OLIVIER DE BANDT : Citation Profile


Are you OLIVIER DE BANDT?

Banque de France

13

H index

16

i10 index

1180

Citations

RESEARCH PRODUCTION:

45

Articles

55

Papers

1

Books

3

Chapters

EDITOR:

1

Books edited

RESEARCH ACTIVITY:

   35 years (1988 - 2023). See details.
   Cites by year: 33
   Journals where OLIVIER DE BANDT has often published
   Relations with other researchers
   Recent citing documents: 51.    Total self citations: 15 (1.26 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/pde429
   Updated: 2023-11-04    RAS profile: 2023-11-01    
   Missing citations? Add them    Incorrect content? Let us know

Relations with other researchers


Works with:

Pouvelle, Cyril (4)

Straughan, Michael (2)

Carluccio, Juan (2)

Authors registered in RePEc who have co-authored more than one work in the last five years with OLIVIER DE BANDT.

Is cited by:

GUPTA, RANGAN (29)

Ben Cheikh, Nidhaleddine (20)

Balcilar, Mehmet (17)

Maudos, Joaquin (12)

Iliopulos, Eleni (12)

Weill, Laurent (11)

Miller, Stephen (11)

Rault, Christophe (10)

SUFIAN, FADZLAN (9)

Delis, Manthos (8)

Garriga, Carlos (8)

Cites to:

Watson, Mark (19)

Bernanke, Ben (18)

Berger, Allen (17)

Stock, James (16)

Marcellino, Massimiliano (15)

Reinhart, Carmen (14)

Smets, Frank (13)

Diamond, Douglas (12)

Georgiadis, Georgios (12)

Calomiris, Charles (12)

Banerjee, Anindya (11)

Main data


Where OLIVIER DE BANDT has published?


Journals with more than one article published# docs
Bulletin de la Banque de France8
Revue d'économie financière5
Revue d'Économie Financière3
Journal of Banking & Finance3
Journal of Financial Stability3
Quarterly selection of articles - Bulletin de la Banque de France3
Economic Modelling2
Économie et Prévision2

Working Papers Series with more than one paper published# docs
Post-Print / HAL5
Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers) / HAL4
EconomiX Working Papers / University of Paris Nanterre, EconomiX4
Working Paper Series / European Central Bank3
Working Papers / HAL3
PSE-Ecole d'économie de Paris (Postprint) / HAL2

Recent works citing OLIVIER DE BANDT (2023 and 2022)


YearTitle of citing document
2023Green portfolio optimization: A scenario analysis and stress testing based novel approach for sustainable investing in the paradigm Indian markets. (2023). Chakrabarty, Siddhartha P ; Raj, Rishabh ; Mishra, Shashwat. In: Papers. RePEc:arx:papers:2305.16712.

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2023The impact of credit substitution between banks on investment. (2023). Bripi, Francesco. In: Temi di discussione (Economic working papers). RePEc:bdi:wptemi:td_1408_23.

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2022An Analysis of Financial Conglomerate Resilience: A Perspective on bancassurance in France. (2022). Pouvelle, Cyril. In: Débats économiques et financiers. RePEc:bfr:decfin:39.

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2023Bank Market Power and Interest Rate Setting: Why Consolidated Banking Data Matte. (2023). Nicolas, Theo. In: Débats économiques et financiers. RePEc:bfr:decfin:40.

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2023COVID?19, ESG investing, and the resilience of more sustainable stocks: Evidence from European firms. (2023). Torluccio, Giuseppe ; Bendinelli, Ennio ; Cardillo, Giovanni. In: Business Strategy and the Environment. RePEc:bla:bstrat:v:32:y:2023:i:1:p:602-623.

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2022Risk pooling and solvency regulation: A policyholders perspective. (2022). Albrecht, Peter ; Huggenberger, Markus. In: Journal of Risk & Insurance. RePEc:bla:jrinsu:v:89:y:2022:i:4:p:907-950.

