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Publications académiques

Publications académiques des économistes de la Banque de France

Anand, Kartik & van Lelyveld, Iman & Banai, Ádám & Friedrich, Soeren & Garratt, Rodney & Hałaj, Grzegorz & Fique, Jose & Hansen, Ib & Jaramillo, Serafín Martínez & Lee, Hwayun & Molina-Borboa, José Lu (2018) The missing links: A global study on uncovering financial network structures from partial data. Journal of Financial Stability vol. 35(C), pp. 107-119.

Andrea Carriero & Sarah Mouabbi & Elisabetta Vangelista (2018) UK term structure decompositions at the zero lower bound. Ltd., Journal of Applied Econometrics vol. 33(5), pp. 643-661.

Antonin Bergeaud & Gilbert Cette & Rémy Lecat (2018) The role of production factor quality and technology diffusion in twentieth-century productivity growth. Cliometrica, Journal of Historical Economics and Econometric History vol. 12(1), pp. 61-97.

Ariu; Biewen; Blank; Gaulier; Gonzalez; Meinen; Mirza; Martin; Tello (2018) Firm heterogeneity and aggregate business services exports: Micro evidence from Belgium, France, Germany and Spain. The World Economy, pp. 1-26.

Barake, Mona, Capelle-Blancard, Gunther, , Mathias (2018) Les banques et les paradis fiscaux. Revue d'économie financière vol. 131, pp. 189-216.

Bardaji; Bricongne; Campagne; Gaulier (2018) Domestic and export performances of French firms. The World Economy, pp. 1-33.

Bertrand Garbinti & Jonathan Goupille-Lebret (2018) The Impact of Inheritance and Transfer Taxation on Economic Behaviours and Inequality: A Literature Review for France. ifo DICE Report vol. 16(2), pp. 13-18.

Carole Bonnet & Bertrand Garbinti & Sébastien Grobon (2018) Rising inequalities in access to home ownership among young households in France, 1973-2013. Economie et Statistique / Economics and Statistics(500-501-5), pp. 117-138.

Clémence Berson (2018) Fixed-term contracts and labor market duality in France. Springer, De Economist vol. 166(4), pp. 455-476.

Clément Malgouyres & Thierry Mayer (2018) Exports and labor costs: evidence from a French policy. Review of World Economics (Weltwirtschaftliches Archiv) vol. 154(3), pp. 429-454.

Colletaz, Gilbert & Levieuge, Grégory & Popescu, Alexandra (2018) Monetary policy and long-run systemic risk-taking. Journal of Economic Dynamics and Control vol. 86(C), pp. 165-184.

Fabrice Borel-Mathurin & Pierre-Emmanuel Darpeix & Quentin Guibert & Stéphane Loisel (2018) Main Determinants of Profit-Sharing Policy in the French Life Insurance Industry. The Geneva Papers on Risk and Insurance - Issues and Practice vol. 43(3), pp. 420-455.

G. Horny; S. Manganelli; B. Mojon (2018) Measuring Financial Fragmentation in the Euro Area Corporate Bond Market. MDPI, Open Access Journal, Journal of Risk and Financial Management vol. 11(4), pp. 1-19.

Istrefi, Klodiana & Mouabbi, Sarah (2018) Subjective interest rate uncertainty and the macroeconomy: A cross-country analysis. Journal of International Money and Finance vol. 88(C), pp. 296-313.

Jean Barthélemy, Eric Mengus (2018) The signaling effect of raising inflation. Journal of Economic Theory vol. 178, pp. 488-516.

Jean Barthélemy, Guillaume Cléaud (2018) Trade Balance and Inflation Fluctuations in the Euro Area. Macroeconomic Dynamics vol. 22(4), pp. 931-960.

Jose Ignacio Lopez & Virginia Olivella (2018) The importance of intangible capital for the transmission of financial shocks. Review of Economic Dynamics vol. 30, pp. 223-238.

Ludovic Gauvin & Cyril C. Rebillard (2018) Towards recoupling? Assessing the global impact of a Chinese hard landing through trade and commodity price channels. The World Economy vol. 41(12), pp. 3379-3415.

Mogliani, M. & Urga, G. (2018) On the instability of long-run money demand and the welfare cost of inflation in the U.S. Blackwell Publishing, Journal of Money, Credit and Banking vol. 50(7), pp. 1645-1660.

