Thibeault André
Function: Full Professor
Contact: andre.thibeault@vlerick.be
Vitae
André Thibeault received his PhD in Business Administration at the University of Western Ontario (Canada) in 1984. Presently, he is professor of finance and risk management at the Vlerick Leuven Gent Management School. He combines several additional academic and consultant positions in Europe, in Canada and in China, including teaching & development assignments with the Institute of Canadian Bankers. The scientific publications of André Thibeault cover the fields of corporate finance, international capital markets and the management of financial institutions. Furthermore, he focuses on securitisation, credit risk management and the development of simulations in the field of insurance and financial conglomerates.
Research interests
- Strategy
- Strategic management for financial services firms
Publications
- Articles
- Vink D. Thibeault A. forthcoming. An empirical analysis of asset-backed securitization. Financial Markets and Portfolio management.
- Rikkers F. Thibeault A. 2009. A structural form default prediction model for SMEs. Evidence from the Dutch market. Multinational Finance Journal. 13 (1/2) : 229 -264.
- Rikkers F. Thibeault A. 2009. Rating SMEs. The Financial Executive Quarterly. (45) : 13 -18.
- Thibeault A. 2009. Systemic Risk or Not?. The Financial Executive Quarterly. (47)
- Van Laere E. Baesens B. Thibeault A. 2008. Bank capital: a myth resolved. Bank- en Financiewezen. (1)
- Vink D. Thibeault A. 2008. Securitisatie: een vergelijkende empirische analyse tussen hoofd-categorieën ABS, MBS and CDO. Kwartaalschrift Economie. 5 (Dec.) : 415 -446.
- Vink D. Thibeault A. 2008. ABS, MBS and CDO pricing comparisons: an empirical analysis. Journal of Structured Finance. 14 (2) : 27 -45.
- Dorsman A.B. Haanappel H. Thibeault A. 2005. Activa securitisatie en de waardeoverdracht van vreemd vermogen naar eigen vermogen. Accounting. 109 (4) : 20 -28.
- Browaeys M.J. Thibeault A. 2004. Developing an e-learning course for Executive Education: an example. Financieel Economisch Magazine Nyenrode. 7 (1)
- Nathan A. Thibeault A. 2004. La simulation: une approche efficace à l'enseignement de la gestion des institutions financiers. La revue francophone de gestion. (mars)
- Thibeault A. 2004. Basel II. Newsletter. (Oct.) The Institute of Canadian Bankers.
- Nathan A. Thibeault A. 2003. An illustration in the teaching of financial and risk management in commercial banks. Financieel Economisch Magazine Nyenrode. 6 (3)
- Tang J. Thibeault A. 2002. A preliminary financial analysis of the four traded chinese banks. China Europe International business school.
- Thibeault A. 2002. Credit risk management: from individual risks to portfolio risk. Fiducie. (Spring) The University of Amsterdam.
- Thibeault A. 2001. Financial Risk management. Fiduciair. Universiteit Nyenrode.
- Buist G. Dorsman A.B. Thibeault A. 1998. Securitisatie in Nederland. TBA. (March)
- Buist G. Dorsman A.B. Thibeault A. 1998. Securitisatie bij het Nederlandse bankwezen. VBA Journal. (Dec)
- Thibeault A. 1998. Credit risk management: from individual risks to portfolio risk. PECUNIA Magazine. (Summer) Erasmus Universiteit Rotterdam.
- Thibeault A. 1998. Credit Riks Management: Level 1 - Level 2. Revue de la Banque/Bank- en Financiewezen. (Mar/April)
- Thibeault A. 1996. Modelisation of Bank Risk Management. Revue de la Banque/Bank- en Financiewezen. (Jan/Feb)
- Books
- Carchon S. Thibeault A. Vanderhaegen F. 2007. Fortis Business Simulation: Participant Manual. 146 p.
- Thibeault A. 2003. Bank Financial Risk Management: Twelve on-line modules. The Institute of Canadian Bankers.
- Thibeault A. 2003. La gestion des risques financiers dans les banques: six modules intranet. Institut de Formation du Crédit Agricole.
- Thibeault A. Nathan A. Li J. 2002. Insurancemod Participant's manual. The Institute of Canadian Bankers.
- Thibeault A. Nathan A. Li J. 2002. Bankmod Participant's Manual. The Institute of Canadian Bankers.
- Thibeault A. Vermaak Z. Li J. 2000. Interbank Participant's manual. Simulation Architechs International.
- Thibeault A. Annaert J. 1997. CREDSIM, Participant Manual. The Belgian Bankers' Association.
