Details about Nicolas Huchet
Access statistics for papers by Nicolas Huchet.
Last updated 2019-08-12. Update your information in the RePEc Author Service.
Short-id: phu330
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Working Papers
2013
- Banking Sector and Monetary Policy Transmission: Bank capital, Credit and Risk Taking Channels
Post-Print, HAL View citations (1)
2012
- Chocs de spread, liquidité du marché interbancaire et politique monétaire
Post-Print, HAL View citations (1)
See also Journal Article Chocs de Spread, liquidité du marché interbancaire et politique monétaire, Brussels Economic Review, ULB -- Universite Libre de Bruxelles (2012) View citations (1) (2012)
- Politique monétaire, Choix de portefeuille du secteur bancaire et Canal de la prise de risque
Post-Print, HAL
See also Journal Article Politique monétaire, choix de portefeuille du secteur bancaire et canal de la prise de risque, L'Actualité Economique, Société Canadienne de Science Economique (2012) (2012)
- Primes de risque interbancaires et politiques monétaires non conventionnelles dans la zone euro
Post-Print, HAL
2008
- The international lender of last resort and selective bail-out
Post-Print, HAL View citations (1)
See also Journal Article The international lender of last resort and selective bail-out, Emerging Markets Review, Elsevier (2008) View citations (2) (2008)
2007
- Prêt International de dernier ressort et sélectivité du renflouement
Post-Print, HAL
See also Journal Article PRÊT INTERNATIONAL EN DERNIER RESSORT ET SÉLECTIVITÉ DU RENFLOUEMENT, Region et Developpement, Region et Developpement, LEAD, Universite du Sud - Toulon Var (2007) (2007)
Journal Articles
2016
- The ECB, Between Conservatism and Pragmatism
Journal of Central Banking Theory and Practice, 2016, 5, (1), 25-52 View citations (2)
- The role of speculation in international futures markets on commodity prices
Research in International Business and Finance, 2016, 37, (C), 49-65 View citations (16)
- Unconventional Monetary Policy in the Eurozone: A Lack of Forward Guidance?
Emerging Markets Finance and Trade, 2016, 52, (1), 76-97 View citations (5)
2013
- A Second Dip in the Euro Area Money Market in 2011? Interbank Risk Premia and the ECB Bonds and Money Markets Policy
The Journal of European Theoretical and Applied Studies, 2013, 1, (1), 11-52
2012
- Amplification Effects and Unconventional Monetary Policies
Theoretical and Applied Economics, 2012, XVIII(2012), (2(567)), 13-30 View citations (2)
- Chocs de Spread, liquidité du marché interbancaire et politique monétaire
Brussels Economic Review, 2012, 55, (4), 409-426 View citations (1)
See also Working Paper Chocs de spread, liquidité du marché interbancaire et politique monétaire, Post-Print (2012) View citations (1) (2012)
- Politique monétaire, choix de portefeuille du secteur bancaire et canal de la prise de risque
L'Actualité Economique, 2012, 88, (2), 175-196 
Also in L'Actualité Economique, 2012, 88, (2), 175-196 (2012) 
See also Working Paper Politique monétaire, Choix de portefeuille du secteur bancaire et Canal de la prise de risque, Post-Print (2012) (2012)
2010
- Financial instability and economic cycles: A model of banking crisis
Brussels Economic Review, 2010, 53, (3/4), 393-413
2008
- A Selective Bail-Out International Lending of Last Resort Model
Annals of Economics and Finance, 2008, 9, (1), 103-114
- The international lender of last resort and selective bail-out
Emerging Markets Review, 2008, 9, (2), 144-152 View citations (2)
See also Working Paper The international lender of last resort and selective bail-out, Post-Print (2008) View citations (1) (2008)
2007
- PRÊT INTERNATIONAL EN DERNIER RESSORT ET SÉLECTIVITÉ DU RENFLOUEMENT
Region et Developpement, 2007, 26, 113-129 
See also Working Paper Prêt International de dernier ressort et sélectivité du renflouement, Post-Print (2007) (2007)
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