Participations à des congrès et colloques internationaux (46)
23.
Méon, P.-G., & Delannay, A.-F. (2003). L'européanisation des entreprises: les rapports d'un modèle de gravité. Paper session presented at Journées internationales d'économie monétaire et bancaire (20: 5-6 June 2003: Birmingham).
24.
Méon, P.-G., & Delannay, A.-F. (2003). L'européanisation des entreprises: les rapports d'un modèle de gravité. Paper session presented at Journées de l'AFSE (26-27 May 2003: Lille).
25.
Méon, P.-G., & Weill, L. (2003). Does better governance foster efficiency ?: an aggregate frontier analysis. Paper session presented at Villa Mondragone international economic seminar on 'Markets, growth and global governance (15: 2-3 July 2003: Rome 'Tor Vergana' university).
26.
Méon, P.-G. (2003). Corruption, growth and governance: testing the 'grease the wheels' hypothesis. Paper session presented at 2003 annual meeting of the european public choice society (25-28 April 2003: Aarhus).
27.
Méon, P.-G., & Delannay, A.-F. (2003). L'européanisation des entreprises: les rapports d'un modèle de gravité. Paper session presented at Congrès annuel de l'AFFI (23-25 June 2003: Lyon).
28.
Méon, P.-G. (2003). Corruption, growth and governance: testing the 'grease the wheels' hypothesis. Paper session presented at Institutions, croissance et développement (27-28 February 2003: Perpignan).
29.
Méon, P.-G., & Weill, L. (2002). Has european integration led to macroeconomic risk diversification ?: a portfolio approach. Paper session presented at Congrès annuel de l'AFFI (26-28 June 2002: Strasbourg).
30.
Méon, P.-G., & Weill, L. (2002). Has european integration led to macroeconomic risk diversification ?: a portfolio approach. Paper session presented at Colloque du GDR economie et finances internationales (12: 27-28 June 2002: Bordeaux).
31.
Méon, P.-G. (2001). Distributive consequences of a referendum: a simple test. Paper session presented at Du franc à l'euro : changement et continuité de la monnaie (14-16 November 2001: Poitiers).
32.
Méon, P.-G., & Weill, L. (2001). Has european integration led to macroeconomic risk diversification ?: a portfolio approach. Paper session presented at Money, macro and finance research group (5-7 September 2001: Belfast).
33.
Méon, P.-G. (2001). Why are realignments postponed ?: A model of exchange rate revisions with opportunistic governments. Paper session presented at 2001 annual meeting of the european public choice society (18-21 April 2001: Paris).
34.
Méon, P.-G., & Rizzo, J.-M. (2001). The viability of fixed exchange rate commitments: does politics matter ? A theoretical and empirical investigation. Paper session presented at Annual congress of the european economic association (16: 29 August - 1 September 2001: Lausanne).