Tristan Jourde
Economist - Financial Risk and Vulnerability Assessment Department
Tristan Jourde is a research economist in the Financial Stability Directorate's Financial Risk and Vulnerability Assessment Department. He is particularly interested in climate finance, systemic risk and asset pricing.
Current Position
Economist - Financial Risk and Vulnerability Assessment Department
Previous Position
- Market economist at Lonchamp Asset Management
- Risk analyst at Crédit Agricole CIB
Diplomas
- PhD in Financial Economics from Université Paris-Dauphine-PSL
Research Interest
Climate finance, Systemic risk and Asset pricing
Contact
- tristan.jourde@banque-france.fr
- +33 (0)1 42 44 94 18
Academic Publications
Others
- Jourde, T. (2022). The rising interconnectedness of the insurance sector, Journal of Risk and Insurance, Volume 89(2), Pages 397-425.
- Jourde, T., & Stalla-Bourdillon, A. (2024). Environmental preferences and sector valuations. Review of World Economics, 1-41.