Sandrine JACOB LEAL. Tel. : +33 (0) Professional Experience

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Sandrine JACOB LEAL Current position: Associate Professor ICN Business School Department of Finance, Accounting, Audit and Control Nancy (France) Contact details: ICN Business School ICN Business School Campus Artem 86 Rue du Sergent Blandan CS 70148 54003 NANCY CEDEX Email: sandrine.jacob-leal@icn-artem.com Tel. : +33 (0)3.54.50.26.07 Professional Experience Since Jan. 2016 Department Head of Finance, Accounting, Audit and Control at ICN Business School (France). Sept. 2011- Jan. 2016 Assistant Professor in Finance at ICN Business School (France). Education 2010 Ph.D. in Economics, University of Siena (Italy). Thesis: Three Essays on Agents Heterogeneity in Financial Markets. Supervisor: Prof. Roberto Renò 2004-2005 Master of Science in Economics, University of Siena (Italy). 2002-2003 Master of Science in Industrial Organization and Economic Dynamics, University of Nice-Sophia Antipolis (France). 2001-2002 Master in Economics, University of Nice-Sophia Antipolis (France). Research Current affiliations: Research fellow at CEREFIGE (Université de Lorraine), research axe in Finance, Accounting and Control. Research interests Financial Economics, Agent-based Finance, Asset Pricing Theory, Experimental Finance, Behavioral Finance.

Publications Jacob Leal, S., & Napoletano, M. (2017). Market stability vs. market resilience: Regulatory policies experiments in an agent-based model with low-and high-frequency trading. Journal of Economic Behavior & Organization, https://doi.org/10.1016/j.jebo.2017.04.013. Jacob Leal S., Napoletano M., Roventini A., & Fagiolo, G. (2016). Rock around the clock: An agent-based model of low-and high-frequency trading, Journal of Evolutionary Economics, vol. 26, n 1, p. 49-76, DOI: 10.1007/s00191-015-0418-4. Jacob Leal S. (2015) Fundamentalists, Chartists and Asset Pricing Anomalies, Quantitative Finance, vol. 15, n 11, p.1837-1850, http://dx.doi.org/10.1080/14697688.2014.972434. Jacob Leal S. (2013) Momentum Effect in Individual Stocks and Heterogeneous Beliefs among Fundamentalists, Economics Bulletin, vol. 33, n 4, p.3102-3116. Other works Jacob Leal S., Hanaki N., & Napoletano M., "Market volatility and crashes in experimental financial markets with interactions between human and high-frequency traders", work in progress. Jacob Leal S. (2010) Three Essays on Agents' Heterogeneity in Financial Markets, Doctoral dissertation, University of Siena (Italy). Jacob Leal S. (2010) A Stochastic Model of Price Formation and Predictability of Returns, Proceedings of the 7th International Conference on Applied Financial Economics, pp. 99-107. ISBN: 978-960-466-061-2 Book. Conference talks "Market volatility and crashes in experimental financial markets with interactions between human and high-frequency traders" (with N. Hanaki & M. Napoletano) 23 rd International Conference on Computing in Economics and Finance (CEF), New York City (USA), June 2017. Experimental Finance 2017, Nice (France), June 2017. "Market Stability vs. Market Resilience: Regulatory Policies Experiments in an Agent-Based Model with Low- and High-Frequency Trading" (with M. Napoletano) 22 nd International Conference on Computing in Economics and Finance (CEF), Bordeaux (France), June 2016. 4 th International Symposium in Computational Economics and Finance (ISCEF), Paris (France), April 2016.

2015 Paris Financial Management Conference (PFMC), Paris (France), December 2015. 5 th International Conference of the Financial Engineering and Banking Society (FEBS), Nantes (France), June 2015. 20 th Annual Workshop on Economic Science with Heterogeneous Interacting Agents (WEHIA), Sophia Antipolis (France), May 2015. Rock around the clock: An Agent-based model of Low- and High-frequency trading (with M. Napoletano, A. Roventini, G. Fagiolo) 20 th International Conference on Computing in Economics and Finance (CEF), Oslo (Norway), June 2014. 31 st Symposium on Money, Banking and Finance (GdRE), Lyon (France), June 2014. 31 st Spring International Conference of the French Finance Association (AFFI), Aix-en-Provence (France), May 2014. 3 rd International Symposium in Computational Economics and Finance (ISCEF), Paris (France), April 2014. 19 th International Conference on Computing in Economics and Finance (CEF), Vancouver (Canada), July 2013. 18 th Annual Workshop on Economic Science with Heterogeneous Interacting Agents (WEHIA), Reykjavik (Islande), June 2013. 8 th European Meeting on Applied Evolutionary Economics (EMAEE), Sophia-Antipolis (France), June 2013. Workshop on Heterogeneity and Networks in (Financial) Markets, Marseille (France), March 2013. Momentum Effect in Individual Stocks and Heterogeneous Beliefs among Fundamentalists 61 st Congress of AFSE, Paris (France), July 2012. 17 th Annual Workshop on Economic Heterogeneous Interacting Agents ESHIA/WEHIA, Paris (France), June 2012. Fundamentalists, Chartists and Asset Pricing Anomalies 18 th International Conference Computing in Economics and Finance (CEF2012), Prague (Czech Republic), June 2012. 15 th SGF Conference 2012, Zurich (Switzerland), March 2012. 5 th CSDA International Conference on Computational and Financial Econometrics (CFE 11), London (UK), December 2011. 16 th Annual Workshop on Economic Science with Heterogeneous Interacting Agents

