MS1 en-us
MS2 Professor (m)
MS3 Professor (m)
MS4 Professor
MS2 Professor (m)
MS3 Professor (m)
MS4 Professor
Iwan Meier
Professor, Department of Finance

Contact information
HEC Montréal3000, chemin de la Côte-Sainte-Catherine
Montréal (Québec)
Canada H3T 2A7
Email : iwan.meier@hec.ca
Phone : 514 340-3198
Secretary: 514 340-6823
Fax : 514 340-5632
Office : 4.226
Other title(s)
- Holder of the Chair in Sustainable Finance
Education
- Ph. D. (sc. écon.), Université de Berne
Expertise
- Sustainable finance
- Performance evaluation of mutual funds and hedge funds
- Investment and financing decisions of firms
This publication selection covers the last five years.
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Journal articles (4)
DROBETZ, Wolfgang, JANZEN, Malte, MEIER, Iwan;
« Investment and financing decisions of private and public firms »,
Journal of Business Finance & Accounting, vol. 46, no 1-2, 2019, p. 225-262.
DORING, Simon, DROBETZ, Wolfgang, JANZEN, Malte, MEIER, Iwan;
« Global cash flow sensitivities »,
Finance Research Letters, vol. 25, 2018, p. 16-22.
DROBETZ, Wolfgang, HALLER, Rebekka, MEIER, Iwan, TARHAN, Vefa;
« The impact of liquidity crises on cash flow sensitivities »,
The Quarterly Review of Economics and Finance, vol. 66, 2017, p. 225-239.
JAGANNATHAN, Ravi, LIBERTI, Jose Maria, LIU, Binying, MEIER, Iwan;
« A Firm’s Cost of Capital »,
Annual Review of Financial Economics, vol. 9, 2017, p. 259-282.
This selection of supervision activities covers the last five years.
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Master's thesis direction – MSc in Management (4)
Données ESG et implications pour un portefeuille d'actions, by Alexis Tanguay
March 2023
March 2023
How do the Characteristics of Self-Declared ESG Mutual Funds Compare to Conventional Mutual Funds?, by Agatha Iacono
March 2023
March 2023
In codirection with : GRÉGOIRE, Vincent
Media Attention on Climate Change and the Performance of US Firms, by Vincent Boucher
May 2022
Media Attention on Climate Change and the Performance of US Firms, by Vincent Boucher
May 2022
Alpha de fonds ou alpha de manager?, by Benjamin Akpa
September 2018
September 2018
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Supervised project supervision – MSc in Management (8)
Impact of integration of ESG factors on the performance of pension plan portfolio , by Heejung Jung
March 2023
March 2023
La performance et les caractéristiques de l'univers ESG américain , by Charles-Antoine Levesque
March 2022
March 2022
Mandat de recherche et développement d'outils d'analyse de la performance de portefeuilles , by Jean-Philippe Morin
March 2019
March 2019
Return-Based Factor Analysis of a Portfolio of Hedge Funds , by Irina Prokopyeva
November 2018
November 2018
Utilisation des primes de risques dans la construction de portefeuille de fonds de couvertures , by Mohamed-Salmane Trad
November 2018
November 2018
Décomposition et diversification des rendements des fonds de placement privé , by Andrew Doucet-McDonald
September 2018
September 2018
Impact de l'allocation sectorielle et géographique dans le contexte d'un retournement de marché et d'un portefeuille de placements privés , by Vincent Stabili
May 2018
May 2018
Puissance statistique des tests de la théorie hiérarchique , by Jeanne Vachon-Bilodeau
January 2018
January 2018
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Integrative project supervision – Master's (3)
Nouveau Monde Graphite : Financement durable d'une usine de transformation de matériel de batteries , by Christina Gamache
March 2023
March 2023
La démarche RSE et le reporting extra-financier au sein d'une institution bancaire calédonienne. Étude de cas de la Banque Calédonienne d'Investissement. , by Ingrid Céline Lua Welschinger
August 2022
August 2022
Création d'un outil de risque de transition à une économie sobre , by Dania Simon-Mayer
September 2021
September 2021
Fall 2023
FINA 50200A
Summer 2023
FINA 50205A
Winter 2023
FINA 50204A
FINA 60215A
Fall 2022
FINA 50200A
Summer 2022
FINA 50205A
Winter 2022
FINA 50204
FINA 50204A
FINA 60215A
Fall 2021
FINA 50200
FINA 50200A