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Content
2015
2014
- 533 Capital Regulation in a Macroeconomic Model with Three Layers of Default
by L. Clerc & A. Derviz & C. Mendicino & S. Moyen & K. Nikolov & L. Stracca & J. Suarez & A. P. Vardoulakis
- 532 Impact of research tax credit on R&D and innovation: evidence from the 2008 French reform
by A. Bozio & D. Irac & L. Py
- 531 A network view on interbank market freezes
by S. Gabrieli & C.-P. Georg
- 530 Land Collateral and Labor Market Dynamics in France
by L. Kaas & P. A. Pintus & S. Ray
- 529 Implementing monetary policy in a fragmented monetary union
by M. Vari
- 528 Assessing the macroeconomic effects of LTROS
by C. Cahn & J. Matheron & J-G. Sahuc
- 527 An arbitrage-free Nelson-Siegel term structure model with stochastic volatility for the determination of currency risk premia
by S. Mouabbi
- 526 Trade networks and colonial trade spillovers
by A. Berthou & H. Ehrhart
- 525 How Fiscal Policy Affects the Price Level: Britain’s First Experience with Paper Money
by P.Antipa
- 524 Fundamental disagreement
by P. Andrade & R. Crump & S. Eusepi & E. Moench
- 523 How do oil price forecast errors impact inflation forecast errors? An empirical analysis from French and US inflation forecasts
by F. Bec & A. De Gaye
- 522 Euro Area business cycles in turbulent times: convergence or decoupling?
by F. Ferroni & B. Klaus
- 521 The Term Structure of the Welfare Cost of Uncertainty
by P. Lopez
- 520 Variable Selection in Predictive MIDAS Models
by C. Marsilli
- 519 Pre-crisis credit standards: monetary policy or the savings glut?
by A. Penalver
- 518 Options Embedded in ECB Targeted Refinancing Operations
by J-P. Renne
- 517 Fixed-Income Pricing in a Non-Linear Interest-Rate Model
by J-P. Renne
- 516 Strategic fiscal revaluation or devaluation: why does the labor wedge matter?
by F. Langot & M. Lemoine
- 515 Nowcasting global economic growth: A factor-augmented mixed-frequency approach
by L. Ferrara & C. Marsilli
- 514 Product and Labor Market Regulations, Production Prices, Wages and Productivity
by G. Cette & J. Lopez & J. Mairesse
- 513 False News, Informational Efficiency, and Price Reversals
by J. Dugast & T. Foucault
- 512 Euro Area monetary policy shocks: impact on financial asset prices during the crisis?
by C.Jardet & A. Monks
- 511 Economic Policy Uncertainty and Inflation Expectations
by K. Istrefi & A. Piloiu
- 510 The Price of Stability. The balance sheet policy of the Banque de France and the Gold Standard (1880-1914)
by G. Bazot & M. D. Bordo & E. Monnet
- 509 Sequential Coordination, Higher-Order Belief Dynamics and E-Stability Principle
by G. Gaballo
- 508 Fiscal Devaluation and Structural Gaps
by F. Langot & L. Patureau & T. Sopraseuth
- 507 The Shimer puzzle(s) in a New Keynesian framework
by A.Pizzo
- 506 Coin Assaying and Commodity Money
by V. Bignon & R. Dutu
- 505 Financial fragility in small open economies: firm balance sheets and the sectoral structure
by Y. Kalantzis
- 504 How do households allocate their assets? Stylised facts from the Eurosystem Household Finance and Consumption Survey
by L. Arrondel & L. Bartiloro & P. Linder & T. Y. Mathä & C. Rampazzi & F. Savignac & T. Schmidt & M. Schürz & P. Vermeulen
- 503 Technological Standardization, Endogenous Productivity and Transitory Dynamics
by J. Baron & J. Schmidt
- 502 International Bailouts: Why Did Banks' Collective Bet Lead Europe to Rescue Greece?
by E. Mengus
- 501 The European Monetary Union and Imbalances: Is it an Anticipation Story ?
