Publications
(2025) “Navigating Geopolitical Tensions and Climate Risks: Insights from European Stock Market Performance”, under review, co-author Whelsy BOUNGOU
(2025) “Energy uncertainty and stock performance: Evidence from Chinese firms”, under review, co-author Whelsy BOUNGOU
(2025) “Unveiling the Effects of Monetary Surprises: Risk-Taking and credit supply of U.S. Banks”, Int. Review of Economics and Finance, in press, https://doi.org/10.1016/j.iref.2025.104211.
(2025) “Chinese stock market performance and natural disasters”, Journal of Emerging Market Finance, co-authors Whelsy BOUNGOU and Nicholas BIEKPE, https://doi.org/10.1177/09726527251318132
(2021) “Monetary policy, prudential policy and bank's risk-taking: a literature review”, Journal of Economic Surveys, 1–32, https://doi.org/10.1111/joes.12485 In Press.
(2019) “Re-exploring the nexus between monetary policy and banks’ risk-taking”, Economic Modelling, Vol. 82, Nov. 2019, 294-307, https://doi.org/10.1016/j.econmod.2019.01.016 .
Working Papers
(2021) "The most expected things often come as a surprise: Analysis of the impact of monetary surprises on the bank's risk and activity", GREDEG Working Paper n° 2021-45, December 2021, 28p. (published in 2025 as “Unveiling the Effects of Monetary Surprises: Risk-Taking and credit supply of U.S. Banks” in Int. Review of Economics and Finance)
(2020) “Monetary and prudential policy coordination: impact on bank’s risk-taking”, GREDEG Working Paper n° 2020-24, May 2020, 33p, with Olivier BRUNO.
Works in progress
“Geopolitical tensions, climate risks, and the U.S banking system”
“Financial structure and financial stability”, co-author Jeremy Pepy
"Climate change: an easy challenge for prudential and monetary policy?"
"Are investors safe from war: the impact of the Russian-Ukrainian war on stock markets return and volatility"