Olivier Vigna
Chief Economist, AFT (Agence France Trésor)
Current Position
Chief Economist, AFT (Agence France Trésor)
Previous Position
Chief Economist at the AMF (Autorité des Marchés Financiers); Head of the Marketplace Relationships and Crisis Management Division in the Banque de France’s Financial Stability Directorate.
Diplomas
- École normale supérieure de Cachan (1991)
- Institut d’Études Politiques de Paris (Cum Laude, 1993)
Research Interest
Financial markets and macroprudential regulation, risks, financial markets, macroeconomics, business outlook
Contact
- olivier.vigna@aft.gouv.fr
- +33 (0)1 40 04 15 00
- Agence France Trésor, 139 rue de Bercy, Teledoc 287, 75572 Paris cedex 12
Academic publications
Articles
- « L'excès d'offre de collatéral est en train de diminuer » Revue Banque, n°777, November 2014
- "IOSCO Securities Markets Risk Outlook 2014-2015" (contributor), IOSCO, October 2014
- "Risk and Trend Mapping for Financial Markets and Savings" (contributor), AMF, July 2014
- "Financial Market Infrastructure Resilience", Economic and Financial Newsletter, 2014-2, AMF, pp. 9-10, July 2014
- "ESRB Recommendation on the macro-prudential mandate of national authorities (ESRB/2011/3) - Follow-up Report - Overall assessment" (contributor), June 2014
- "Will 2014 be a turning point for high frequency trading?, in Macrofinancial Risks for 2014, Market experts' analyses" Risk and Trend Mapping, AMF, n°14, April 2014
- "The challenges of regulating and supervising high-frequency trading", Economic and Financial Newsletter, 2013-4, AMF, pp. 6-9
- "Measuring the quality of financial market regulation (more) effectively?", Economic and Financial Newsletter, 2013-3, AMF, pp. 6-11
- Risk and Trend Mapping No 13: "Risk and Trend Mapping for Financial Markets and Saving", Autorité des Marchés Financiers, July 2013