by D. Siena
- 500 Retirement, Early Retirement and Disability: Explaining Labor Force Participation after 55 in France
by L. Behaghel & D. Blanchet & M. Roger
- 499 Bank Capital Adjustment Process and Aggregate Lending
by T. Duprey & M. Lé
- 498 Trade, Wages, and Collective Bargaining: Evidence from France
by J. Carluccio & D. Fougère & E. Gautier
- 497 Wealth and Income in the Euro Area: Heterogeneity in Households’ Behaviours?
by L. Arrondel & M. Roger & F. Savignac
- 496 Financial Shocks and the Cyclical Behavior of Skilled and Unskilled Unemployment
by J.I.Lopez & V. Olivella Moppett
- 495 The Effects of Information Asymmetries on the Ex-Post Success of Stock Option Listings
by A. Bernales
- 494 Determinants of OECD countries’ sovereign yields: safe havens, purgatory, and the damned
by C. Bortoli & L. Harreau & C. Pouvelle
- 493 Heterogeneity, Unemployment Benefits and Voluntary Labor Force Participation
by A. Devulder
- 492 Small and large price changes and the propagation of monetary shocks
by F. Alvarez & H. Le Bihan & F. Lippi
- 491 Did the EBA Capital Exercise Cause a Credit Crunch in the Euro Area?
by J-S. Mésonnier & A. Monks
- 490 Specification Analysis of International Treasury Yield Curve Factors
by Pegoraro, F. & Siegel, A. F. & Tiozzo Pezzoli, L.
- 489 International Yield Curves and Principal Components Selection Techniques: An Empirical Assessment
by Pegoraro, F. & Siegel, A. F. & Tiozzo Pezzoli, L.
- 488 Foreign direct investment drivers and growth in Central and Eastern Europe in the aftermath of the 2007 global financial crisis
by R. Jimborean & A. Kelber
- 487 Income Taxation, Transfers and Labour Supply at the Extensive Margin
by Benczúr, P. & Kátay, G. & Kiss, A. & Rácz , O.
- 486 A Quadratic Kalman Filter
by Monfort, A. & Renne, J.-P. & Roussellet, G.
- 485 Shock Transmission through International Banks – Evidence from France
by Bussière, M. & Camara, B. & Castellani, F.-D. & Potier, V. & Schmidt, J.
- 484 How do firms adjust production factors to the cycle?
by Cette, G. & Lecat, R. & Jiddou, A-O-A
- 483 Endogenous Derivative Networks
by Vuillemey, G. & Breton, R.
- 482 Credit Risk in the Euro area
by Gilchrist, S. & Mojon, B.
- 481 Credit Growth and Bank Capital Requirements: Binding or Not?
by Labonne, C. & Lamé, G.
- 480 Honoring Sovereign Debt or Bailing Out Domestic Residents: A Theory of Internal Costs of Default
by Mengus, E.
- 479 Shipment frequency of exporters and demand uncertainty
by Békès, G. & Fontagné, L. & Murakozy, B. & Vicard, V.
- 478 A stylized applied energy-economy model for France
by Henriet, F. & Maggiar, N. & Schubert, K.
- 477 Monitoring the European CDS Market through Networks: Implications for Contagion Risks
by Clerc, L. & Gabrieli, S. & Kern, S. & El Omari, Y.
- 476 Does ICT remain a powerful engine of growth?
by Cette, G.
- 475 Productivity trends from 1890 to 2012 in advanced countries
by Bergeaud, A. & Cette, G. & Lecat, R.
- 474 The efficiency of enterprise zone programs: some conflicting results?
by Mayneris, F. & Py, L.
- 473 New estimate of the MIBA forecasting model. Modeling first-release GDP using the Banque de France's Monthly Business Survey and the “blocking” approach
by Mogliani, M. & Brunhes-Lesage, V. & Darné, O. & Pluyaud, B.
2013
- 472 Market Shares in the Wake of the Global Crisis: the Quarterly Export Competitiveness Database
by Gaulier, G. & Santoni, G. & Taglioni, D. & Zignago, S.
- 471 Network Analysis of World Trade using the BACI-CEPII dataset
by De Benedictis, L. & Nenci, S. & Santoni, G. & Tajoli, L. & Vicarelli, C.
- 470 Euro area structural convergence? A multi-criterion cluster analysis
by Irac, D. & Lopez, J.
- 469 Which size and evolution of the government expenditure multiplier in France (1980-2010)?
by Cléaud, G. & Lemoine, M. & Pionnier, P.-A.
