Content
2024
- 967 What caused the post-pandemic inflation? Replicating Bernanke and Blanchard (2023) on French data
by Pierre Aldama & Hervé Le Bihan & Claire Le Gall - 966 Urban Heat Islands and Inequalities: Evidence from French Cities
by Céline Grislain-Letrémy & Julie Sixou & Aurélie Sotura - 965 Inflation (De-)Anchoring in the Euro Area
by Valentin Burban & Bruno De Backer & Andreea Liliana Vladu - 964 PEnvironmental Preferences and Sector Valuations
by Tristan Jourde & Arthur Stalla-Bourdillon - 963 Pioneering a New Classification: a Comprehensive Study of Healthcare Products in Global Trade
by Pierre Cotterlaz & Guillaume Gaulier & Aude Sztulmac & Deniz Ünal - 962 Wealth Heterogeneity and the Marginal Propensity to Consume out of Wealth
by Bertrand Garbinti & Pierre Lamarche & Frédérique Savignac - 961 Doubling Down: The Synergy of CCyB Release and Monetary Policy Easing
by Cristina Jude & Grégory Levieuge - 960 High Voltage: Financing the Path to Zero Coal
by Camille Macaire & Fabio Grieco & Ulrich Volz & Alain Naef - 959 Assessing Integrated Assessment Models for Building Global Nature-Economy Scenarios
by Mathilde Salin & Katie Kedward & Nepomuk Dunz - 958 Price Stickiness in the Euro Area
by Luca Dedola & Erwan Gautier & Chiara Osbat & Sergio Santoro - 957 Spatial Wage Inequality in North America and Western Europe: Changes Between and Within Local Labour Markets 1975-2019
by Luis Bauluz & Pawel Bukowski & Mark Fransham & Annie Lee & Margarita Lopez-Forero & Filip Novokmet & Sebastien Breau & Neil Lee & Clément Malgouyres & Moritz Schularick & Gregory Verdugo - 955 Unwinding Quantitative Easing: State Dependency and Household Heterogeneity
by Cristiano Cantore & Pascal Meichtry - 954 The Risk of Inflation Dispersion in the Euro Area
by Stéphane Lhuissier & Aymeric Ortmans & Fabien Tripier - 953 Impact of Insolvency Regimes on NPLs: Two Birds in the Bush is Worth One in the Hand
by Jean-Charles Bricongne & Mathilde Dufouleur - 952 Capital in the Twenty-First Century: Who Owns the Capital of Firms Producing Critical Raw Materials?
by Violaine Faubert & Nathan Guessé & Julien Le Roux - 951 Analysing the VAT Cut Pass-Through in Spain Using Web Scraped Supermarket Data and Machine Learning
by Nicolás Forteza & Elvira Prades & Marc Roca - 950 Should Central Banks Care About Text Mining? A Literature Review
by Jean-Charles Bricongne & Baptiste Meunier & Raquel Caldeira - 949 The Green Transition and Public Finances
by Caterina Seghini & Stéphane Dees - 948 The Natural Rate of Interest in the Euro Area: Evidence from Inflation-Indexed Bonds
by Jens Christensen & Sarah Mouabbi - 947 Capital Requirements in Light of Monetary Tightening
by Aurélien Espic & Lisa Kerdelhué & Julien Matheron - 946 The Impact of the PEPP on the Corporate Commercial Paper Market
by Valère Fourel & Alice Schwenninger - 944 Risky Firms and Fragile Banks: Implications for Macroprudential Policy
by Tommaso Gasparini & Vivien Lewis & Stéphane Moyen & Stefania Villa - 943 Is Equality Regulation Effective in Reducing Gender Gaps in the Labor Market? Quantification and Evidence for Spain
by Juan S. Mora-Sanguinetti & Laura Hospido & Andrés Atienza-Maeso - 942 R(a)ising Prices While Struggling: Firms’ Financial Constraints and Price Setting
by Nicoletta Berardi - 941 Who Takes the Land? Quantifying the Use of Built-Up Land by French Economic Sectors to Assess Their Vulnerability to the ‘No Net Land Take’ Policy
by Etienne de L'Estoile & Mathilde Salin - 940 Interest Rate Uncertainty and Firm Decisions
by Anne Duquerroy & Klodiana Istrefi & Sarah Mouabbi - 939 Time-varying Agglomeration Economies and Aggregate Wage Growth
