Banque de France
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2013
- 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. - 370 Changes In Wage Inequality In France: The Impact Of Composition Effects (in French)
by Verdugo, G. & Fraisse, H. & Horny, G. - 369 Rent building, rent sharing - A panel country-industry empirical analysis
by Askenazy, P. & Cette, G. & Maarek, P. - 368 Shock on Variable or Shock on Distribution with Application to Stress-Tests
by Dubecq, S. & Gourieroux, C. - 367 Breakeven inflation rates and their puzzling correlation relationships
by Cette, G. & De Jong, M. - 366 The Effect of the Minimum Wage on the Average Wage in France (in French)
by Cette, G. & Chouard, V. & Verdugo, G. - 365 Global versus local shocks in micro price dynamics
by Andrade, P. & Zachariadis, M. - 364 Global Value Chains during the Great Trade Collapse: A Bullwhip Effect?
by Altomonte, C. & Di Mauro, F. & Ottaviano, G. & Rungi, A. & Vicard, V. - 363 Reserve Requirements for Price and Financial Stability - When Are They Effective?
by Glocker, C. & Towbin, P. - 362 The determinants of intrafirm trade: Evidence from French firms
by Corcos, G. & Irac, D. & Mion, G. & Verdier, T. - 361 How do anticipated changes to short-term market rates influence banks' retail interest rates? Evidence from the four major euro area economies
by Banerjee, A. & Bystrov, V. & Mizen, P. - 360 The European way out of recession
by Bec, F. & Bouabdallah, O. & Ferrara, L. - 359 A term structure model with level factor cannot be realistic and arbitrage free
by Dubecq , S. & Gourieroux , C.
2011
- 358 Market access in global and regional trade
by de Sousa, J. & Mayer, T. & Zignago, S. - 357 Capital controls and spillover effects: evidence from Latin-American countries
by Lambert, F. & Ramos-Tallada, J. & Rebillard, C. - 356 A smoke screen theory of financial intermediation
by Breton, R. - 355 Firm-Network Characteristics and Economic Robustness to Natural Disasters
by Henriet, F. & Hallegatte, S. & Tabourier, L. - 354 Fiscal Policy Discretion, Private Spending, and Crisis Episodes
by Agnello, L. & Furceri, D. & R.M, Sousa. - 353 Price Stickiness and Sectoral Inflation Persistence: Additional Evidence
by Le Bihan, H. & Matheron, J. - 352 Credit and liquidity risks in euro area sovereign yield curves
by Monfort, A. & Renne, J-P. - 351 Interpreting the Hours-Technology time-varying relationship
by Cantore, C. & Ferroni, F. & León-Ledesma, M A. - 350 Fiscal Sustainability, Default Risk and Euro Area Sovereign Bond Spreads Markets
by Borgy, V. & Laubach, T. & Mésonnier, J-S. & Renne, J-P. - 349 Risk aversion and Uncertainty in European Sovereign Bond Markets
by Fourel, V. & Idier, J. - 348 How useful is the Marginal Expected Shortfall for the measurement of systemic exposure? A practical assessment
by Idier, J. & Lamé, G. & Mésonnier, J S. - 347 State-Dependent Probability Distributions in Non Linear Rational Expectations Models
by Barthélemy, J. & Marx, M. - 346 Service deregulation, competition and the performance of French and Italian firms
by Daveri, F. & Lecat, R. & Parisi , M L. - 345 Debt enforcement and the return on money
by Rojas-Breu, M. - 344 Wealth Effects on Consumption Plans: French Households in the Crisis
by Arrondel, L. & Savignac, F. & Tracol, K. - 343 Capital Utilisation and Retirement
by Bonleu, A. & Cette, G. & Horny, G. - 342 Measuring the NAIRU: a complementary approach
by De la Serve, M-E. & Lemoine, M. - 341 The Exchange Rate Pass-Through in the New EU Member States
by Jimborean, R. - 340 Default, liquidity and crises: an econometric framework
by Monfort, A. & Renne, J-P. - 339 The impact of unconventional monetary policy on the market for collateral: The case of the French bond market
by Avouyi-Dovi, S. & Idier, J. - 338 Median-Unbiased Estimation in DF-GLS Regressions and the PPP Puzzle
by Lopez, C. & Murray, C J. & Papell, D H. - 337 Short Note on the Unemployment Rate of the French Overseas Regions
by Hoarau, J-F. & Lopez, C. & Paul, M. - 336 How have global shocks impacted the real effective exchange rates of individual euro area countries since the euro's creation?
