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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.
Publications
4th of December 2025
Systemic Climate Risk
16th of June 2025
Working paper
Climate
13th of December 2024
Environmental Preferences and Sector Valuations
24th of September 2024
Working paper
Economy
19th of March 2024
29th of November 2023
16th of May 2022
5th of January 2022
26th of October 2021