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Department
Strategy Department -
Languages
English, French, German, Spanish -
Teaching specialisations
Principles of Economics, Contemporary Economic Debates, Financial Risk Management , Quantitative Techniques Applied to Management/Economic Sciences -
Areas of research
Economic Policy of Rating Agencies, Impact of Monetary Policy and Financial Regulation on the Functioning of the Economy, Ethics of Financial Practices, History of Austrian Economic Thought -
Campus
La Rochelle
Biography
A native of Austria, Dr Amadeus Gabriel is Associate Professor and the Assistant Director of Research at Excelia Business School, which he joined in 2013. He obtained his Master of Research in Economic Sciences at the Université Catholique de Louvain-La-Neuve in 2010, and three years later, he defended his doctoral thesis entitled ‘The Economics of Credit Rating Agencies’ at the University of Nantes Angers Le Mans and at the University of Rey Juan Carlos (Madrid, Spain).
Dr Amadeus Gabriel was a Temporary Teaching and Research Fellow in Economics at the University of La Rochelle from 2012 to 2013. His research work focusses, in particular, on the impact of financial regulation and monetary policy on the functioning of financial markets and their institutions, including rating agencies. He is the author of several articles published in international academic journals such as the Journal of Business Ethics (CNRS 2), the Journal of Economic Issues (CNRS 3) and the History of Political Economy (CNRS 1).
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Department
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2013
Doctorate in Economics (University of Angers et University Rey Juan Carlos Madrid), Universidad Rey Juan Carlos, Spain
2010
Master of Research in Economics, Université Catholique de Louvain-La-Neuve, Belgium
2008
Bachelor in Economics and Business Administration, Université d'Angers, France
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2020
Deputy Director of Research, Excelia, La Rochelle, France
2015
Research Active Faculty - Associate Professor, Excelia, La Rochelle, France
2013-2015
Research Active Faculty - Assistant Professor, Excelia, La Rochelle, France
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Journal articles
GABRIEL, A., MESSAOUD CHIBANE, M., GIMÉNEZ ROCHE, G. (2024). The impact of bank money on stock market integration: evidence from the Eurozone. The European Journal of Finance. doi:https://doi.org/10.1080/1351847X.2024.2355104.GABRIEL, A., GIMÉNEZ ROCHE, G., DE LA HORRA, L. P., PEROTE PEÑA, J. (2024). Quantitative easing and correlation dynamics in the aftermath of the Great Recession: A dynamic conditional correlation with exogenous variables approach. Bulletin of Economic Research.GABRIEL, A. (2023). The distorted entrepreneurial decision-making of zombie firms. Managerial and Decision Economics. doi:https://onlinelibrary.wiley.com/doi/10.1002/mde.4065.CHIBANE, M., GABRIEL, A., GIMÉNEZ ROCHE, G. (2022). Credit booms and crisis-emergent asset comovement: The problem of latent correlation. Quarterly Review of Economics and Finance.GABRIEL, A., P.BAGUS, D.HOWDEN, "On the Necessary and Sufficient Conditions for Legitimate Banking Contracts", Journal of Business Ethics, February 2018, vol. 147, no. 3GABRIEL, A., D.HOWDEN, P.BAGUS, "The Hubris of Hybrids", Journal of Business Ethics, October 2017, vol. 145, no. 2, pp. 373-382GABRIEL, A., P.BAGUS, D.HOWDEN, "Reassessing the Ethicality of Some Common Financial Practices", Journal of Business Ethics, July 2016, vol. 136, no. 3, pp. 471-480GABRIEL, A., P.BAGUS, D.HOWDEN, E.CARRASCO BANUELOS, "Mises and Montaigne: A Comment", History of Political Economy, December 2016, vol. 48, no. 4, pp. 733-740GABRIEL, A., D.HOWDEN, "The Interest Rate Brake on Maturity Transformation", Journal of Economic Issues, 2015GABRIEL, A., BAGUS, P., HOWDEN, D. (2014). Oil and water do not mix, or : aliud est credere, aliud deponere. Journal of Business Ethics, 119.GABRIEL, A., P.BAGUS, D.HOWDEN, "Causes and Consequences of Inflation", Business & Society, December 2014, vol. 119, no. 4, pp. 497-517Chapters
GABRIEL, A., "Fiat Money and Government Deficits" in The Next Generation of Austrian Economics., Ed., Ludwig von Mises Institute, 2015GABRIEL, A., "Why was the Reception of the First Edition of Mises’s Theory of Money and Credit so Lukewarm?", Hülsmann J-G. Ed., Ludwig von Mises Institute, 2014 -
Proceedings from scholarly meetings
GABRIEL, A. (2014). Dubious Financial Practices? Callable Loans, Perpetual Bonds, Insurance Policies and Securities Lending. International Symposium on Ethics, Business and Society (n°18). Actes.Papers presented at academic or professional meetings
GABRIEL, A. (2023). The distorted entrepreneurial decision-making of zombie firms. 7th ANNUAL MADRID CONFERENCE ON AUSTRIAN ECONOMICS.GABRIEL, A. (2023). A routine-based approach to Entrepreneurship. 9th Austrian Research Seminar.GABRIEL, A. (2021). : How Does Monetary Policy Affect Asset Correlations? A Dynamic Conditional Correlation Approach. World Finance Conference.GABRIEL, A. (2020). Kornai and the Austrians. History of Economics Society.GABRIEL, A. (2019). Inclusive monetary policy for a more inclusive society.GABRIEL, A., "Kornai and the Austrians" in The Importance of Kornai’s Research Today, 2018, Corvinus University of BudapestGABRIEL, A., "The Dilemma of Central Bank Independence" in WINIR 2017 , 2017, UtrechtGABRIEL, A., "Central Bank Independence" in Austrian Research Seminar , 2017, ParisGABRIEL, A., "Deregulation and the Banking Sector" in Austrian Research Seminar, 2016, ParisGABRIEL, A., ""On the Impossibility of Deregulation to Explain the Growth of the Financial Sector"" in EAEPE Annual Conference, 2015, Gênes, ItalyGABRIEL, A., " On the origins and evolution of credit rating agencies" in First WINIR Conference, 2014, University of Greenwich, LondonGABRIEL, A. (2013). Growth of Financial Sector: Dynamics of Financial Regulation and Monetary Policy. Séminaire de recherche à l'Université d'Angers.GABRIEL, A. (2013). A Reform Proposal for the Credit Rating Industry. Séminaire de recherche à l'ESCP Europe.