by Clémence Berson & Pierre-Philippe Combes & Laurent Gobillon & Aurélie Sotura - 938 The Transmission of Supply Shocks in Different Inflation Regimes
by Sarah Arndt & Zeno Enders
2023
- 937 "Green regulation": a quantification of regulations related to renewable energies and climate change in Spain and France
by Juan S. Mora-Sanguinetti & Andrés Atienza-Maeso - 936 Anchoring Boundedly Rational Expectations
by Stephane Dupraz & Magali Marx - 935 Decomposing the Inflation Response to Weather-Related Disasters
by Erwan Gautier & Christoph Grosse Steffen & Magali Marx & Paul Vertier - 934 Safe Asset Scarcity and Monetary Policy Transmission
by Benoit Nguyen & Davide Tomio & Miklos Vari - 933 Corporate Debt Structure and Heterogeneous Monetary Policy Transmission
by Marie Alder & Nuno Coimbra & Urszula Szczerbowicz - 932 Privilege Lost? The Rise and Fall of a Dominant Global Currency
by Kai Arvai & Nuno Coimbra - 931 Projecting Banks’ Net Interest Income: an Asset-Liability Approach, Applied to the Euro Area
by Thibaut Gentil & Sébastien Ray & Oana Toader - 930 Shadow Economy: What Factors Matter in the French Case?
by Sanvi Avouyi-Dovi & Lorraine Chouteau & Lucas Devigne & Emmanuelle Politronacci - 929 The Many Channels of Firm’s Adjustment to Energy Shocks: Evidence from France
by Lionel Fontagné & Philippe Martin & Gianluca Orefice - 928 Access to Bank Credit after Emerging from Corporate Bankruptcy
by Chloé Zapha - 927 Who’s Afraid of Foreign Investment Screening?
by Lorenzo Bencivelli & Violaine Faubert & Florian Le Gallo & Pauline Négrin - 926 Unobserved Components Model(s): Output Gaps and Financial Cycles
by Justine Guillochon & Julien Le Roux - 925 Trends and Inequality in Lifetime Earnings in France
by Bertrand Garbinti & Cecilia García Peñalosa & Vladimir Pecheu & Frédérique Savignac - 924 International sanctions and the dollar: Evidence from trade invoicing
by Antoine Berthou - 923 The Impossible Love of Fossil Fuel Companies for Carbon Taxes
by Naef Alain - 922 Using Short-Term Scenarios to Assess the Macroeconomic Impacts of Climate Transition
by Thomas Allen & Mathieu Boullot & Stéphane Dées & Annabelle de Gaye & Noëmie Lisack & Camille Thubin & Oriane Wegner - 921 Using the Press to Construct a New Indicator of Inflation Perceptions in France
by Olivier De Bandt & Jean-Charles Bricongne & Julien Denes & Alexandre Dhenin & Annabelle De Gaye & Pierre-Antoine Robert - 920 Stochastic Simulation of the FR-BDF Model and an Assessment of Uncertainty around Conditional Forecasts
by Harry Turunen & Anastasia Zhutova & Matthieu Lemoine - 919 Forecasting Euro Banknotes in Circulation with Structural Time Series Models in Times of the COVID-19 Pandemic
by Nikolaus Bartzsch & Marco Brandi & Lucas Devigne & Raymond De Pastor & Gianluca Maddaloni & Diana Posada Restrepo & Gabriele Sene - 918 Information Salience and Credit Supply: Evidence from Payment Defaults on Trade Bills
by Aleksandra Baros & Ettore Croci & Mattia Girotti & Federica Salvadè - 917 Nowcasting World Trade with Machine Learning: a Three-Step Approach
by Menzie Chinn & Baptiste Meunier & Sebastian Stumpner - 916 Satellites Turn “Concrete”: Tracking Cement with Satellite Data and Neural Networks
by Alexandre Aspremont & Simon Ben Arous & Jean-Charles Bricongne & Benjamin Lietti & Baptiste Meunier - 915 US Monetary Policy Spillovers to Emerging Markets: the Trade Credit Channel
by Mélina London & Maéva Silvestrini - 914 Swing Pricing et dynamique des flux au regard de la crise Covid-19
by Antoine Baena & Thomas Garcia - 913 Monetary Policy and Labor Income Inequality: the Role of Extensive and Intensive Margins
by Paul Hubert & Frédérique Savignac - 912 Euro Area Monetary Policy Effects. Does the Shape of the Yield Curve Matter?