- 468 Assessing the losses in euro area potential productivity due to the financial crisis
by Chouard, V. & Fuentes Castro, D. & Irac, D. & Lemoine, M.
- 467 French firms exports during downturns: evidence from past crises
by Bellas, D. & Vicard, V.
- 466 Fiscal Sustainability and the Value of Money: Lessons from the British Paper Pound, 1797-1821
by Antipa, P.
- 465 Financial Literacy and Financial Planning in France
by Arrondel, L. & Debbich, M. & Savignac, F.
- 464 Heterogeneous Banking Efficiency: Allocative Distortions and Lending Fluctuations
by Duprey , T.
- 463 What has been the impact of the 2008 crisis on firms’ default? (in French)
by Fougère, D. & Golfier, C. & Horny, G. & Kremp, E.
- 462 The dynamics of bank loans short-term interest rates in the Euro area: what lessons can we draw from the current crisis?
by Avouyi-Dovi, S. & Horny, G. & Sevestre, P.
- 461 Choosing the variables to estimate singular DSGE models
by Canova, F. & Ferroni, F. & Matthes, C.
- 460 The Impact of Worker Bargaining Power on the Organization of Global Firms
by Carluccio, J. & Bas, M.
- 459 Voting in committee: firm value vs. back scratching
by Ravanel, M.
- 458 The impact of Urban Enterprise Zones on establishment location decisions: Evidence from French ZFUs
by Mayer,T. & Mayneris, F. & Py, L.
- 457 Securitization, Competition and Monitoring
by Ahn, J-H. & Breton, R.
- 456 Regime Switching and Bond Pricing
by Gouriéroux, C. & Monfort, A. & Pegoraro, F. & Renne, J-P.
- 455 Pricing Default Events: Surprise, Exogeneity and Contagion
by Gouriéroux, C. & Monfort, A. & Renne, J-P.
- 454 Forecasting growth during the Great Recession: is financial volatility the missing ingredient?
by Ferrara, L. & Marsilli, C. & Ortega, J-P.
- 453 Aggregate Fluctuations and International Migration
by Beine, M. & Bricongne,J-C. & Bourgeon, P.
- 452 Optimal Exchange Rate Policy in a Growing Semi-Open Economy
by Bacchetta, P. & Benhima, K. & Kalantzis, Y.
- 451 The Discriminatory Effect of Domestic Regulations on International Trade in Services: Evidence from Firm-Level Data
by Crozet, M. & Milet, E. & Mirza, D.
- 450 Currency Union with and without Banking Union
by Bignon, V. & Breton, R. & Rojas Breu, M.
- 449 Limited attention and news arrival in limit order markets
by Dugast, J.
- 448 Net interoffice accounts of global banks: the role of domestic funding
by D’Avino, C.
- 447 Big Push or Big Grab? Railways, Government Activism and Export Growth in Latin America, 1865-1913
by Bignon, V. & Esteves, R. & Herranz-Loncán, A.
- 446 Credit and Liquidity in Interbank Rates: a Quadratic Approach
by Dubecq, S. & Monfort, A. & Renne, J-P. & Roussellet, G.
- 445 Firms' Export Dynamics: Experience vs. Size
by Berthou, A. & Vicard, V.
- 444 Procyclical Debt as Automatic Stabilizer
by Wesselbaum, D.
- 443 A Growth Perspective on Foreign Reserve Accumulation
by Cheng, G.
- 442 Non-uniform wage-staggering: European evidence and monetary policy implications
by Juillard, M. & Le Bihan, H. & Millard, S.
- 441 Upstream product market regulations, ICT, R&D and productivity
by Cette, G. & Lopez, J. & Mairesse,J.
- 440 Learning Leverage Shocks and the Great Recession
by Pintus, P. A. & Suda, J.
- 439 Strict Fiscal Rules and Macroeconomic Stability: The Case of Social VAT
by Fève, P. & Matheron, J. & Sahuc,J-G.
- 438 The Laffer Curve in an Incomplete-Market Economy
by Fève, P. & Matheron, J. & Sahuc,J-G.
- 437 The financial content of inflation risks in the euro area
by Andrade, P. & Fourel, V. & Ghysels, E. & Idier, I.
