Cyril Couaillier
Economist, Macroprudential Policy Division
Cyril Couaillier is a research economist in the Macroprudential Policy Division, working on financial stability. He works in particular on the financial cycle, bank capital and derivative products.
Current Position
Economist, Macroprudential Policy Division
Diplomas
- PhD in Economics, Sciences Po
- Masters degree in Management, HEC Paris (2015)
- Masters degree in Statistics and Economics, ENSAE (2015)
- Masters degree in Economic Research (APE), Paris School of Economics (2015)
Research Interest
Financial macroeconomics, financial regulation, banking and derivative products
Contact
- cyril.couaillier@banque-france.fr
- +33 (0)1 42 92 42 33
- Banque de France, 75049 Paris Cedex 01
Academic Publications
Articles
- Amplifying slumps, taming booms: the bitter consequences of high indebtedness, with V. Scalone
- Systemic liquidity concept, measurement and macroprudential instruments (2018), Occasional Paper Series No 2014 / October 2018, K. Budnik, C. Couaillier, P. Duijm, P. Faykiss, K. Gajewski, C. Holtorf, L. IzquierdoRios, A. Koban, C. Kok, D. Laliotis, M. Lamas, G. Lialiouti, S. Loehe, A. Marques, J. Matos, B. Meller, A. SofiaMelo, I. Moldovan, A. Morão, A. Pereira, P. Pessarossi, C. Roling, V. Rutkauskas, S. Schmitz, L. Silbermann, J. Szakacs, P. Tissari, E. Ubl, D. DiVirgilio, N. Vlachogiannakis