by Florens Odendahl & Maria Sole Pagliari & Adrian Penalver & Barbara Rossi & Giulia Sestieri - 911 Blowing against the Wind? A Narrative Approach to Central Bank Foreign Exchange Intervention
by Alain Naef - 910 Environmental Subsidies to Mitigate Net-Zero Transition Costs
by Eric Jondeau & Grégory Levieuge & Jean-Guillaume Sahuc & Gauthier Vermandel - 909 How Can Technology Significantly Contribute to Climate Change Mitigation?
by Claire Alestra & Gilbert Cette & Valérie Chouard & Rémy Lecat - 908 Stablecoins and the Financing of the Real Economy
by Jean Barthélémy & Paul Gardin & Benoit Nguyen - 907 The Stumbling Block in ‘the Race of our Lives’: Transition-Critical Materials, Financial Risks and the NGFS Climate Scenarios
by Hugh Miller & Simon Dikau & Romain Svartzman & Stéphane Dees - 906 International Commodity Prices Transmission to Consumer Prices in Africa
by Thibault Lemaire & Paul Vertier - 905 The Dynamic IS Curve when there is both Investment and Savings
by Stéphane Dupraz - 904 Measuring and Comparing Consumption Inequality between France and the United States
by Aliocha Accardo & Sylvérie Herbert & Cristina Jude & Adrian Penalver
2022
- 903 Macroeconomic Forecasting Using Filtered Signals from a Stock Market Cross Section
by Nicolas Chatelais & Menzie Chinn & Arthur Stalla-Bourdillon - 902 Time-Consistent Implementation in Macroeconomic Games
by Jean Barthélemy & Eric Mengus - 901 Sovereign Debt and International Trade
by Charles Serfaty - 900 Encouraging and Directing Job Search: Direct and Spillover Effects in a Large Scale Experiment
by Luc Behaghel & Sofia Dromundo & Marc Gurgand & Yagan Hazard & Thomas Zuber - 899 Opposing Firm Level Responses to the China Shock: Output Competition versus Input Supply
by Philippe Aghion & Antonin Bergeaud & Matthieu Lequien & Marc Melitz & Thomas Zuber - 898 Central Bank Communication of Uncertainty
by Rayane Hanifi & Klodiana Istrefi & Adrian Penalver - 897 Information Acquisition ahead of Monetary Policy Announcements
by Michael Ehrmann & Paul Hubert - 896 Fiscal policy orientation in the euro area in real-time
by Katja Schmidt & Antoine Sigwalt - 895 Does FinTech Promote Entrepreneurship? Evidence from China
[L’adoption des Fintech favorise-t-elle l’entreprenariat ? Le cas de la Chine]
by Alraqeb Zeynep & Knaack Peter & Macaire Camille - 894 Aggregation Across Each Nation: Aggregator Choice and Macroeconomic Dynamics
[Agrégation entre pays : choix d’agrégateur et dynamiques macroéconomiques]
by Lisack Noëmie & Sajedi Rana & Lloyd Simon - 893 House Price Convergence: Evidence from India
[Convergence des prix des logements : le cas indien]
by Rajesh Raj & Rath D.P. - 892 Is Capital Account Convertibility Required for the Renminbi to Acquire Reserve Currency Status?