ESHIA/WEHIA, Ancona (Italy), June 2011. Quantitative Behavioral Finance Workshop (CIF), Nice (France), December 2010. Grants and Funding 2016-2019 Participant to ANR ORA-Plus project: Behavioral and Experimental Analyses on Macro-finance (BEAM). PI: Nobuyuki Hanaki, Professor at University of Nice, Sophia-Antipolis and GREDEG. 2015-2018 Participant to H2020 European research project: Distributed Global Financial Systems for Society (DOLFINS). PI: Stefano Battiston, Professor at the Department of Banking and Finance of the University of Zurich (Switzerland). 2014-2016 Participant to a regional research project, Programme régional blanc (région Lorraine) Mutations des organisations et des instruments de gestion de la performance et du risque. PI: Jean-Noël Ory, Professor of Management at Université de Lorraine ESM/IAE in Metz (France). 2012-2014 Two-year grant «Le rôle du trading haute fréquence dans l'émergence des krachs éclairs», Conseil régional de Lorraine (France). 2004-2008 Four-year doctoral grant for the Ph.D. in Economics, University of Siena (Italy). Teaching Experience Master - Financial Management, ICN Master in Management, 2 nd year (in English), ICN Business School, Nancy (France), since Sept. 2011. - International Finance, MSc in International Business Development, 1 st and 2 nd year (in English), ICN Business School, Nancy (France), since Sept. 2011. - Régulation et Déontologie du Système Financier, ICN Master in Management, 3 rd year, ICN Business School, Nancy (France), 2011-2014. - Economie Bancaire et du Financement, Teaching assistant, Master in Economics and Management, 1 st year, University of Nice-Sophia Antipolis (France), 2003-2004. Bachelor Corporate Finance - ICN Bachelor, 3 rd year (in English), ICN Business School, Nancy (France), since Sept. 2011. - Teaching assistant (in English), Bachelor in Economics and Management Science, School of Economics and Management, Free University of Bozen, Bozen (Italy), 2007-2008.

Microéconomie - Teaching assistant, Bachelor in Economics, University of Nice-Sophia Antipolis (France), 2003-2004. - Teaching assistant, Master in Economics, CERAM (currently SKEMA) Business School, Valbonne (France), 2003-2004. Macroéconomie, Teaching assistant, Bachelor in Economics, University of Nice-Sophia Antipolis (France), 2003-2004. International Baccalaureat Economics/IB Economics, International Baccalaureat teacher (in English), International School of Nice, Nice (France), 2008-2011. Scientific and Teaching Responsibilities Deputy head of the research axe in Finance, Accounting and Control at CEREFIGE since 2013. Reviewer for Journal of Economic Dynamics and Control, Journal of Evolutionary Economics, Applied Economics, Computational Economics, Revue Economique, Journal of Economic Interaction and Coordination, Journal of Artificial Societies and Social Simulation, WEHIA 2015, SGF Conference 2013. Teaching responsibilities: in charge of the selection of courses contents, the organization (lectures/interactive tutorials), the students evaluation methods, the selection and the coordination of professors and teaching assistants of the following courses: Master: Politique Financière/Financial Management since 2011 International Finance since 2011 Régulation et Déontologie du Système Financier 2011-2013 Research Methodology e-learning (co-leader with E. Paulet) since 2016 Bachelor : Corporate Finance (since 2011). International Baccalaureat : Economics/IB Economics (2008-2011). Master thesis supervision, Master in Management, 3 rd year, ICN Business School (since 2011).

Internship supervision, Master in Management, 1 st and 2 nd year (less-than-3-month internship), ICN Business School and 3 rd year (more-than-10-month internship), ICN Business School (since 2011). Tutoring to Bachelor students (from 2 nd to 3 rd years) and Master students (from 2 nd to 3 rd years) about specialization choices (since 2011). Other Skills Computer skills Programming Languages: Java, Matlab, LAT E X. Computer programme/software: Mathematica/ Stata. Languages (fluent): French (native), English, Italian, Portuguese.