2023

Sentiment ESG de marché : pouvoir explicatif sur les rendements du S&P 500 et utilité pour la Caisse de dépôt et placement du Québec , by Julien Laberge
August 2023

How Distressed Debt from Publicly Traded Firms Performs in Terms of ESG , by Catherine Sarah Rosenthal
May 2023

Impact of integration of ESG factors on the performance of pension plan portfolio , by Heejung Jung
March 2023

La performance et les caractéristiques de l'univers ESG américain , by Charles-Antoine Levesque
March 2022

Mandat de recherche et développement d'outils d'analyse de la performance de portefeuilles , by Jean-Philippe Morin
March 2019

Return-Based Factor Analysis of a Portfolio of Hedge Funds , by Irina Prokopyeva
November 2018

Utilisation des primes de risques dans la construction de portefeuille de fonds de couvertures , by Mohamed-Salmane Trad
November 2018

Décomposition et diversification des rendements des fonds de placement privé , by Andrew Doucet-McDonald
September 2018

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Integrative project supervision – Master's (7)

Analyzing Air Canada's CSR Report in Comparison to Industry Peers: Recommendations for Enhanced ESG Disclosure Practices. , by Marieme N'Diaye
May 2024

L'importance des leviers de l'engagement actionnarial en investissement durable dans la lutte contre les changements climatiques , by Véronique Gauthier
October 2023

Analyse ESG de Canada Goose , by Han Jiang
August 2023

STOXX 50 reporting maturity analysis based on the 14 mandatory principal adverse impact indicators of the EU's Sustainable Finance Disclosure Regulation , by Hamza Taoufik
May 2023

Nouveau Monde Graphite : Financement durable d'une usine de transformation de matériel de batteries , by Christina Gamache
March 2023

La démarche RSE et le reporting extra-financier au sein d'une institution bancaire calédonienne. Étude de cas de la Banque Calédonienne d'Investissement. , by Ingrid Céline Lua Welschinger
August 2022

Création d'un outil de risque de transition à une économie sobre , by Dania Simon-Mayer
September 2021

Fall 2024

Winter 2024

FINA 50205A
FINA 60215

Fall 2023

Summer 2023

FINA 50205A

Winter 2023

FINA 60215A

Fall 2022