by Barry Eichengreen & Camille Macaire & Arnaud Mehl & Eric Monnet & Alain Naef - 891 Stock Return Predictability: comparing Macro- and Micro-Approaches
by Arthur Stalla-Bourdillon - 890 Consumption Inequality in the Digital Age
by Arvai Kai & Mann Katja - 889 Joint Ownership of Production Projects as a Commitment Device against Interest Groups
by Nicoletta Berardi & Paul Seabright - 888 Different Motives for Holding Cash in France: an Analysis of the Net Cash Issues of the Banque de France
by Franz Seitz & Lucas Devigne & Raymond de Pastor - 887 An Evaluation of the French Innovation Tax Credit
by Simon Bunel & Benjamin Hadjibeyli - 886 The Long-Term Impact of Housing Subsidies on the Rental Sector: the French Example
by Céline Grislain-Letrémy & Corentin Trevien - 885 The Conditional Path of Central Bank Asset Purchases
by Christophe Blot & Caroline Bozou & Jérôme Creel & Paul Hubert - 884 DSGE Nash: solving Nash Games in Macro Models With an application to optimal monetary policy under monopolistic commodity pricing
by Massimo Ferrari Minesso & Maria Sole Pagliari - 883 The EA-BDF Model and Government Spending Multipliers in a Monetary Union
by Aldama Pierre & Gaulier Guillaume & Lemoine Matthieu & Robert Pierre-Antoine & Turunen Harri & Zhutova Anastasia - 882 The Rise and Fall of Global Currencies over Two Centuries
by Roger Vicquéry - 881 From Macro to Micro: Large Exporters Coping with Common Shocks
by Jean-Charles Bricongne & Juan Carluccio & Lionel Fontagné & Guillaume Gaulier & Sebastian Stumpner - 880 The Financing Structure of NonFinancial Corporations and MacroFinancial Implications in France
by Stéphane Dees & Stefan Gebauer & Thomas Goncalves & Camille Thubin - 879 Exchange rate undervaluation and African surges: what do we learn from exported products?
by Camille da Piedade & Luc Jacolin & Patrick Plane - 878 New Facts on Consumer Price Rigidity in the Euro Area
by Gautier Erwan & Conflitti Cristina & Faber Riemer P. & Fabo Brian & Fadejeva Ludmila & Jouvanceau Valentin & Menz Jan-Oliver & Messner Teresa & Petroulas Pavlos & Roldan-Blanco Pau & Rumler Fabio & Santoro Sergio & Wieland Elisabeth & Zimmer Hélène - 877 Lost in Negative Territory? Search for Yield!
by Girotti Mattia & Horny Guillaume & Sahuc Jean-Guillaume - 876 Patents that Match your Standards: Firm-level Evidence on Competition and Growth
by Bergeaud Antonin & Schmidt Julia & Zago Riccardo - 875 State-dependent Central Bank Communication with Heterogeneous Beliefs
by Herbert Sylvérie - 874 Natural Disasters and Financial Stress: Can Macroprudential Regulation Tame Green Swans?
by Avril Pauline & Levieuge Grégory & Turcu Camelia - 873 Information Frictions Across Various Types of Inflation Expectations
by Cornand Camille & Hubert Paul - 872 Responsibility for Emissions: the Case of the Swiss National Bank’s Foreign Exchange Reserves and the Norwegian Oil Fund
by Naef Alain & Klooster Jens van ’t - 871 When Could Macroprudential and Monetary Policies Be in Conflict?
