Maéva Silvestrini
Research economist, Financial Economics Research Division (RECFIN)
Current Position
Maéva Silvestrini is working in the Financial Economics Research Division at the Banque de France. Her areas of expertise include monetary policies, international economics, macro-finance.
Previous Position
- Macroeconomist, International economic outlook International Macroeconomics Division (DGSEI- SEMSI) (2020-2024)
- Quantitative Credit and Market Risk Analyst, Market and Credit Risks Division (DGSO-SRMC) (2017-2020)
Diploma
- PhD in Economics, University of Paris-Dauphine, in progress (2021-)
- M.Sc. in Economics, Paris-Saclay, 2016
- École Normale Supérieure (ENS) de Cachan – Economics (2013-2016)
Research Interest
Monetary Policy, International economics, Macro-finance
Contact
- maeva.silvestrini@banque-france.fr
- Banque de France, 41-1422 DGEI-DEMFI-RECFIN, 75049 Paris Cedex 01
Academic publications
Articles
- US Monetary Policy spillovers and emerging markets: the trade credit channel, with M. London (2025). Journal of International Economics, 155, 104064
- Impact of the ECB Quantitative Easing on the International Investment Position, with R. Cezar (2021). International Economics, 165, 241-263
Working Papers Banque de France:
- US Monetary Policy Spillovers to Emerging Markets: the Trade Credit Channel
- Impact of the ECB quantitative easing on the French international investment position
Other
- SUERF - The European Money and Finance Forum : US Monetary Policy Spillovers To Emerging Markets: The Role of Trade Credit (Suerf Policy Brief, N°680, 14 Sept. 2023)
- The stabilising role in emerging countries of inter-firm credit from foreign suppliers