by Bussière, M. & Chudik, A. & Mehl, A. - 335 Immigration and the Occupational Choice of Natives: a Factor Proportions Approach
by Ortega, J. & Verdugo, G. - 334 Unit Roots, Level Shifts and Trend Breaks in Per Capita Output: A Robust Evaluation
by Kejriwal , M. & Lopez, C. - 333 Macroeconomic consequences of global endogenous migration: a general equilibrium analysis
by Borgy, V. & Chojnicki, X. & Le Garrec , G. & Schwellnus , C. - 332 The Stability of Macroeconomic Systems with Bayesian Learners
by Bullard, J.B. & Suda, J. - 331 Impact of the crisis on potential growth: An approach based on unobserved component models (in french)
by Lemoine, M. & de la Serve, M.E. & Chetouane, M. - 330 Stock Prices and Monetary Policy Shocks: A General Equilibrium Approach
by Challe, E. & Giannitsarou, C. - 329 Global Imbalances and Imported Disinflation in the Euro Area
by Barthélemy, J. & Cléaud, G. - 328 Financial Constraints and Foreign Market Entries or Exits: Firm-Level Evidence from France
by Askenazy, Ph. & Caldera, A. & Gaulier, G. & Irac, D. - 327 Has Europe Been Catching Up? An Industry Level Analysis of Venture Capital Success over 1985 - 2009
by Kraeussl, R. & Krause, S. - 326 Convergence of Euro Area Inflation Rates
by Lopez, C. & Papell, David H. - 325 Can Fiscal Policy Stimulus Boost Economic Recovery?
by Agnello, L. & Sousa, R. - 324 Generalized Taylor and Generalized Calvo price and wage-setting: micro evidence with macro implications
by Dixon, H. & Le Bihan, H. - 323 BASEL III: Long-term impact on economic performance and fluctuations
by Angelini, P. & Clerc, L. & Cúrdia, V. & Gambacorta, L. & Gerali, A. & Locarno, A. & Motto, R. & Roeger, W. & Van den Heuvel, S. & Vlcek, J. - 322 Carbon price and optimal extraction of a polluting fossil fuel with restricted carbon capture
by Coulomb, R. & Henriet, F. - 321 The possible shapes of recoveries in Markov-switching models
by Bec, F. & Bouabdallah, O. & Ferrara, L. - 320 On the Welfare Costs of Misspecified Monetary Policy Objectives
by Avouyi-Dovi, S. & Sahuc, J-G. - 319 Protectionist Responses to the Crisis: Global Trends and Implications
by Bussière, M. & Pérez-Barreiro, E. & Straub, R. & Taglioni, D. - 318 Modelling Stochastic Volatility with Leverage and Jumps: A Simulated Maximum Likelihood Approach via Particle Filtering
by Malik, S. & Pitt, M. K. - 317 Production factor returns: the role of factor utilisation
by Cette, G. & Dromel, N. & Lecat, R. & Paret, A-C. - 316 Two-way interplays between capital buffers, credit and output: evidence from French banks
by Coffinet, J. & Coudert, V. & Pop, A. & Pouvelle, C. - 315 The decreasing returns on working time: An empirical analysis on panel country data
by Cette, G. & Chang, S. & Konte, M. - 314 The confidence channel for the transmission of shocks
by Fei, S. - 313 The Predictive Information Content of External Imbalances for Exchange Rate Returns: How Much Is It Worth?
by Della Corte, P. & Sarno, L. & Sestieri, G. - 312 Global Sourcing under Imperfect Capital Markets
by Carluccio, J. & Fally, T. - 226 Macroeconomic Fluctuations and Corporate Financial Fragility
by Bruneau, C. & de Bandt, O. & El Amri, W.
2010
- 311 Predicting Financial Distress in a High-Stress Financial World: The Role of Option Prices as Bank Risk Metrics
by Coffinet, J. & Pop, A. & Tiesset, M. - 310 Plus grandes, plus fortes, plus loin… Les performances des firmes exportatrices françaises
by Crozet, M. & Méjean, I. & Zignago, S. - 309 The changing role of house price dynamics over the business cycle
by Dufrénot, G. & Malik, S. - 308 To be or not to be in monetary union: A synthesis
by Clerc, L. & Dellas, H. & Loisel, O. - 307 Inattentive professional forecasters
by Andrade, P. & Le Bihan, H. - 306 Stress testing banks' profitability: the case of French banks
by Coffinet, J. & Lin, S. - 305 Wage and price joint dynamics at the firm level: an empirical analysis
by Horny, G. & Sevestre, P. - 304 Défiscalisation des heures supplémentaires: une perspective d'équilibre général
by Matheron, J. - 303 Does Inflation Targeting decrease Exchange Rate Pass-through in Emerging Countries?
