Benoît Nguyen

Banque de France

Economist

Paris

France

Université Paris I Panthéon-Sorbonne

17, rue de la Sorbonne

Paris, IL 75005

France

SCHOLARLY PAPERS

5

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Scholarly Papers (5)

1.

Monetary Policy and Collateral Constraints Since the European Debt Crisis

Banque de France Working Paper No. 669
Number of pages: 30 Posted: 21 Mar 2018 Last Revised: 03 Apr 2018
Jean Barthelemy, Vincent Bignon and Benoît Nguyen
Institut d'Etudes Politiques de Paris (Sciences Po), Department of Economics, Students, Banque de France (Microeconomic research unit) and Banque de France
Downloads 0 (515,867)

Abstract:

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Collateral; Eurosystem; Transmission of monetary policy; European debt crisis

2.

Eurosystem's Asset Purchases and Money Market Rates

Banque de France Working Paper No. 652
Number of pages: 43 Posted: 06 Dec 2017
Banque de France, Banque de France, Banque de France and Banque de France
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specialness, repo market, asset purchases, money market

3.

Illiquid Collateral and Bank Lending During the European Sovereign Debt Crisis

Banque de France Working Paper No. 631
Number of pages: 30 Posted: 10 Jun 2017
Jean Barthelemy, Vincent Bignon and Benoît Nguyen
Institut d'Etudes Politiques de Paris (Sciences Po), Department of Economics, Students, Banque de France (Microeconomic research unit) and Banque de France
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collateral, loans, central bank, euro crisis

4.

Price Impact of Bond Supply Shocks: Evidence from the Eurosystem's Asset Purchase Program

Banque de France Working Paper No. 623
Number of pages: 45 Posted: 14 Apr 2017
William Arrata and Benoît Nguyen
Banque de France and Banque de France
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QE, asset purchase programs, bond supply, unconventional monetary policy

5.

Inspecting the Mechanism of Quantitative Easing in the Euro Area

Banque de France Working Paper No. 601
Number of pages: 47 Posted: 09 Sep 2016 Last Revised: 23 Mar 2018
New York University (NYU) - Department of Finance, Banque centrale du Luxembourg, Banque de France and Princeton University - Department of Economics
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Quantitative Easing, Flow of Risk, Portfolio Rebalancing, Risk Concentration