Arthur Stalla-Bourdillon

Economist, International Macroeconomics Division

Arthur Stalla-Bourdillon is a Research Economist, working on financial and commodity markets in the International Macroeconomics Division.

Current Position

Economist, International Macroeconomics Division

Previous Position

Economist, Financial Stability Directorate

Diplomas

  • PhD in Finance, Paris-Dauphine University (2022)
  • Masters degree in Economic Research, Paris School of Economics (APE) (2017)
  • Masters degree in Management, HEC Paris (2016)

Research Interest

Financial economics, Financial markets, Commodity markets, Time series econometrics

Contact

Academic Publications

  • Forecasting real activity using cross-sectoral stock market information (2022), Journal of International Money and Finance, N. Chatelais, M. Chinn and A. Stalla-Bourdillon
  • Forecasting Sovereign Risk in the Euro Area via Machine Learning (2022), Journal of Forecasting, G. Belly, L. Boeckelmann, M.C. Caicedo Graciano, K. Istrefi, A. Di Iorio, V. Siakoulis and A. Stalla-Bourdillon

Others 

  • Environmental Preferences and Sector Valuations (2023), SSRN Working Paper, T. Jourde and A. Stalla-Bourdillon

Publications

24th of September 2024

The gas price shock: never again?

Banque de France Bulletin

Inflation

20th of June 2024

The impact of energy shocks on financial stability in the context of the 2022 episode

Banque de France Bulletin

Financial stability

26th of January 2024

27th of September 2023

29th of December 2022

Dynamics and Implications of the Recent Rise in Wheat Prices

Eco Notepad

Economic developments

23rd of December 2022

10th of November 2022

Is there a bubble in “green” equities?

Eco Notepad

Financial stability

26th of October 2021