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2022Forecasting Inflation with a Zero Lower Bound or Negative Interest Rates: Evidence from Point and Density Forecasts. (2022). Caporale, Guglielmo Maria ; Anderl, Christina. In: CESifo Working Paper Series. RePEc:ces:ceswps:_9687.

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2022Assessing the Impact of Basel III: Evidence from Structural Macroeconomic Models. (2022). Straughan, Michael ; Sahuc, Jean-Guillaume ; Röhrs, Sigrid ; Nikolov, Kalin ; Mohimont, Jolan ; Mimir, Yasin ; Scalone, Valerio ; Durdu, Bora ; Ichiue, Hibiki ; de Bandt, Olivier. In: EconomiX Working Papers. RePEc:drm:wpaper:2022-3.

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2023The role of financial stability considerations in monetary policy and the interaction with macroprudential policy in the euro area. (2023). Signoretti, Federico ; Nikolov, Kalin ; Ambrocio, Gene ; Heider, Florian ; Jovanovic, Mario ; Lewis, Vivien ; Miettinen, Pavo ; Policy, Monetary ; Bonatti, Guido ; Prieto, Esteban ; Redak, Vanessa ; Altavilla, Carlo ; Geiger, Felix ; Chalamandaris, Dimitrios ; Fourel, Valere ; Jan, Jansen David ; Kok, Christoffer ; Mazelis, Falk ; Balfoussia, Hiona ; Licak, Marek ; Patriek, Matic ; Pogulis, Armands ; Adolf, Petra ; Garabedian, Garo ; Cassar, Alan ; Weigert, Benjamin ; Fahr, Stephan ; Ioannidis, Michael ; Vlassopoulos, Thomas ; Maddaloni, Angela ; Klein, Melanie ; Papageorghiou, Maria ; Galati, Gabriele ; Fernandez, Luis ; Busch, Ulrike ; Valderrama, Maria ; Bussiere, Mat
2022Asset market linkages in crisis periods. (2001). Straetmans, Stefan ; Hartmann, Philipp ; de Vries, Casper. In: Working Paper Series. RePEc:ecb:ecbwps:20010071.

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2022Monetary policy, macroprudential policy and financial stability. (2022). Mendicino, Caterina ; Maddaloni, Angela ; Laeven, Luc. In: Working Paper Series. RePEc:ecb:ecbwps:20222647.

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2022Did small or large US banks transmit more risk during the Subprime crisis?. (2022). Pino, Gabriel. In: The North American Journal of Economics and Finance. RePEc:eee:ecofin:v:59:y:2022:i:c:s106294082100190x.

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2023Macroprudential regulation and leakage to the shadow banking sector. (2023). Mazelis, Falk ; Gebauer, Stefan. In: European Economic Review. RePEc:eee:eecrev:v:154:y:2023:i:c:s0014292123000338.

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2022Sanctions against Iran, political connections and speed of adjustment. (2022). Mansouri, Kefsan ; Ghaderi, Kaveh ; Aflatooni, Abbas. In: Emerging Markets Review. RePEc:eee:ememar:v:51:y:2022:i:pb:s1566014122000061.

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2022Systemic risk in the Chinese financial system: A panel Granger causality analysis. (2022). Urga, Giovanni ; Cincinelli, Peter ; Pellini, Elisabetta. In: International Review of Financial Analysis. RePEc:eee:finana:v:82:y:2022:i:c:s1057521922001405.

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2023Systemic risks in the cryptocurrency market: Evidence from the FTX collapse. (2023). Matkovskyy, Roman ; Jalan, Akanksha. In: Finance Research Letters. RePEc:eee:finlet:v:53:y:2023:i:c:s1544612323000442.

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2022The contribution of (shadow) banks and real estate to systemic risk in China. (2022). Urga, Giovanni ; Meoli, Michele ; Cincinelli, Peter ; Pellegrini, Carlo Bellavite. In: Journal of Financial Stability. RePEc:eee:finsta:v:60:y:2022:i:c:s1572308922000420.

