Pierre GRUSON

Accounting, Finance & Economics Download CV

Pierre Gruson is Financial Markets Senior Professor in KEDGE BS since 2000. He’s got a PhD Diploma and Research Supervision Accreditation. Before KedgeBS, he was lecturer in French University and a few Business Schools, visiting Professor in foreign Business Schools. He’s the author of some manuals about Capital Markets, IAS/IFRS Accounting Standard, Bonds and Derivatives. He has collaborated to the translation of several American famous manuals (Brealey & Myers, Graham & Dodd, Hull-2018). He writes papers in Academic Reviews witch topics are, public debt sustainability, ZIRP exit, corporate liabilities, etc. He regularly contributes to French Economic Newspapers (Le Monde, les Echos, La Tribune, etc.). In KEDGE BS, he teaches in different programs, and he’s in charge of the dealing room Thomson Reuters. He’s also Head of MsC “Banking, Finance, Insurance” located in Dakar Campus. He manages the AMF certification (French Capital Market Authority), and the CFA 1st degree training. He teaches corporate seminars in France and abroad about Capital Markets. He does consulting for banks and insurance companies.

    Recent publications
    Publication Year of publication Type of publication
    GRUSON, P., "FINANCE DE MARCHES", VUIBERT Ed., Vuibert, chap. 4, 12, 14, 17,18 + preface + coordi, pp. 70, 2022 2022 Book chapter
    LEHMANN, P.-J., P.GRUSON, F.ROTH, Monnaie, Banque, Finance, DE BOECK SUPERIEUR, Louvain La Neuve, Belgium, 2020 2020 Book
    GRUSON, P., "La soutenabilité de la dette publique française 2017-2027 et la hausse des taux d'intérêt", Revue d'Economie Financière, 2018, vol. 129, no. 2018/1, pp. 299-318 2018 Journal article
    HULL , J., P.GRUSON, Gestion des Risques et Institutions Financières, 5 édition, PEARSON, France, 2018 2018 Book
    Teaching domains

    Finance

    • Financial Markets
    • options futures and other derivatives
    • Risk Management & Financial Institutions

    Economics

    • Monetary Economics
    Research domains

    Corporate Finance

    • Fixed Income
    • Corporate Debt

    Economics

    • Public Debt

    Accounting

    • IAS IFRS & Financial Instruments
    Kedge Insights
    Insights Others authors Category Expertise
    L’environnement de hausse des taux d’intérêt fragilise toutes les banques à moyen terme None Publication highlight
    Finance
    Faillite de la Silicon Valley Bank : « Il est urgent de suspendre les prochaines hausses des taux des banques centrales » None Expert’s view
    Finance
    Les certifications en Finance, comment doper son CV None Publication highlight
    Finance
    Faut-il craindre la hausse des taux ? None Publication highlight
    Finance
    La dette doit entrer en campagne None Publication highlight
    Finance
    Il y a 20 ans, la naissance de l’Euro : Dans les coulisses de l’exploit None Publication highlight
    Finance
    Retour de l’inflation : les indicateurs s’accumulent ! None Expert’s view
    Finance
    Ces autres dettes que l'Etat devra digérer None Expert’s view
    Finance
    Est-il possible d’annuler la dette publique ? None Expert’s view
    Finance
    Sortie De Crise : Une Gamme Des Possibles Inédite None Expert’s view
    Finance
    Dette publique : la France peut-elle faire face ? None Expert’s view
    Finance Reconsidered
    Le dollar faible : une histoire de républicains ? None Published in The Conversation
    Finance Reconsidered
    Abandonner l’euro : quand les fêtards auront dessaoulé … None Published in The Conversation
    Other
    Trump face à la FED : la hausse des taux encore retardée ? None Expert’s view
    Finance Reconsidered