by Jose Garcia Revelo & Grégory Levieuge - 870 The Currency Channel of the Global Bank Leverage Cycle
by Justine Pedrono - 869 Forecasting Inflation in France: an Update of MAPI
by Youssef Ulgazi & Paul Vertier - 868 On the Choice of Central Counterparties in the EU
by Gabrielle Demange & Thibaut Piquard - 867 Trade Under Lockdown
by Antoine Berthou & Sebastian Stumpner - 866 The Economic Impact of Deepening Trade Agreements
by Lionel Fontagné & Nadia Rocha & Michele Ruta & Gianluca Santoni - 865 Bank Local Specialization
by Anne Duquerroy & Clément Mazet-Sonilhac & Jean-Stéphane Mésonnier & Daniel Paravisini - 864 Assessing the Impact of Basel III: Evidence from Structural Macroeconomic Models
by Olivier de Bandt & Bora Durdu & Hibiki Ichiue & Yasin Mimir & Jolan Mohimont & Kalin Nikolov & Sigrid Roehrs & Jean-Guillaume Sahuc & Valerio Scalone & Michael Straughan - 863 Financial Conditions and Macroeconomic Downside Risks in the Euro Area
by Lhuissier Stéphane - 862 Make-up Strategies with Finite Planning Horizons but Forward-Looking Asset Prices
by Stéphane Dupraz & Hervé Le Bihan & Julien Matheron - 861 How do Gasoline Prices Respond to a Cost Shock ?
by Erwan Gautier & Magali Marx & Paul Vertier - 860 Credit Default Swaps and Credit Risk Reallocation
by Dorian Henricot & Thibaut Piquard - 859 ECB Communication and its Impact on Financial Markets
by Klodiana Istrefi & Florens Odendahl & Giulia Sestieri - 858 Climate Risk Measurement of Assets Eligible as Collateral for Refinancing Operations – Focus on Asset Backed Securities (ABS)
by André Loris & Grept AliceLaut Nadia & Plantier GabrielSapey-Triomphe Zako & Weber Pierre-François - 857 The Rising Interconnectedness of the Insurance Sector
by Tristan Jourde
2021
- 856 The Common Currency Effect on International Trade: Evidence from an Accidental Monetary Union
by Roger Vicquéry - 855 The Central Bank, the Treasury, or the Market: Which One Determines the Price Level?
by Jean Barthélemy & Eric Mengus & Guillaume Plantin - 854 Committed to Flexible Fiscal Rules
by Chistoph Grosse-Steffen & Laura Pagenhardt & Malte Rieth - 853 The Reproducibility of Economics Research: A Case Study
by Sylvérie Herbert & Hautahi Kingi & Flavio Stanchi & Lars Vilhubern - 852 Anchoring of Inflation Expectations: Do Inflation Target Formulations Matter?
by Chistoph Grosse-Steffen - 851 Activity shocks and corporate liquidity: the role of trade credit
by Benjamin Bureau & Anne Duquerroy & Frédéric Vinas - 850 The Political Economy of Currency Unions
by Kai Arvai - 849 Capital Controls and Foreign Reserves against External Shocks: Combined or Alone?
by Rafael Cezar & Eric Monnet - 848 Paying Banks to Lend? Evidence from the Eurosystem's TLTRO and the Euro Area Credit Registry
by Emilie Da Silva & Vincent Grossmann-Wirth & Benoit Nguyen & Miklos Vari - 847 Can satellite data on air pollution predict industrial production?
by Jean-Charles Bricongne & Baptiste Meunier & Thomas Pical - 846 News from the frontier: Increased productivity dispersion across firms and factor reallocation
by Paul Bouche & Gilbert Cette & Rémy Lecat - 845 Overview and inventory of french funds' liquidity management tools: Dynamic view since 2017 and update as at mid-2021
by Pierre-Emmanuel Darpeix & Nicolas Même & Natacha Mosson & Marko Novakovic - 844 Debt-Stabilizing Properties of GDP-Linked Securities: A Macro-Finance Perspective
by Sarah Mouabbi & Jean-Paul Renne & Jean-Guillaume Sahuc - 843 The Deflationary Bias of the ZLB and the FED’s Strategic Response
by Adrian Penalver & Daniele Siena - 842 Financial flows, macro-prudential policies, capital restrictions and institutions: what do gravity equations tell us?