Olivier de Bandt, Boubacar Camara, Alexis Maitre, Pierre Pessarossi (2018) Optimal capital, regulatory requirements and bank performance in times of crisis: Evidence from France. Journal of Financial Stability vol. 39, pp. 175-186.

Patrick Fève, Pablo Garcia and Jaan-Guillaume Sahuc (2018) State-Dependend Risk Taking and the Transmission of Monetary Policy. Elsevier, Economics Letters vol. 164(C), pp. 10-14.

Patrick Pintus & Raouf Boucekkine & Giorgio Fabbri (2018) Short-Run Pain, Long-Run Gain: the Conditional Welfare Gains from International Financial Integration. Economic Theory vol. 65(2), pp. 329-360.

Philippe Askenazy & Gilbert Cette & Paul Maarek (2018) Rent Sharing and Workers' Bargaining Power: An Empirical Cross Country/ Cross Industry Panel Analysis. Scandinavian Journal of Economics vol. 120(2), pp. 563-596.

Sébastien Fries & Jean‐Stéphane Mésonnier & Sarah Mouabbi & Jean‐Paul Renne (2018) National natural rates of interest and the single monetary policy in the euro area. Ltd., Journal of Applied Econometrics vol. 33(6), pp. 763-779.

Thomas Grjebine, Urszula Szczerbowicz, Fabien Tripier (2018) Corporate debt structure and economic recoveries. Elsevier, European Economic Review vol. 101(C), pp. 77-100.

Nevoux Sandra (2018) Short-time work. IZA.

Bergeaud A. G. Cette, R. Lecat (2017) “Total Factor Productivity in Advanced Countries: A Long-term Perspective”. Centre for the Study of Living Standards, International Productivity Monitor vol. 32, pp. 6-24.

Alvaredo Facundo, Garbinti Bertrand and Piketty Thomas (2017) “On the Share of Inheritance in Aggregate Wealth: Europe and the United States 1900-2010”. London School of Economics and Political Science, Economica vol. 84(334), pp. 239-260.

Antoine Berthou, Hélène Ehrhart (2017) “Trade networks and colonial trade spillovers”. Wiley Blackwell, Review of International Economics vol. 25(4), pp. 891-923.

Bergeaud A. & Gilbert Cette & Rémy Lecat (2017) Croissance de long terme et tendances de la productivité. Stagnation séculaire ou simple trou d’air ? Revue de l'OFCE(4), pp. 43-62.

Avouyi-Dovi, S. & Horny, G. & Sevestre, P. (2017) The stability of short-term interest rates pass-through in the euro area during the financial market and sovereign debt crises. Journal of Banking & Finance vol. 79(C), pp. 74-94.

Barthélemy, Jean, Marx Magali (2017) “Solving Endogenous Regime Switching Models”. Elsevier, Journal of Economic Dynamics and Control vol. 77(C), pp. 1-25.

Barthélemy, Jean; Bignon, Vincent; Nguyen, Benoit (2017) Monetary policy, illiquid collateral and bank lending during the European sovereign debt crisis. Institut National de la Statistique et des Études Économiques (INSEE), Economie et Statistique / Economics and Statistics(494-495-4), pp. 111-130.

Bas, Maria & Mayer, Thierry & Thoenig, Mathias (2017) From micro to macro: Demand, supply, and heterogeneity in the trade elasticity. Journal of International Economics vol. 108(C), pp. 1-19.

Bignon, Vincent & Dutu, Richard (2017) Coin Assaying And Commodity Money. Macroeconomic Dynamics vol. 21(06), pp. 1305-1335.

Cezar Rafael (2017) Financial Development & Commercial Advantage. Global Economy Journal vol. 17(1), pp. 1-10.

Chauvet, Lisa & Jacolin, Luc (2017) Financial Inclusion, Bank Concentration, and Firm Performance. World Development vol. 97(C), pp. 1-13.

Christian Pfister (2017) Monnaies digitales et politique monétaire : beaucoup de bruit pour rien ? Revue française d'économie(2), pp. 37-63.

Christian Pfister (2017) Le temps (réel), c’est de l’argent. Revue française d'économie(4), pp. 195-212.

Christophe Bellgo & Laurent Ferrara (2017) Forecasting euro area recessions by combining financial information. International Journal of Computational Economics and Econometrics vol. 7(1/2), pp. 78-94.

Claudia M. Buch & Matthieu Bussière, & Linda Goldberg (2017) International Prudential Policy Spillovers: Evidence from the International Banking Research Network. International Journal of Central Banking vol. 13(2), pp. 1-4.