by Coulibaly, D. & Kempf, H. - 302 Prices and volumes of options: A simple theory of risk sharing when markets are incomplete
by Le Grand, F. & Ragot, X. - 301 Incomplete markets, liquidation risk, and the term structure of interest rates
by Challe, E. & Le Grand, F. & Ragot, X. - 300 The Case for a Financial Approach to Money Demand
by Ragot, X. - 299 Endogenizing leadership in tax competition: a timing game perspective
by Kempf, H. & Rota Graziosi, G. - 298 Produce or speculate? Asset bubbles, occupational choice and efficiency
by Cahuc, P. & Challe, E. - 297 Fiscal Policy in a Tractable Liquidity-Constrained Economy
by Challe, E. & Ragot, X. - 296 Did Tax Policies mitigate US Business Cycles?
by Jimborean, R. & Ferroni, F. - 295 Is there Evidence of Shift-Contagion in International Housing Markets?
by de Bandt,O. & Malik, S. - 294 Compensation in the Financial Sector: Are all Bankers Superstars?
by Célérier, C. - 293 Insulation impossible: monetary policy and regional fiscal spillovers in a federation
by Cooper, R. & Kempf, H. & Peled, D. - 292 Fiscal developments in the euro area beyond the crisis: some lessons drawn from fiscal reaction functions
by Dufrénot G. & Paul L. - 291 Banks' financial conditions and the transmission of monetary policy: a FAVAR approach
by Jimborean, R. & Mésonnier, J-S. - 290 The art of central banking of the ECB and the separation principle
by Clerc, L. & Bordes, C. - 289 The French Regions’ Borrowing Behaviours. How heterogeneous are they?
by Dufrénot, G. & Frouté, P. & Schalck, C. - 288 Vente à distance, internet et dynamique des prix
by Askenazy, P. & Celerier, C. & Irac, D. - 287 Wage rigidity, collective bargaining and the minimum wage: evidence from French agreement data
by Avouyi-Dovi, S. & Fougère, D. & Gautier, E. - 286 Are the effects of fiscal changes different in times of crisis and non-crisis? The French Case
by Bouthevillain, C. & Dufrénot, G. - 285 The Growth-Volatility Relationship: New Evidence Based on Stochastic Volatility in Mean Models
by Lemoine, M. & Mougin, C. - 284 Innovation and Advertising: Theory and Evidence
by Askenazy, P. & Breda, T. & Irac, D. - 283 Do product market regulations in upstream sectors curb productivity growth? Panel data evidence for OECD countries
by Bourlès, R. & Cette, G. & Lopez, J. & Mairesse, J. & Nicoletti, G. - 282 Wage-setting Behavior in France: Additional Evidence from an Ad-hoc Survey
by Montornès, J. & Sauner-Leroy, J-B. - 281 Price, Wage and Employment Response to Shocks: Evidence from the WDN Survey
by Bertola, G. & Dabusinskas, A. & Hoeberichts, M. & Izquierdo, M. & Kwapil, C. & Montornès, J. & Radowski, D. - 280 Une première comparaison des droits à pension des ménages français et américains
by Durant, D. & Frey, L. - 279 Liquidity problems in the FX liquid market: Ask for the "BIL"
by Borgy, V. & Idier, J. & Le Fol, G. - 278 Central bank liquidity and market liquidity: the role of collateral provision on the French government debt securities market
by Avouyi-Dovi, S. & Idier, J. - 277 Financial Shocks and Optimal Policy
by Dellas, H. & Diba, B. & Loisel, O. - 276 Wealth effects: the French case
by Chauvin, V. & Damette, O. - 275 Common business and housing market cycles in the Euro area from a multivariate decomposition
by Ferrara, L. & Koopman, S J. - 274 The international transmission of house price shocks
by de Bandt, O. & Barhoumi, K. & Bruneau, C. - 273 Costs, demand, and producer price changes
by Loupias, C. & Sevestre, P. - 272 National borders matter... where one draws the lines too
by Lavallée, E. & Vicard, V. - 271 Productivity Growth and Levels in France, Japan, the United Kingdom and the United States in the Twentieth Century
by Cette, G. & Kocoglu, Y. & Mairesse, J.