- Thibeault A. Préfontaine J. 1993. Introduction to bank financial management. 343 p. The Institute of Canadian Bankers.
- Thibeault A. 1985. Business Finance/Financement des Entreprises. The Institute of Canadian Bankers.
- Working papers
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Vink D.
Thibeault A.
2008. An empirical analysis of asset-backed securitization. (3) : 66 p. Paper accepted for the 11th Conference of the Swiss Society for Financial Market Research (SGF), Zurich (SWX Swiss Exchange), April 11, 2008.
Full text PDF
- Vink D. Thibeault A. 2008. ABS, MBS and CDO compared: an empirical analysis. (4) : 56 p.
-
Rikkers F.
Thibeault A.
2007. The optimal rating philosophy for the rating of SMEs. (10) : 39 p.
Full text PDF
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Van Laere E.
Baesens B.
Thibeault A.
2007. Bank capital: a myth resolved. (35) : 26 p.
Full text PDF
- Walhof P. Dorsman A.B. Thibeault A. 2005. Life insurance securisation in Europe: an overview on the effects of resources and its relation to regulator and IFRS guidelines. (05-05) Nijenrode University.
- Walhof P. Dorsman A.B. Thibeault A. 2005. Life insurance securitisation in Europe: an overview on the effects of alternative capital resources and its relation to regulator and IFRS guidelines. (05-06) Nyenrode Research Group, Nyenrode University, November 2005.
-
Vink D.
Thibeault A.
2008. An empirical analysis of asset-backed securitization. (3) : 66 p. Paper accepted for the 11th Conference of the Swiss Society for Financial Market Research (SGF), Zurich (SWX Swiss Exchange), April 11, 2008.
- Cases
- Gouka P.T. Sprokholt E. Thibeault A. 1996. Rabobank Nederland. Nijenrode University.
- Conference proceedings
- Rikkers F. Thibeault A. 2009. Intangible assets and default prediction of SMEs. Multinational Finance Society Conference, June 28-July1 2009, Crete, Greece, Proceedings.
- Rikkers F. Thibeault A. 2008. The influence of rating philosophy on regulatory and economic capital. The multinational finance society conference, Orlando, USA, July 6-8.
- Rikkers F. Thibeault A. 2008. The influence of rating philosophy on regulatory capital and procyclicality. European Financial Management Association, Annual Meeting, June 24-28, Athens, Greece.
- Vink D. Thibeault A. 2008. An empirical analysis of asset-backed securitization. Standard and Poor's, New-York, USA, June 6.
- Rikkers F. Thibeault A. 2007. The optimal rating philosophy for the rating of SMEs. Paper accepted for the 25th Erasmus Finance Day (EFD), Erasmus University Rotterdam, The Netherlands, May 11, 2007 and for the 14th Annual Conference of the Multinational Finance Society, Thessaloniki, Greece, July 1-4, 2007.
- Rikkers F. Thibeault A. 2007. A structural form default prediction model for SMEs. Paper presented at the 25th Erasmus Finance Day, Rotterdam, The Netherlands, May 11, 2007.
- Rikkers F. Thibeault A. 2006. A structural form PD model for SMEs, evidence from the Dutch market. The Multinational Finance Society Conference, Edinburg, Scotland, June 2006.
- Vink D. Thibeault A. 2006. Comparison of asset securization issues originated in emerging and non-emerging countries. Emerging Markets Finance and Economics Conference (EMFE), Istanbul, Turkey, September 2006.
- Walhof P. Dorsman A.B. Thibeault A. 2005. Life insurance securisation in Europe: an overview of the effects of alternative capital resources and its relation to regulator and IFRS guidelines. Multinational Finance Conference, Athens, June 2005.
- Walhof P. Dorsman A.B. Thibeault A. 2005. Life insurance securitisation in Europe. ISINI Eight International Conference, Wageningen, The Netherlands, August 2005.
- Bozanic M. Thibeault A. Verweire K. 2004. Market vs Acccounting based performance measurement in the European Financial services industry (1998-2003). SUERF 25th Colloquium, IESE Business School, University of Navara, Madrid, Spain, October 2004
- Dorsman A.B. Haanappel H. Thibeault A. 2004. Asset securization, Wealth transfer and default probabilities. Multinational Finance Conference, Cyprus, June 2004.
- Nathan A. Thibeault A. 2002. La Simulation: une approche efficace a l'enseignement de la gestion des institutions financiers. Colloque internationale sur les innovations pedagogiques et la formation en gestion, Montreal, Canada, October 2002.