Clémence Berson & Nicolas Ferrari (2017) Une simulation sur un modèle d’appariement : l’impact de l’article 4 de l’ANI de 2013 sur la segmentation du marché du travail. Economie & Prévision vol. 0(2), pp. 115-137.

Clément Marsilli (2017) “Nowcasting US inflation using a MIDAS augmented Phillips curve”. Inderscience Enterprises Ltd, International Journal of Computational Economics and Econometrics vol. 7(1/2), pp. 64-77.

Cristina Jude & Gregory Levieuge (2017) Growth Effect of Foreign Direct Investment in Developing Economies: The Role of Institutional Quality. The World Economy vol. 40(4), pp. 715-742.

Edouard Challe & Julien Matheron & Xavier Ragot & Juan F. Rubio‐Ramirez (2017) Precautionary saving and aggregate demand. Quantitative Economics vol. 8(2), pp. 435-478.

Erwan GAUTIER (2017) Les salaires minima de branche en France. Presses de Sciences-Po, Revue française d'économie vol. 32(1), pp. 94-136.

Erwan GAUTIER & Ronan LE SAOUT (2017) L’ajustement  microéconomique  des  prix  des  carburants  en France. La Documentation Française, Economie & Prévision(1), pp. 1-24.

Francesco Pappadà & Sophie Osotimehin (2017) “Credit frictions and the cleansing effect of recessions”. Royal Economic Society, Economic Journal vol. 127(602), pp. 1153-1187.

Francesco Pappadà & Yanos Zylberberg (2017) Austerity and tax compliance. Elsevier, European Economic Review vol. 100(C), pp. 506-524.

François Langot, Matthieu Lemoine (2017) “Strategic fiscal policies in Europe: Why does the labour wedge matter ?Elsevier, European Economic Review vol. 91(C), pp. 15-29.

Gilbert Cette, Rémy Lecat, Carole Ly-Marin (2017) “Long-term growth and productivity projections”. OECD Publishing, OECD Journal: Economic Studies vol. 2016(1), pp. 71-90.

Gilbert Cette, Simon Corde, Rémy Lecat (2017) Stagnation of productivity in France: A legacy of the crisis or a structural slowdown? Institut National de la Statistique et des Études Économiques (INSEE), Economie et Statistique / Economics and Statistics(494-495-4), pp. 11-36.

Grégory Levieuge (2017) “Explaining and forecasting bank loans. Good times and crisis”. Taylor & Francis Journals, Applied Economics vol. 49(8), pp. 823-843.

Guillaume Cléaud & Matthieu Lemoine & Pierre-Alain Pionnier (2017) The Size and Evolution of the Government Spending Multiplier in France. Annals of Economics and Statistics(127), pp. 95-122.

Jean-Charles Bricongne & Aurora Mordonu (2017) Interlinkages Between Household and Corporate Debt in Advanced Economies. Open Economies Review vol. 28(5), pp. 1029-1055.

Jean-Guillaume Sahuc & Patrick Fève (2017) “In Search of the Transmission Mechanism of Fiscal Policy in the Euro Area”. John Wiley & Sons, Ltd., Journal of Applied Econometrics vol. 32(3), pp. 704-718.

Jean-Stéphane Mésonnier & Dalibor Stevanovic (2017) The macroeocnomic effects of shocks to large bank's capital. Department of Economics, University of Oxford, Oxford Bulletin of Economics and Statistics vol. 79(4), pp. 546-569.

Jimborean Ramona, Kelber Anna (2017) “Foreign Direct Investment Drivers and Growth in Central and Eastern Europe in the Aftermath of the 2007 Global Financial Crisis”. Palgrave Macmillan;Association for Comparative Economic Studies, Comparative Economic Studies vol. 59(1), pp. 23-54.

Juan Carluccio & Ivar Ekeland & Roger Guesnerie (2017) Fragmentation and Wage Inequality: Insights from a Simple Model. Annals of Economics and Statistics(125-126), pp. 113-134.

Kevin J. Fox & Gilbert Cette & Jimmy Lopez & Jacques Mairesse (2017) Upstream Product Market Regulations, ICT, R&D and Productivity. Review of Income and Wealth vol. 63, pp. 68-89.

Laurent Clerc & Jézabel Couppey-Soubeyran (2017) Introduction. Revue d'économie financière(3), pp. 9-18.