2009
- 270 Impact of Fiscal Policy on Residential Investment in France
by Antipa, P. & Schalck, C. - 269 Housing cycles in the major euro area countries
by Álvarez, L-J. & Bulligan, G. & Cabrero, A. & Ferrara, L. & Stahl, H. - 268 Cyclical relationships between GDP and housing market in France: Facts and factors at play
by Ferrara, L. & Vigna, O. - 267 The “housing bubble” and financial factors: Insights from a structural model of the French and Spanish residential markets
by Antipa, P. & Lecat, R. - 266 Stockholding: Does housing wealth matter?
by Arrondel, L. & Savignac, F. - 265 Firms and the global crisis: French exports in the turmoil
by Bricongne, J-C. & Fontagné, L. & Gaulier, G. & Taglioni, D. & Vicard, V. - 264 Consumption-Wealth Ratio and Housing Prices
by Dubecq, S. & Ghattassi, I. - 263 Asset-price boom-bust cycles and credit: what is the scope of macro-prudential regulation?
by Borgy, V. & Clerc, L. & Renne, J-P. - 262 Forecasting inflation in France
by Célérier, C. - 261 Frequency-domain analysis of debt service in a macro-finance model for the euro area
by Renne, J-P. - 260 Identification of lagged duration dependence in multiple-spell competing risks models
by Horny, G. & Picchio, M. - 259 Forecasting Euro-area recessions using time-varying binary response models for financial
by Bellégo, C. & Ferrara, L. - 258 Trends and Cycles : an Historical Review of the Euro Area
by Barthélemy, J. & Marx, M. & Poissonnier, A. - 257 A unified framework for understanding and comparing dynamic wage and price-setting models
by Dixon, H. D. - 256 Labor Court Inputs, Judicial Cases Outcomes and Labor Flows: Identifying Real EPL
by Fraisse, H. & Kramarz, F. & Prost, C. - 255 The housing price boom of the late ’90s: did inflation targeting matter?
by Frappa, S. & Mésonnier, J-S. - 254 Fuzzy Capital Requirements, Risk-Shifting and the Risk Taking Channel of Monetary Policy
by Dubecq, S. & Mojon, B. & Ragot, X. - 253 Bank incentives and optimal CDOs
by Pagès, H. - 252 ICT Demand Behaviour: an International Comparison
by Cette, G. & Lopez, J. - 251 Optimal Portfolio Allocation under Asset and Surplus VaR Constraints
by Monfort, A. - 250 Une modélisation séquentielle de la VaR
by Alain Monfort. - 249 Bayesian estimation of Cox models with non-nested random effects: an application to the ratification of ILO conventions by developing countries
by Bernhard Boockmann. & Dragana Djurdjevic. & Guillaume Horny. & François Laisney. - 248 Inference in Mixed Proportional Hazard Models with K Random Effects
by Guillaume Horny. - 247 Désinflation et chômage dans la zone euro : une analyse à l'aide d'un modèle VAR structurel
by Fève, P. & Matheron, J. & Sahuc, J-G. - 246 Une estimation de la cible implicite d’inflation dans la zone euro
by Fève, P. & Matheron, J. & Sahuc, J-G. - 245 Minimum Distance Estimation and Testing of DSGE Models from Structural VARs
by Fève, P. & Matheron, J. & Sahuc, J-G. - 244 La TVA sociale : bonne ou mauvaise idée ?
by Fève, P. & Matheron, J. & Sahuc, J-G. - 243 Inflation Target Shocks and Monetary Policy Inertia in the Euro Area
by Fève,P. & Matheron,J. & Sahuc, J-G. - 242 Stress testing French banks' income subcomponents
by Coffinet, J. & Lin, S. & Martin, C. - 241 Comportement du banquier central en environnement incertain
by Avouyi-Dovi, S. & Sahuc, J-G. - 240 Leadership in Public Good Provision: a Timing Game Perspective
by Kempf, H. & Rota Graziosi, G. - 239 Identification of slowdowns and accelerations for the euro area economy
by Darné, O. & Ferrara, L. - 238 Macro stress testing with a macroeconomic credit risk model: Application to the French manufacturing sector
by Avouyi-Dovi, S. & Bardos, M. & Jardet, C. & Kendaoui, L. & Moquet , J. - 237 Convergence of firm-level productivity, globalisation, information technology, and competition: evidence from France
by Chevalier, P-A. & Lecat, R. & Oulton, N. - 236 Variantes en Univers Incertain
by Adjemian, S. & Cahn, C. & Devulder, A. & Maggiar, N. - 235 New Information Response Functions
by Jardet, C. & Monfort, A. & Pegoraro, F.

