Dr. Hoang (Hillard) Thi Hong Van
|Teaching department||Finance, Control and Law|
Dr. Thi Hong Van HOANG is Associate Professor and Chairholder of the "Social & Sustainable Finance" chair at Montpellier Business School (France). She is also responsible for the "Sustainable Finance" specialization in the last year of the Master program. She obtained her Habilitation to supervise research (HDR) in 2021 at the University of Montpellier (France) and her Ph.D. in Management Sciences in December 2010 at the University of Orléans (France). Her teaching and research topics deal with sustainable finance, financial markets, corporate finance, and environmental economics. Her research has been published in journals such as The Energy Journal, Economic History Review, Accounting and Finance, International Review of Financial Analysis, Small Business Economics, Energy Economics, Economic Modelling, and Business Strategy and the Environment.
Baumöhl E., Bouri E., Hoang T., Shahzad S.J.H. & Vyrost T. 2022. Measuring systemic risk in the global banking sector: a cross-quantilogram network approach. Economic Modelling, 109: 105775.
Hoang T. & Leligois B. 2021. Fair play finance: online digital game to review corporate and market finance. Centrale des Cas et des Médias Pédagogiques de Paris (CCMP). [https://www.ccmp.fr/collection-ccmp/cas-fair-play-finance-on-line-digital-game-to-review-corporate-market-finance]
Hoang T. & Syed Q. 2021. Investor sentiment and volatility prediction of currencies and commodities during the Covid-19 pandemic. Asian Economics Letters. [https://doi.org/10.46557/001c.18642]
Hoang T., Przychodzen J., Przychodzen W. & Segbotangni E. 2021. Environmental transparency and performance: Does the corporate governance matter? Environmental and Sustainability Indicators, 10, 101123. [https://doi.org/10.1016/j.indic.2021.100123]
Shahzad S.J.H., Hoang T. & Bouri E. 2022. From pandemic to systemic risk: Contagion in the U.S. tourism sector. Current Issues in Tourism, 25(1): 34-40.
Pho K.H., Ly S., Lu R., Hoang T. & Wong W.K. 2021. Is Bitcoin a better diversifier than gold? A copula and risk analysis for China. International Review of Financial Analysis, 74: 101674.
Borgards O., Czudaj R.L. & Hoang T. 2021. Price overreactions in the commodity futures’ market: An intraday analysis of the Covid-19’s impact. Resources Policy, 71: 101966. [https://doi.org/10.1016/j.resourpol.2020.101966]
Boysselle J., Granata J., Pourreau C., Hoang V., Cozarenco A., Delis M., Hollebeek L., Dumazer C., Meyer M., Marais M. & Etchanchu H. 2020. Conséquence de la crise du COVID. Comment gérer le changement avec efficacité et bienveillance. Livre Blanc, Montpellier Business School. Publishing Education.
Hanif W., Arreola-Hernandez J., Shahzad S.J.H., Hoang T. & Yoon S.M. 2020. Regional and copula estimation effects on EU and US energy equity portfolios. Applied Economics, 52(49): 5311-5342. [https://doi.org/10.1080/00036846.2020.1763244]
 From 2023: Compliance and preparation for CFA ESG Investing and AMF Sustainable Finance certificates, MSc program in Sustainable & Inclusive Finance, Montpellier Business School, together with Olivia BLANCHARD, an expert in compliance. (In English)
 From 2022: Research perspectives in finance, Doctorate in Business Administration, DBA program, Montpellier Business School. (In English)
 From 2022: Preparation to the CFA ESG Investing certificate, Master 2, Montpellier Business School.
 From 2022: Sustainable Finance with Bloomberg, Master 1, Montpellier Business School. (In French and in English)
 From 2022: Applied Finance with Python, Master 1, Montpellier Business School. (In French and in English)
 From 2021: Gestion ISR et programmation Python, “Green Finance” specialization, University of Montpellier. (In French)
 From 2021: ESG and financial analysis, MSc “Responsible Finance”, Montpellier Business School.
 2020-2021: Corporate and market finance, Master 1, Montpellier Business School.
 2020-2021: Applied finance with Bloomberg, Master 1, Montpellier Business School.