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2022Systemic risk measures and regulatory challenges. (2022). Brzeszczyski, Janusz ; Sharma, Satish ; Ellis, Scott. In: Journal of Financial Stability. RePEc:eee:finsta:v:61:y:2022:i:c:s1572308921001194.

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2022Firm-level political risk and distance-to-default. (2022). Mollah, Sabur ; Hasan, Shehub Bin ; Alam, Md Samsul ; Islam, Md Shahidul. In: Journal of Financial Stability. RePEc:eee:finsta:v:63:y:2022:i:c:s1572308922001036.

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2022Bank credit risk and macro-prudential policies: Role of counter-cyclical capital buffer. (2022). Sousa, Ricardo ; Mallick, Sushanta K ; Kumar, Abhishek ; Benbouzid, Nadia ; Stojanovic, Aleksandar. In: Journal of Financial Stability. RePEc:eee:finsta:v:63:y:2022:i:c:s157230892200105x.

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2023Bank regulation and market structure. (2023). Weinrich, Gerd ; Nielsen, Carsten Krabbe. In: International Journal of Industrial Organization. RePEc:eee:indorg:v:88:y:2023:i:c:s0167718723000267.

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2022Banking networks, systemic risk, and the credit cycle in emerging markets. (2022). Das, Sanjiv R ; Kalimipalli, Madhu ; Nayak, Subhankar. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:80:y:2022:i:c:s104244312200107x.

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2023Financial connectedness and risk transmission among MENA countries: Evidence from connectedness network and clustering analysis1. (2023). Elsayed, Ahmed ; Balcilar, Mehmet ; Hammoudeh, Shawkat. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:82:y:2023:i:c:s1042443122001287.

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2022Dynamic comovement among banks, systemic risk, and the macroeconomy. (2022). Kishor, N ; Ma, Jun ; Kapinos, Pavel. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:138:y:2022:i:c:s0378426620301606.

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2022The role of shadow banking in systemic risk in the European financial system. (2022). Urga, Giovanni ; Meoli, Michele ; Cincinelli, Peter ; Pellegrini, Carlo Bellavite. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:138:y:2022:i:c:s037842662200022x.

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2022Executive stock options and systemic risk. (2022). Zhou, Frank S ; Nicoletti, Allison ; Armstrong, Christopher. In: Journal of Financial Economics. RePEc:eee:jfinec:v:146:y:2022:i:1:p:256-276.

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2022When banks punch back: Macrofinancial feedback loops in stress tests. (2022). Hoffmaister, Alexander ; Catalan, Mario. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:124:y:2022:i:c:s0261560621002230.

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2023Financial reforms and innovation: A micro–macro perspective. (2023). McAdam, Peter ; Bournakis, Ioannis ; Christopoulos, Dimitris ; Boikos, Spyridon. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:132:y:2023:i:c:s0261560623000219.

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2022The capital ratio and the interest rate spread: A panel threshold regression approach. (2022). Golbabaei, Ali ; Botshekan, Mahmoud. In: The Quarterly Review of Economics and Finance. RePEc:eee:quaeco:v:85:y:2022:i:c:p:289-302.

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2022Bank credit risk and macro-prudential policies: role of counter-cyclical capital buffer. (2022). Sousa, Ricardo ; Mallick, Sushanta K ; Kumar, Abhishek ; Benbouzid, Nadia ; Stojanovic, Aleksandar. In: LSE Research Online Documents on Economics. RePEc:ehl:lserod:117539.

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2022Economic Crisis Impact Assessment and Risk Exposure Evaluation of Selected Energy Sector Companies from Bombay Stock Exchange. (2022). Singh, Guru Ashish ; Bak, Iwona ; Tarczynska-Luniewska, Magorzata. In: Energies. RePEc:gam:jeners:v:15:y:2022:i:22:p:8624-:d:975689.