by Jean-Charles Bricongne & Antoine Cosson & Albane Garnier-Sauveplane & Rémy Lecat & Irena Peresa & Yuliya Vanzhulova - 841 Strategic Trading, Welfare and Prices with Futures Contracts
by Hugues Dastarac - 840 Firms’ Inflation Expectations: New Evidence from France
by Frédérique Savignac & Erwan Gautier & Yuriy Gorodnichenko & Olivier Coibion - 839 Empirical Investigation of a Sufficient Statistic for Monetary Shocks
by Fernando Alvarez & Andrea Ferrara & Erwan Gautier & Hervé Le Bihan & Francesco Lippi - 838 Promoting Self-employment:Does it create more Employment and Business Activity?
by Gilbert Cette & Jimmy Lopez - 837 The channels of banks’ response to negative interest rates
by Whelsy Boungou & Paul Hubert - 836 The Cognitive Load of Financing Constraints: Evidence from Large-Scale Wage Surveys
by Clémence Berson & Raphaël Lardeux & Claire Lelarge - 835 Regional Productivity Slowdown, Tax Havens and MNEs’ Intangibles: where is Measured Value Creation?
by Jean-Charles Bricongne & Samuel Delpeuch & Margarita Lopez Forero - 834 Regional How Powerful is Unannounced, Sterilized Foreign Exchange Intervention?
by Alain Naef & Jacob P. Weber - 833 The Meaning of MMT
by Françoise Drumetz & Christian Pfister - 832 Regional Income Distributions in France,1960–2018
by Florian Bonnet & Aurélie Sotura - 831 Competition and agency problems within banks: Evidence from insider lending
by Girotti Mattia, & Salvadè Federica - 830 Risk-to-Buffer: Setting Cyclical and Structural Capital Buffers through Banks Stress Tests
by Cyril Couaillier & Valerio Scalone - 829 Does one (unconventional) size fit all? Effects of the ECB's unconventional monetary policies on the euro area economies
by Maria Sole Pagliari - 828 Downward Interest Rate Rigidity
by Grégory Levieuge & Jean-Guillaume Sahuc - 827 Web Scraping Housing Prices in Real-time: the Covid-19 Crisis in the UK
by Jean-Charles Bricongne & Baptiste Meunier & Sylvain Pouget - 826 A “Silent Spring” for the Financial System? Exploring Biodiversity-Related Financial Risks in France
by Svartzman Romain, & Espagne Etienne, & Gauthey Julien, & Hadji-Lazaro Paul, & Salin Mathilde, & Allen Thomas, & Berger Joshua, & Calas Julien, & Godin Antoine, & Vallier Antoine - 825 The Case for a Positive Euro Area Inflation Target: Evidence from France, Germany and Italy
by Klaus Adam, & Erwan Gautier, & Sergio Santoro, & Henning Weber. - 824 What Individual Data Tells us about the Covid-19 Impact on Corporate Liquidity in 2020
by Bureau Benjamin, & Duquerroy Anne, & Giorgi Julien, & Lé Mathias, & Scott Suzanne, & Vinas Frédéric - 823 Corporate activity in France amid the Covid-19 crisis. A granular data analysis
by Bureau Benjamin, & Duquerroy Anne, & Giorgi Julien, & Lé Mathias, & Scott Suzanne, & Vinas Frédéric - 822 Climate Change in Developing Countries: Global Warming Effects,Transmission Channels and Adaptation Policies
by De Bandt Olivier, & Jacolin Luc, & Lemaire Thibault. - 821 Enrichment of the Banque de France’s monthly business survey: lessons from textual analysis of business leaders’ comments
by Gerardin Mathilde, & Ranvier Martial. - 820 Inflation tolerance ranges in the New Keynesian model
by Le Bihan Hervé, & Marx Magali, & Matheron Julien. - 819 Job Polarization and the Flattening of the Price Phillips Curve
by Siena Daniele, & Zago Riccardo. - 818 Is a Money-financed Fiscal Stimulus Desirable?