 2020: Serious game: Managing an investment fund, Master 1, Montpellier Business School (together with Jean-Baptiste MONTIEL, Responsable Administration Référentiels Tiers, Data Steward, Groupe Caisse des Dépôts, France).
 2017-2019: Financial Markets, Master 1, Montpellier Business School. (Recognized as a Bloomberg Experimental Learning Partner in 2018).
 2010-2016: Financial Management, Master 1, Montpellier Business School.
 2007-2010: Financial Markets and Products, Bachelor, University Institute of Technology, University of Orléans.
 2007-2010: Financial Decisions and Politics, Master, University of Orléans.
 2008-2010: Applied Mathematics in Management, Master, University of Orléans.
 2009-2010: Introduction to Accounting, Bachelor, University Institute of Technology, University of Orléans.
 2009-2010: Accounting Operations, Bachelor, University Institute of Technology, University of Orléans.
 2007-2009: Financial Markets and International Finance, Master, University of Orléans.
 Video to define sustainable finance on FNEGE media, February 2022. [https://fnege-medias.fr/fnege-video/quest-ce-que-la-finance-durable/]
 Video to define sustainable finance for the Social & Sustainable Finance chair of Montpellier Business School, October 2021. [https://www.youtube.com/watch?v=PxHx28ajrYY].
 Video interview with “Bouge ta finance” on sustainable finance and ESG data in September 2021. [https://www.linkedin.com/posts/bouge-ta-finance_business-instagram-financement-activity-6836915938479239168-yMvQ].
 Monitoring a round table organized by “La Mêlée” on 15 April 2021 on “Financer son entreprise : Elles l’ont fait!”. Link.
 Contributor to an article from IR Magazine: “Research roundup: Communicating in times of Covid-19”. Link.
 Contributor to an article from Diplomeo: « Travailler en banque : tout savoir sur les métiers de la finance ». Link.
 Interview with DogFinance. Published on 11/01/2021. Link.
 Hoang T. 2020. Performance financière : Être vert est-il payant en temps de crise ? The Conversation France, Published on 05/11/2020. Link.
- Special issue in Journal of Risk and Financial Management on “Advances in Sustainable Finance”. Deadline: 31/12/2021.[https://www.mdpi.com/journal/jrfm/special_issues/Advances_Sustainable_Finance]
- Special issue on “Entrepreneurship in the Wine Sector” coedited with Kyuho Lee (School of Business & Economics, Sonoma State University, CA, USA), 2020, Volume 41, n° 3. [Link: https://www.inderscience.com/info/inarticletoc.php?jcode=ijesb&year=2020&vol=41&issue=3]
- Special issue on “Wine Businesses” coedited with Beysül Aytaç and Cyrille Mandou (Montpellier Business School, Montpellier, France), published in 2017, volume 32, n° 1/2, [Link: https://www.inderscience.com/info/inarticletoc.php?jcode=ijesb&year=2017&vol=32&issue=1/2]
Training on “Fresque du climat”, July 2021 (3 hours).
Training on “Fresque de la biodiversité », November 2021 (3 hours).
Training on « Campus de la Transition », 21-22 October and 25-26 November 2021 (4 days).
Certificate “Introduction to SASB-FSA”, Udemy online course with Education 4 Sustainability, September 2021.
Training course on “ESG risk assessment for lenders & asset managers” by Moody’s, March 2021.
Udemy certificate on "ESG and Sustainable Investing 101", July 2020.
Udemy certiciate on "Python for Finance: Investment fundamentals & Data Analytics", July 2020.
Training session by Novethic on "Maîtriser les concepts de la taxonomie européenne", 24 September 2020.
Certificate on “Big Data, methods and practical solutions for data analysis”, Orsys training program in June 2020. (In French)
Bloomberg user with the Bloomberg Markets Concept BMC certificate obtained in March 2018
Obtention of the certificates of “Around the Fintech in 8 hours”, "AI in Finance" and "Extrapreneurship Onfido" with the Centre for Finance, Technology and Entrepreneurship (CFTE, London) in April 2018, in July 2019, and in January 2020.