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Borel
Ahonon

Assistant Professor

Department of Finance, Insurance and Real Estate
FSA ULaval
Pavillon Palasis-Prince
Local 3604

Fields of Interest and Research

  • Financial economics
  • Financial management
  • Macroeconomics (including monetary and fiscal theory)
  • International economics and international finance
  • Econometrics

Teaching Areas

  • Portfolio Management
  • Financial Econometrics

Education

  • Doctorate in Finance (Ph. D.), McGill University (en cours)
  • Master's in Strategic Management, IESE Business School
  • Master in Finance (M. Sc.), Emlyon Business School
  • Statistical Engineer and Economist, École nationale supérieure de statistique et d'économie appliquée (ENSEA)
  • Bachelor's Degree in Statistics (B. Sc.), École Nationale d'Économie Appliquée et de Management

Publications

Communications in a Conference Without Proceedings

  • Ahonon, B., & Roussellet, G. (2026). When long-run trends are unknown: Bond pricing implications. International Association for Applied Econometrics (IAAE) Annual Conference 2026, Lisbonne, Portugal.
  • Ahonon, B., & Roussellet, G. (2026). When long-run trends are unknown: Bond pricing implications. 2026 North American Summer Meeting of the Econometric Society, Atlanta, United States of America.
  • Ahonon, B., & Roussellet, G. (2026). When long-run trends are unknown: Bond pricing implications. 2026 Quantitative Finance and Financial Econometrics (QFFE) International Conference, Marseille, France.
  • Ahonon, B., & Roussellet, G. (2026). When long-run trends are unknown: Bond pricing implications. Séminaire de recherche à la Smith School of Business de Queen's University, Kingston, Canada.
  • Ahonon, B. (2026). Sovereign credit risk and the tale of two inflations. Séminaire de recherche à la FSA de l’Université Laval, Québec, Canada.
  • Ahonon, B. (2025). Sovereign credit risk and the tale of two inflations. Séminaire de recherche à la Faculté de Management Desautels de l’Université McGill, Montréal, Canada.
  • Ahonon, B. (2025). Sovereign credit risk and the tale of two inflations. 12th Montreal Business School Joint-PhD Symposium, Montréal, Canada.
  • Ahonon, B. (2025). A macrofinance perspective on the twin Ds -default and depreciation risks. 66th Annual Southern Finance Association Meeting, Orlando, United States of America.
  • Ahonon, B., & Roussellet, G. (2025). When long-run trends are unknown: Bond pricing implications. Séminaire de recherche à l’Université du Luxembourg, Luxembourg, Luxembourg.
  • Ahonon, B. (2025). A macrofinance perspective on the twin Ds-default and depreciation risks. 2025 European Financial Management Association (EFMA) Annual Meeting, Athènes, Greece.
  • Ahonon, B. (2025). A macrofinance perspective on the twin Ds-default and depreciation risks. 59e Assemblée annuelle de l'Association canadienne d'économie, Montréal, Canada.
  • Ahonon, B. (2024). A macrofinance perspective on the twin Ds-default and depreciation risks. 19th CIREQ PhD Students' Conference, Montréal, Canada.
  • Ahonon, B., & Roussellet, G. (2024). When long-run trends are unknown: Bond pricing implications. Séminaire de recherche à la Federal Reserve Bank of New York, New York, United States of America.
  • Ahonon, B., & Roussellet, G. (2024). When long-run trends are unknown: Bond pricing implications. 63e congrès annuel de la Société canadienne de science économique (SCSE), Montréal, Canada.
  • Ahonon, B., & Roussellet, G. (2024). When long-run trends are unknown: Bond pricing implications. 2024 Fed Conference on Fixed Income Markets and Inflation, Chicago, United States of America.
  • Ahonon, B., & Roussellet, G. (2024). When long-run trends are unknown: Bond pricing implications. Séminaire de recherche à la Faculté de Management Desautels de l’Université McGill, Montréal, Canada.

Working Papers

  • Ahonon, B., & Roussellet, G. (2026). When long-run trends are unknown: Bond pricing implications. Federal Reserve Bank of New York Staff Reports, no. 1187, March, https://doi.org/10.59576/sr.1187.

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