by Punzo Chiara, & Rossi Lorenza - 817 Welfare-Based Optimal Macroprudential Policy with Shadow Banks
by Gebauer Stefan - 816 Foreign Direct Investment and Domestic Private Investment in Sub-Saharan African Countries: Crowding-In or Out ?
by Askandarou Diallo, & Jacolin Luc, & Isabelle Rabaud. - 815 No country is an island. International cooperation and climate change
by Ferrari Massimo, & Pagliari Maria Sole, - 814 Good Connections: Bank Specialization and the Tariff Elasticity of Exports
by Berthou Antoine, & Mayer Thierry, & Mésonnier Jean-Stéphane. - 813 Public spending, currency mismatch and financial frictions
by Hory Marie Pierre, & Levieuge Grégory, & Onori Daria. - 812 Greening Monetary Policy: Evidence from the People's Bank of China
by Macaire Camille, & Naef Alain. - 811 Should the ECB Adjust its Strategy in the Face of a Lower r*?
by Andrade Philippe, & Galí Jordi, & Le Bihan Hervé, & Matheron Julien. - 810 Bankruptcy Costs and the Design of Preventive Restructuring Procedures
by Epaulard Anne, & Zapha Chloé. - 809 Return on Investment on AI: The Case of Capital Requirement
by Henri Fraisse & Matthias Laporte - 808 Intergenerational Homeownership in France over the 20th Century
by Bertrand Garbinti & Frédérique Savignac - 807 Statistical Modelization of Overindebtedness
by Amandine Tran - 806 The Dynamic Effects of the ECB’s Asset Purchases: a Survey-Based Identification
by Lhuissier Stéphane & Nguyen Benoît - 805 A Prudential trade-off? Leakages and Interactions with Monetary Policy
by Meunier Baptiste & Pedrono Justine - 804 The Impact of Regulation on Innovation
by Philippe Aghion & Antonin Bergeaud & John Van Reenen - 803 Heterogeneous Policy Distortions and the Labor Share
by Gabriel Smagghue - 802 Do Words Hurt More Than Actions? The Impact of Trade Tensions on Financial Markets
by Massimo Ferrari & Frederik Kurcz & Maria Sole Pagliari - 801 Aggregate Implications of Credit Relationship Flows: a Tale of Two Margin
by Yasser Boualam & Clément Mazet-Sonilhac - 800 Showing off cleaner hands: mandatory climate-related disclosure by financial institutions and the financing of fossil energy
by Mésonnier Jean-Stéphane & Nguyen Benoît - 799 Fiscal Stimulus in Liquidity Traps: Conventional or Unconventional Policies?
by Lemoine Matthieu & Lindé Jesper - 798 Structural Estimation of Time-Varying Spillovers: An Application to International Credit Risk Transmission
by Boeckelmann Lukas & Stalla-Bourdillon Arthur - 797 Global Value Chains and the transmission of exchange rate shocks to consumer prices
by Camatte Hadrien & Faubert Violaine & Lalliard Antoine & Daudin Guillaume & Rifflart Christine
2020
- 796 This Town Ain't Big Enough? Quantifying Public Good Spillovers
by Nicolas Jannin & Aurelie Sotura - 795 The international dimension of a fragile EMU
by Ioannou Demosthenes & Pagliari Maria Sole & Stracca Livio - 794 Sticky Deposit Rates and Allocative Effects of Monetary Policy
by Duquerroy Anne & Adrien Matray & Saidi Farzad - 793 Imported or Home Grown? The 1992-3 EMS Crisis
by Eichengreen Barry & Naef Alain - 792 Set-up Costs and the Financing of Young Firms
by François Derrien & Mésonnier Jean-Stéphane & Vuillemey Guillaume - 791 Semi-Structural VAR and Unobserved Components Models to Estimate Finance-Neutral Output Gap
by Kátay Gábor & Kerdelhué Lisa & Lequien Matthieu - 790 Climate-related Risks and Central Banks’ Collateral Policy: a Methodological Experiment
by Oustry Antoine & Erkan Bunyamin & Svartzman Romain & Weber Pierre-François - 789 Lower Bank Capital Requirements as a Policy Tool to Support Credit to SMEs: Evidence From a Policy Experiment?
