Julio Ramos-Tallada
Chef du pôle analyses, Service des Relations européennes

Fonction actuelle
Chef du pôle analyses, Service des Relations Européennes
Fonctions antérieures
Responsable du secteur macroéconomie et statistiques à l’Institut Bancaire et Financier International (IBFI) (2022-2024);
Conseiller financier détaché au réseau international de la Direction Générale du Trésor, à l’Ambassade de France à Brasilia (2018-2022);
Économiste senior au Service de la Politique Macroprudentielle (2015-2018)
Économiste senior au Service des Relations Monétaires Internationales (2011-2015);
Enseignant vacataire et Attaché Temporaire d’Enseignement et de Recherche à l’Université Paris-Dauphine (2005-2011).
Diplôme
Doctorat en Économie, Université Paris-Dauphine (2010)
Thèmes de recherche
Économie Financière, Économie Monétaire Internationale
Contact
- julio.ramostallada@banque-france.fr
- +33(0)1 42 92 91 74
Publications académiques
Articles
- “Prudential policy spillovers: how do international bank flows react to French policies?” (with S. Dées) International Economics, 172, 2022.
- “L’Argentine après le défaut: conditions d’accès aux marchés internationaux de capitaux et choix de politiques économiques «non conventionnelles»” (2016), (with J. Carluccio),
Revue d'Économie Financière, 124, 2016. - "Bank risks, monetary shocks and the credit channel in Brazil: identification and evidence from panel data",
Journal of International Money and Finance, 55, 2015 - "Financial distress and banking regulation: what is different about Spain?",
Journal of Innovation Economics and Management, 6, 2010
Autres
- “Green finance and deforestation reduction in Brazil: a PVAR analysis of the Amazon Fund” (with L. André), 2023
Working Paper (preliminary version)
Assessment of Risks to the French Financial System (coordinated with F. Guevel, and N. Même), December 2022 - “Cross-border spillover effects of macroprudential policies: a conceptual framework” (within the Task Force on cross-border Spillover Effects of macroprudential measures; editors: C. Kok and D. Reinhardt)
ECB Occasional Paper Series, 242, 2020 - “How do foreign banks react to French prudential policies ?” (with S. Dees)
>Bloc Notes Eco – Banque de France, 129, 2019 - “Capital inflows and credit growth: where do we stand?” (with L. Gauvin and R. Jimborean)
Rue de la Banque, 38, 2017 - “The side effects of national financial sector policies: framing the debate on financial protectionism” (with R. Beck, J. Beirne, F. Paterno, J. Peeters, C. Rebillard, D. Reinhardt, L. Weissenseel, and J. Wörz)
ECB Occasional Paper Series, 166, 2015 - “The IMF and management of capital flows: the long road towards a pragmatic approach”
Banque de France Bulletin, Quarterly selection of articles,31, 2013 - “Capital controls and spillover effects: Evidence from Latin-American countries” (with F. Lambert and C. Rebillard) Banque de France Working Paper, 357, 2011
- “The relationship between capital flows and financial development: a review of the literature”
Banque de France Bulletin, Quarterly selection of articles, 22, 2011