
معرفی
Bertrand GROSLAMBERT is a Professor of Finance at SKEMA Business School, with over 25 years of academic experience. His career began in 1999, progressing from Associate Professor to his current rank. He has held leadership roles such as Dean of Faculty and Associate Dean at SKEMA. His research focuses on emerging markets, country risk, extreme risk, and banking industry dynamics. Key contributions include work on bank output measurement, liquidity analysis, and tail risk modeling. He has authored influential books like Country Risk Assessment: A Guide to Global Investment Strategy and contributes to peer-reviewed journals in finance and economics. His interdisciplinary approach bridges financial theory with practical policy implications, particularly in crisis management and regulatory frameworks.
Educational Background: Dr. Groslambert holds a Doctorat in Economics from Aix-Marseille Université (1998) and advanced degrees in International Economics and Finance (1991) and Management-Finance (1990). Professional Experience: Prior to academia, he worked as a financial controller at Total SA in Senegal and as a portfolio manager at FP Consult, focusing on Latin American and African stock markets. Academic Leadership: He has organized transdisciplinary workshops on extreme risk modeling and serves on editorial boards such as McGraw-Hill's. Media Engagement: His analyses on economic crises and European policy are published in Libération, Mediapart, and Les Echos.