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2022The Impact of ESG Ratings on the Systemic Risk of European Blue-Chip Firms. (2022). Eratalay, Mustafa ; Cortes, Ariana Paola. In: JRFM. RePEc:gam:jjrfmx:v:15:y:2022:i:4:p:153-:d:781555.

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2022Modeling Spatio-Temporal Divergence in Land Vulnerability to Desertification with Local Regressions. (2022). Lanfredi, Maria ; Simoniello, Tiziana ; Samela, Caterina ; Salvati, Luca ; Egidi, Gianluca ; di Stefano, Valerio ; Coluzzi, Rosa ; Imbrenda, Vito. In: Sustainability. RePEc:gam:jsusta:v:14:y:2022:i:17:p:10906-:d:903476.

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2022The Efficiency of Indonesian Commercial Banks: Does the Banking Industry Competition Matter?. (2022). Raja, Raja Adzrin ; Wasiaturrahma, Wasiaturrahma ; Ajija, Shochrul Rohmatul ; Sari, Sajida. In: Sustainability. RePEc:gam:jsusta:v:14:y:2022:i:17:p:10995-:d:905462.

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2026The Relationship Between the Health Services Price Index and The Real Effective Exchange Rate Index in Turkey: A Frequency Domain Causality Analysis. (2026). Kirca, Mustafa ; Inal, Veysel ; Ozer, Mustafa. In: EKOIST Journal of Econometrics and Statistics. RePEc:ist:ekoist:v:0:y:2022:i:36:p:21-41.

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2022The financial competition, concentration and structure of financial performance nexus in the financial sector of Oman. (2022). ALShubiri, faris. In: Economic Change and Restructuring. RePEc:kap:ecopln:v:55:y:2022:i:2:d:10.1007_s10644-021-09326-8.

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2022Does capital-based regulation affect bank pricing policy?. (2022). Gric, Zuzana ; Hodula, Martin ; Ehrenbergerova, Dominika. In: Journal of Regulatory Economics. RePEc:kap:regeco:v:61:y:2022:i:2:d:10.1007_s11149-022-09448-5.

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2023Drivers of fragility in the ventures of poverty entrepreneurs. (2023). Tucker, Reginald ; Soleimanof, Sohrab ; Morris, Michael H. In: Small Business Economics. RePEc:kap:sbusec:v:61:y:2023:i:1:d:10.1007_s11187-022-00687-6.

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2022THE IMPACT OF ESG RATINGS ON THE SYSTEMIC RISK OF EUROPEAN BLUE-CHIP FIRMS. (2022). Corts, Ariana Paola ; Eratalay, Mustafa Hakan. In: University of Tartu - Faculty of Economics and Business Administration Working Paper Series. RePEc:mtk:febawb:139.

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2022Bank Systemic Risk and Macroprudential Policy. (2022). Serbanescu, Liviu ; Schipor, Georgiana-Loredana. In: Ovidius University Annals, Economic Sciences Series. RePEc:ovi:oviste:v:xxii:y:2022:i:1:p:431-436.

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2022Does board composition and ownership structure affect banks’ systemic risk? European evidence. (2022). Mateus, Cesario ; Garcia-Gomez, Conrado Diego ; Farinha, Jorge Bento ; Diez-Esteban, Jose Maria. In: Journal of Banking Regulation. RePEc:pal:jbkreg:v:23:y:2022:i:2:d:10.1057_s41261-021-00148-2.

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2023Basel IV capital requirements and the performance of commercial banks in Africa. (2023). Muzindutsi, Paul-Francois ; Obalade, Adefemi A ; Oyetade, Damilola. In: Journal of Banking Regulation. RePEc:pal:jbkreg:v:24:y:2023:i:1:d:10.1057_s41261-021-00181-1.

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2022Evolution of the Exchange Rate Pass-Throught into Prices in Peru: An Empirical Application Using TVP-VAR-SV Models. (2022). Roberto, Salcedo Cisnero ; Rodriguez, Gabriel. In: Documentos de Trabajo / Working Papers. RePEc:pcp:pucwps:wp00510.