- 436 Nowcasting French GDP in Real-Time from Survey Opinions: Information or Forecast Combinations?
by Bec, F. & Mogliani, M.
- 435 Policy Uncertainty Spillovers to Emerging Markets - Evidence from Capital Flows
by Gauvin, L. & McLoughlin, C. & Reinhardt, D.
- 434 Belief shocks and the macroeconomy
by Suda, J.
- 433 Market-implied inflation and growth rates adversely affected by the Brent
by Cette, G. & de Jong, M.
- 432 Domino Effects when Banks Hoard Liquidity: The French network
by Fourel, V. & Héam, J-C. & Salakhova, D. & Tavolaro, S.
- 431 Age Biased Technical and Organisational Change, Training and Employment Prospects of Older Workers
by Behaghel, L. & Caroli, E. & Roger, M.
- 430 Dynamic Factor Models: A review of the Literature
by Barhoumi, K. & Darné, O. & Ferrara, L.
- 429 Social networks and wages in Senegal’s formal sector
by Berardi, N.
- 428 Fiscal Sustainability in the Presence of Systemic Banks: the Case of EU Countries
by Bénassy-quéré, A. & Roussellet, A.
- 427 Contagion Effects in the Aftermath of Lehman’s Collapse: Evidence from the US Financial Services Industry
by Dumontaux, N. & Pop, A.
- 426 Calibrating Initial Shocks in Bank Stress Test Scenarios: An Outlier Detection Based Approach
by Darne, O. & Levy-Rueff, O. & Pop, A.
- 425 More Facts about Prices: France Before and During the Great Recession
by Berardi, N. & Gautier, E. & Le Bihan, H.
- 424 Exchange Rate Pass-Through in the Global Economy
by Bussière, M. & Delle Chiaie, S. & Peltonen, T. A.
- 423 Commodity price volatility and tax revenue: Evidence from developing countries
by Ehrhart, H. & Guerineau, S.
- 422 On the Evolution of Specie: Circulation and Weight Loss in 18th and 19th Century Coinage
by Velde, F R.
- 421 Commodity and Equity Markets: Some Stylized Facts from a Copula
by Delatte, A-L. & Lopez, C.
- 420 In Defense of Early Warning Signals
by Bussière, M.
- 419 Elections and the structure of taxation in developing countries
by Ehrhart, H.
- 418 Tax Revenue Instability in sub-Saharan Africa: Consequences and Remedies
by Ebeke, C. & Ehrhart, H.
- 417 Surplus Consumption Ratio and Expected Stock Returns
by Ghattassi, I.
- 416 Rational Inattention to News: The Perils of Forward Guidance
by Gaballo, G.
2012
- 415 The impact of a `soda tax' on prices. Evidence from French micro data
by Berardi, N. & Sevestre, P. & Tepaut, M. & Vigneron, A.
- 414 Bilateral Exposures and Systemic Solvency Risk
by Gourieroux, C. & Heam, J.C. & Monfort, A.
- 413 Optimal Monetary and Prudential Policies
by Collard, F. & Dellas, H. & Diba, B. & Loisel, O.
- 412 Monetary Policy and Herd Behavior: Leaning Against Bubbles
by Loisel, O. & Pommeret, A. & Portier, T.
- 411 Bank Ownership and Credit Cycle: the lower sensitivity of public bank lending to the business cycle
by Duprey, T.
- 410 Foreign Entry and Spillovers with Technological Incompatibilities in the Supply Chain - Forthcoming in Journal of International Economics
by Carluccio, J. & Fally, T.
- 409 Short-term forecasts of French GDP: a dynamic factor model with targeted predictors
by Bessec, M.
- 408 Export dynamics and sales at home
by Berman, N. & Berthou, A. & Héricourt, J.
- 407 Tails of Inflation Forecasts and Tales of Monetary Policy
by Andrade, P. & Ghysels, E. & Idier, J.
- 406 Capital Controls with International Reserve Accumulation: Can this Be Optimal?
by Bacchetta, P. & Benhima, K. & Kalantzis, Y.
- 405 Did the crisis induce credit rationing for French SMEs?
by Kremp, E. & Sevestre, P.