Maria Bas & Antoine Berthou (2017) Does Input-Trade Liberalization Affect Firms’ Foreign Technology Choice? World Bank Economic Review vol. 31(2), pp. 351-384.

Marlène Isoré, Urszula Szczerbowicz (2017) “Disaster risk and preference shifts in a New Keynesian model”. Elsevier, Journal of Economic Dynamics and Control vol. 79(C), pp. 97-125.

Matthieu Bussière & Julia Schmidt & Frédéric Vinas (2017) “International Banking and Cross-Border Effects of Regulation: Lessons from France”. International Journal of Central Banking, International Journal of Central Banking vol. 13(2), pp. 163-193.

Matthieu Bussiére, Julia Schmidt and Natacha Valla (2017) (No) worries about the new shape of international capital flows. SUERF Policy Note(May).

Mayer, Thierry & Trevien, Corentin (2017) The impact of urban public transportation evidence from the Paris region. Journal of Urban Economics vol. 102(C), pp. 1-21.

Mogliani, M. & Darné, O. & Pluyaud, B. (2017) “The new MIBA model: Real-time Nowcasting of French GDP using the Banque de France's Monthly Business Survey”. Elsevier, Economic Modelling vol. 64(C), pp. 26-39.

Monnet, Eric & Wolf , Clara (2017) Demographic cycles, migration and housing investment. Journal of Housing Economics vol. 38(C), pp. 38-49.

Nadège Jassaud, Edouard Vidon (2017) European NPLs through the crisis: a policy review. Emerald Group Publishing, Journal of Financial Regulation and Compliance vol. 25(4), pp. 413-421.

Nicoletta Berardi & Federica Marzo (2017) “The Elasticity of Poverty with respect to Sectoral Growth in Africa”. International Association for Research in Income and Wealth, Review of Income and Wealth vol. 63(1), pp. 147-168.

Olivier de Bandt & Boubacar Camara & Pierre Pessarossi & Martin Rose (2017) Can better capitalised banks be more profitable? An analysis of large French banking groups before and after the financial crisis. Economie et Statistique / Economics and Statistics(494-495-4), pp. 131-148.

Olivier de Bandt & Frédéric Hervo (2017) Faut-il plus de capital en assurance ? Revue d'économie financière(2), pp. 67-84.

Olivier de Bandt, Boubacar Camara, Pierre Pessarossi (2017) Can better capitalized banks be more profitable? An analysis of large French banking groups before and after the financial crisis. Economie et Statistique vol. 494-496, pp. 131-148.

Pamfili Antipa & Vincent Bignon (2017) Où en est l’histoire économique ? Entre narration et quantification. Revue de l'OFCE(4), pp. 19-41.

Peter ven de Ven & Anne Harrison & Barbara Fraumeni & Marshall Reinsdorf & Dominique Durant & Kyle Hood & Leonard Nakamura (2017) Improving the Treatment of Holding Gains and Default Losses in National Accounts. Review of Income and Wealth vol. 63, pp. 321-354.

Ralph S.J. Koijen, François Koulischer, Benoît Nguyen, Motohiro Yogo (2017) “Euro-Area Quantitative Easing and Portfolio Rebalancing”. American Economic Association, American Economic Review vol. 107(5), pp. 621-627.

Régis Breton & Sébastien Galanti & Christophe Hurlin & Anne-Gaël Vaubourg (2017) La relation firme-analyste explique-t-elle les erreurs de prévision des analystes ? Revue économique vol. 68(6), pp. 1033-1062.

Stéphane Dupraz (2017) A Kinked-Demand Theory of Price Rigidity. BDF Working Papers.

Thierry Mayer & Florian Mayneris & Loriane Py (2017) The impact of Urban Enterprise Zones on establishment location decisions and labor market outcomes: evidence from France. Journal of Economic Geography vol. 17(4), pp. 709-752.

Vincent Bignon & Eve Caroli & Roberto Galbiati (2017) “Stealing to Survive? Crime and Income Shock in 19th Century France”. Royal Economic Society, Economic Journal vol. 127(599), pp. 19-49.

Xinyu (Jason) Cao & Marlon G. Boarnet & Xiaoshu Cao & Clément Malgouyres (2017) The Impact Of Chinese Import Competition On The Local Structure Of Employment And Wages: Evidence From France. Journal of Regional Science vol. 57(3), pp. 411-441.

Mis à jour le : 19/03/2019 16:50