by Dietsch Michel & Fraisse Henri & Lé Mathias & Lecarpentier Sandrine - 788 Nowcasting World GDP Growth with High-Frequency Data
by Jardet Caroline & Meunier Baptiste - 787 House Prices, Mortgage Debt Dynamics and Economic Fluctuations in France: A Semi-Structural Approach
by Bove Guillaume & Dees Stéphane & Thubin Camille - 786 The 100% Reserve Reform: Calamity or Opportunity?
by Pfister Christian - 785 The Impact of ICTs and Digitalization on Productivity and Labor Share: Evidence from French firms
by Cette Gilbert & Nevoux Sandra & Py Loriane - 784 Economic Adjustment during the Great Recession: The Role of Managerial QualityAuthor-Name: Cette Gilbert
by Lopez Jimmy & Mairesse Jacques & Nicoletti Giuseppe - 783 Growth factors in developed countries: A 1960-2019 growth accounting decomposition
by Cette Gilbert & Devillard Aurélien & Spiezia Vincenzo - 782 Determinants of Banks’ Liquidity: a French Perspective on Interactions between Market and Regulatory Requirements
by de Bandt Olivier & Lecarpentier Sandrine & Pouvelle Cyril - 781 Risk Sharing in Europe: New Empirical Evidence on the Capital Markets Channel
by Dufrénot Gilles & Gossé Jean-Baptiste & Clerc Caroline - 780 No Firm Is an Island? How Industry Conditions Shape Firms’ Expectations
by Andrade Philippe & Coibion Olivier & Gautier Erwan & Gorodnichenko Yuriy - 779 Fed Communication on Financial Stability Concerns and Monetary Policy Decisions: Revelations from Speeches
by Istrefi Klodiana & Odendahl Florens & Sestieri Giulia - 778 Disastrous Defaults
by Gouriéroux Christian & Monfort Alain & Mouabbi Sarah & Renne Jean-Paul - 777 The Financing of Investment: Firm Size, Asset Tangibility and the Size of Investment
by Mathias Lé & Frédéric Vinas - 776 Accounting for Intergenerational Wealth Mobility in France over the 20th Century: Method and Estimations
by Bertrand Garbinti & Frédérique Savignac - 775 Overview and Inventory of French Funds' Liquidity Management Tools
by Pierre-Emmanuel Darpeix & Caroline Le Moign & Nicolas Même & Marko Novakovic - 774 Climate-Related Scenarios for Financial Stability Assessment: an Application to France
by Thomas Allen & Stéphane Dees & Jean Boissinot & Carlos Mateo Caicedo Graciano & Valérie Chouard & Laurent Clerc & Annabelle de Gaye & Antoine Devulder & Sébastien Diot & Noémie Lisack & Fulvio Pegoraro & Marie Rabaté & Romain Svartzman & Lucas Vernet - 773 Share Buybacks, Monetary Policy and the Cost of Debt
by Assia Elgouacem & Riccardo Zago - 772 How Do Markets React to Tighter Bank Capital Requirements?
by Cyril Couaillier & Dorian Henricot - 771 Heterogeneity in Bank Leverage: the Funding Channels of Complexity
by Matthieu Bussière & Baptiste Meunier & Justine Pedrono - 770 What Matters in Households’ Inflation Expectations?
by Philippe Andrade & Erwan Gautier & Eric Mengus - 769 Why Fiscal Regimes Matter for Fiscal Sustainability
by Pierre Aldama & Jérôme Creel - 768 Assessing the Role of Institutions in Limiting the Environmental Externalities of Economic Growth
by Stéphane Dees - 767 Bank Equity Value and Loan Supply
by Mattia Girotti & Guillaume Horny