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  • Publications (235)
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Bruno Biais, “Bonus des traders et stabilité du système financier”, La Tribune, September 25, 2009.

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Olivier Armantier, and Nicolas Treich, “Star-Shaped Probability Weighting Functions and Overbidding in First-Price Auctions”, Economics Letters, Elsevier, vol. 104, n. 2, August 2009, pp. 83–85.

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Jean-Charles Rochet, “Interchanges Fees in Payment Card Systems: Price Remedies in a Two-Sided Market (part 2)”, in Cases in European Competition Policy: The Economic Analysis, Bruce Lyons (ed.), Cambridge University Press, chapter 2, August 2009.

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Jérôme Mathis, James J. Mcandrews, and Jean-Charles Rochet, “Rating the Raters: Are Reputation Concerns Powerful enough to Discipline Rating Agencies?”, Journal of Monetary Economics, vol. 56, n. 5, July 2009, pp. 657–674.

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Bruno Biais, “Les marchés financiers ont-ils un avenir?”, La Gazette du Midi, May 25, 2009.

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Bruno Biais, “Remettre de la transparence pour redresser la finance ”, La Tribune, May 15, 2009.

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Jean-Charles Rochet, “La crise est l'occasion de créer des institutions de contrôle des banques plus efficaces”, La Gazette du Midi, March 23, 2009.

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Patrick Fève, Julien Matheron, and Jean-Guillaume Sahuc, “On the Dynamic Implications of New Shocks”, Economics Letters, Elsevier, vol. 102, n. 2, February 2009, pp. 96–98.

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Daniel Coublucq, and David Martimort, “Une réflexion économique sur les thèmes de la gestion déléguée et des partenariats publics-privés”, series “Rapport IDEI”, n. 14, February 2009.

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Elisabetta Iossa, and David Martimort, “The Theory of Incentives Applied to the Transport Sector”, series “Rapport IDEI”, n. 13, February 2009.

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Optimal automatic stabalizers (1)

Ricardo Reis (London School of Economics)

April 12, 2016

Credit relationships in a monetary economy (1)

Luis Araujo (Sao Paulo School of Economics - FGV)

April 11, 2016

Designing a Simple Loss Function for the Fed (1)

Davide Debortoli (UPF Barcelona)

April 5, 2016

Excess Volatility: Beyond Discount Rates (1)

Stefano Giglio (University of Chicago Booth School of Business)

IDEI, April 4, 2016, 12:30–14:00, room MF 323

We document a form of excess volatility that is irreconcilable with standard models of prices, even after accounting for variation in discount rates. We compare prices of claims on the same cash flow stream but with different maturities. Standard models impose precise internal consistency...

Optimal margins and equilibrium prices (1)

Bruno Biais (TSE)

March 25, 2016

Collateral, Credit Spreads, and Unconventional Monetary Policy (1)

François Geerolf (UCLA)

March 22, 2016

The Deposits Channel of Monetary Policy (1)

Alexi Savov (New York University Stern School of Business)

IDEI, March 21, 2016, 12:30–14:00, room MF 323

We propose and test a new channel for the transmission of monetary policy. We show that when the Fed funds rate increases, banks widen the interest spreads they charge on deposits, and deposits flow out of the banking system. We present a model in which imperfect competition among banks gives rise...

The signaling effect of raising inflation (1)

Eric Mengus (HEC Paris)

March 15, 2016

Labor Market Effects of Financing Frictions (1)

Jean Noel Barrot (MIT Sloan School of Management)

TSE, March 14, 2016, 12:30–14:00, room MF 323

We study a fall in financing constraints for small businesses following the US Federal Quickpay reform of 2011 and estimate its effect on firm-level employment. The reform accelerated payments for a subset of small business contractors to the US government, leading to a large positive cash flow...

Sticky Leverage (1)

Urban Jermann (Wharton School of the University of Pennsylvania)

March 8, 2016

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