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2023Assessing the contribution of South African Insurance Firms to Systemic Risk. (2023). Bonga-Bonga, Lumengo ; Manguzvane, Mathias Mandla ; Zulu, Thulani. In: MPRA Paper. RePEc:pra:mprapa:116815.

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2023Analysis on Liquidity Risk Management of Monetary and Financial Services based on the Goal of Financial Stability. (2023). Ji, Meng ; Ma, Xuanling. In: Journal for Economic Forecasting. RePEc:rjr:romjef:v::y:2023:i:2:p:72-91.

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2023Does economic structure matter for income inequality?. (2023). Apergis, Nicholas ; Can, Muhlis ; Doan, Buhari ; Ghosh, Sudeshna ; Shah, Muhammad Ibrahim. In: Quality & Quantity: International Journal of Methodology. RePEc:spr:qualqt:v:57:y:2023:i:3:d:10.1007_s11135-022-01462-1.

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2022Modeling the Dynamics of Retail Lending in Russia: a Relationship with the Dynamics of Household Savings, Incomes, and Expenses. (2022). Pankova, V A. In: Studies on Russian Economic Development. RePEc:spr:sorede:v:33:y:2022:i:6:d:10.1134_s1075700722060090.

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2022Macroeconomic determinants of credit risk: Evidence from the Eurozone. (2022). Primor, Rodrigo ; Curto, Jose D ; Carvalho, Paulo V. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:27:y:2022:i:2:p:2054-2072.

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2023A Bibliometric Overview of the State-of-the-Art in Bankruptcy Prediction Methods and Applications. (2023). Zopounidis, Constantin ; Doumpos, Michalis ; Kessioui, Salwa. In: World Scientific Book Chapters. RePEc:wsi:wschap:9789811260506_0006.

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OLIVIER DE BANDT has edited the books:


YearTitleTypeCited

Works by OLIVIER DE BANDT:


YearTitleTypeCited
2000Les stratégies stop-loss : théorie et application au Contrat Notionnel du Matif In: Annals of Economics and Statistics.
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article6
1996Les strategies de Stop Loss : Theorie et application au contrat notionnel du MATIF..(1996) In: Working papers.
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paper
2008Developing a Framework to Assess Financial Stability: Conference Highlights and Lessons In: Bank of Canada Review.
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article1
2003Forecasting Inflation using Economic Indicators: the Case of France In: Working papers.
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paper31
2007Forecasting inflation using economic indicators: the case of France.(2007) In: Journal of Forecasting.
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This paper has another version. Agregated cites: 31
article
2003Forecasting Inflation in the Euro Area In: Working papers.
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paper8
2004MASCOTTE: Model for AnalySing and foreCasting shOrT TErm developments In: Working papers.
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paper6
2004Inflation and the Markup in the Euro Area In: Working papers.
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paper0
2006Assessing Aggregate Comovements in France, Germany and Italy. Using a Non Stationary Factor Model of the Euro Area. In: Working papers.
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paper0
2006Assessing Aggregate Comovements in France, Germany and Italy Using a Non Stationary Factor Model of the Euro Area.(2006) In: Springer Books.
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This paper has another version. Agregated cites: 0
chapter
2006Convergence in Household Credit Demand Across Euro Area Countries: Evidence from Panel Data. In: Working papers.
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paper5
2009Convergence in household credit demand across euro area countries: evidence from panel data.(2009) In: Applied Economics.
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article
2007Measuring Long-Run Exchange Rate Pass-Through. In: Working papers.
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paper49
2007Measuring Long-Run Exchange Rate Pass-Through.(2007) In: Economics Discussion Papers.
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paper
2008Measuring Long-Run Exchange Rate Pass-Through.(2008) In: Economics - The Open-Access, Open-Assessment E-Journal (2007-2020).
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article
2008Stress Testing and Corporate Finance. In: Working papers.
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2008Stress testing and corporate finance.(2008) In: Journal of Financial Stability.
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article
2008Macroeconomic Fluctuations and Corporate Financial Fragility In: Working papers.
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paper30
2012Macroeconomic fluctuations and corporate financial fragility.(2012) In: Journal of Financial Stability.
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article
2012Macroeconomic Fluctuations and Corporate financial Fragility.(2012) In: Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers).
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2012Macroeconomic Fluctuations and Corporate financial Fragility.(2012) In: Post-Print.
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2012Macroeconomic Fluctuations and Corporate financial Fragility.(2012) In: PSE-Ecole d'économie de Paris (Postprint).
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paper
2010The international transmission of house price shocks. In: Working papers.
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2010The International Transmission of House Price Shocks.(2010) In: Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers).
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2010The International Transmission of House Price Shocks.(2010) In: Post-Print.
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2010The International Transmission of House Price Shocks.(2010) In: PSE-Ecole d'économie de Paris (Postprint).
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paper
2010Is there Evidence of Shift-Contagion in International Housing Markets? In: Working papers.
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1994Competition among Financial Intermediaries and the Risk of Contagious Failures. In: Working papers.
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1998La modélisation VAR structurel : application à la politique monétaire en France. In: Working papers.
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1999La modélisation Var structurel : application à la politique monétaire en France.(1999) In: Économie et Prévision.
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article
1999Fiscal Policy in the Transition to Monetary Union: a Structural VAR Model In: Working papers.
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2016A DGSE Model to Assess the Post-Crisis Regulation of Universal Banks. In: Working papers.
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2018A DGSE model to assess the post-crisis regulation of universal banks.(2018) In: Rue de la Banque.
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2020Determinants of Banks’ Liquidity: a French Perspective on Interactions between Market and Regulatory Requirements In: Working papers.
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paper9
2020Determinants of Banks’ Liquidity: a French Perspective on Interactions between Market and Regulatory Requirements.(2020) In: Débats économiques et financiers.
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2021Determinants of banks’ liquidity: A French perspective on interactions between market and regulatory requirements.(2021) In: Journal of Banking & Finance.
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article
2021Climate Change in Developing Countries: Global Warming Effects,Transmission Channels and Adaptation Policies In: Working papers.
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paper3
2001Optimal Capacity in the Banking Sector and Economic Growth. In: Working papers.
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paper19
2002Optimal capacity in the banking sector and economic growth.(2002) In: Journal of Banking & Finance.
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2002Optimal capacity in the banking sector and economic growth.(2002) In: Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers).
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2002Optimal capacity in the banking sector and economic growth.(2002) In: Post-Print.
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2022Assessing the Impact of Basel III: Evidence from Structural Macroeconomic Models In: Working papers.
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paper0
2002PIB potentiel et écart de PIB : quelques évaluations pour la France. In: Working papers.
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2023Utiliser la presse pour construire un nouvel indicateur de perception d’inflation en France In: Working papers.
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paper0
2003Actualisation des évaluations de croissance potentielle et d’écart de PIB. In: Bulletin de la Banque de France.
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article3
2003Le modèle de prévision MASCOTTE pour l’économie française : principales propriétés et résultats de variantes. In: Bulletin de la Banque de France.
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article1
2004La persistance de l’inflation en France et dans la zone euro. In: Bulletin de la Banque de France.
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2007L’impact macroéconomique des réformes structurelles. In: Bulletin de la Banque de France.
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article8
2008The macroeconomic impact of structural reforms..(2008) In: Quarterly selection of articles - Bulletin de la Banque de France.
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2008Globalisation, inflation et politique monétaire . Synthèse du colloque international de la Banque de France. In: Bulletin de la Banque de France.
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2010Les marchés immobiliers après la crise : quelles leçons pour la macroéconomie ? In: Bulletin de la Banque de France.
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2012L’évolution des placements financiers des ménages français en 2011. In: Bulletin de la Banque de France.
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2022How globalisation affects inflation In: Bulletin de la Banque de France.
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2013Stress-testing banks’ corporate credit portfolio In: Débats économiques et financiers.
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paper3
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