- 404 Households Debt Restructuring: Evidence from the French Experience
by Fraisse, H. & Frouté, P.
- 403 Generalizing the Taylor Principle: New Comment
by Barthélemy, J. & Marx, M.
- 402 Good Luck or Good Policy? An Expectational Theory of Macro-Volatility Switches
by Gaballo, G.
- 401 Nowcasting German GDP: A comparison of bridge and factor models
by Antipa, P. & Barhoumi, K. & Brunhes-Lesage, V. & Darné, O.
- 400 Inventory Investment Dynamics and Recoveries: A Comparison of Manufacturing and Retail Trade Sectors
by Bec, F. & Bessec, M.
- 399 Wage and Productivity differentials in Japan. The Role of Labor Market Mechanisms
by Kalantzis, Y. & Kambayashi, R. & Lechevalier, S.
- 398 Too-connected versus too-big-to-fail: banks’ network centrality and overnight interest rates
by Gabrieli, S.
- 397 Asset Pricing with Second-Order Esscher Transforms
by Monfort, A. & Pegoraro, F.
- 396 Credit Ratings and Debt Crises
by Bussière, M. & Ristiniemi, A.
- 395 A model of the euro-area yield curve with discrete policy rates
by Renne, J-P.
- 394 Bank leverage shocks and the macroeconomy: a new look in a data-rich environment
by Mésonnier, J-S. & Stevanovic, D.
- 393 European Export Performance
by Cheptea, A. & Fontagné, L. & Zignago, S.
- 392 Funding for green growth
by Fuentes Castro, D.
- 391 Equilibrium Risk Shifting and Interest Rate in an Opaque Financial System
by Challe, E. & Mojon, B. & Ragot, X.
- 390 Macro-Prudential Policy and the Conduct of Monetary Policy
by Beau, D. & Clerc, L. & Mojon, B.
- 389 Labour relations quality and productivity: An empirical analysis on French firms
by Cette, G. & Dromel, N. & Lecat, R. & Paret, A-C.
- 388 Financial Integration and External Sustainability
by Towbin, P.
- 387 Private Uncertainty and Multiplicity
by Gaballo, G.
- 386 Why have governments succeeded in reducing French public debt historically and can these successes inspired us for the future? An historical perspective since 1890
by Dufrénot, G. & Triki, K.
- 385 Public debt ratio and its determinants in France since 1890 Does econometrics support the historical evidence?
by Dufrénot, G. & Triki, K.
- 384 Forecasting GDP over the business cycle in a multi-frequency and data-rich environment
by Bessec, M. & Bouabdallah, O.
- 383 Macroeconomic forecasting during the Great Recession: The return of non-linearity?
by Ferrara, L. & Marcellino, M. & Mogliani, M.
- 382 How does Fiscal Consolidation Impact on Income Inequality?
by L, Agnello. & R, M. Sousa.
- 381 Price as a choice under nonstochastic randomness in finance
by Y, Ivanenko. & B, Munier.
- 380 Disintermediation or financial diversification? The case of developed countries
by Boutillier, M. & Bricongne, J.C.
- 379 A Pitfall with DSGE-Based, Estimated, Government Spending Multipliers
by Fève, P. & Matheron, J. & Sahuc, J.G.
- 378 A mathematical treatment of bank monitoring incentives
by Pagès, H. & Possamai, D.
- 377 Bank monitoring incentives and optimal ABS
by Pagès, H.
- 376 The changing role of expectations in US monetary policy: A new look using the Livingston Survey
by Banerjee, A. & Malik, S.
- 375 The Dynamics of Gasoline Prices: Evidence from Daily French Micro Data
by Gautier, E. & Le Saout, R.
- 374 The Macroeconomic Effects of Reserve Requirements
by Glocker, Ch. & Towbin P.
- 373 Commonality in hedge fund returns: driving factors and implications
by Bussiere, M. & Hoerova, M. & Klaus, B.
- 372 Financial Regulation in General Equilibrium
by Goodhart, Ch. A. E. & Kashyap, A. K. & Tsomocos, D. P. & Vardoulakis, A. P.
- 371 Optimal Price Setting During a Currency Changeover: Theory and Evidence from French Restaurants
by Berardi, N. & Eife, T. A. & Gautier, E.