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Jean-Pierre Allegret

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Affiliations and Contact Information


University Paris Ouest - Nanterre La Défense, UFR SEGMI, 200 avenue de la République, 92001 Nanterre cedex.
Bureau G607 bis
Tél. +33 (0) 1 40 97 40 85
Email: jallegret@u-paris10.fr
 
Curriculum Vitae in English
Curriculum Vitae in French
 

Current Position


Professor of Economics
University Paris Ouest - Nanterre La Défense
Deputy Director EconomiX
 

Research Interests

 

Policy-mix in emerging economies

Exchange rate regimes

Global imbalances

Business cycles

Main Publications


Books


2015: Economie de la mondialisation, vers une rupture durable ?, collection Ouvertures économiques, de Boeck, Bruxelles, with P. Le Merrer.
 
2009: Exchange Rate Regimes in Emerging and Transition Economies, Ed. by University of Novi Sad-Faculty of Economics Subotica, with K. Josifidis and E. Beker.

2007: Economie de la mondialisation, opportunités et fractures, collection Ouvertures économiques, de Boeck, Bruxelles, with P. Le Merrer.

Papers

2017: The impact of the European sovereign debt crisis on banks stocks. Some evidence of shift contagion in Europe, avec H. Raymond and H. Rharrabti, Journal of Banking and Finance, 74: 24-37.
 
2016: Oil currencies in the face of oil shocks: what can be learned from time-varying specifications?, with C. Couharde, V. Mignon, and T. Razafindrabe, Applied Economics, forthcoming.
 
2016: Intra-European Union imbalances and cyclical position: Does monetary policy matter?, in International Finance Review Vol. 18, Economic Imbalances and Institutional Changes to the Euro and the European Union, edited by Rorita Canale and Rajmund Mirdala.
 
2015: Oil price shocks and global imbalances: Lessons from a model with trade and financial interdependencies, Economic Modellingwith V. Mignon and A. Sallenave, 49(September): 232–247.

2015: Capital flows and boom-bust cycle in emerging Europe. Responses to the volatile financial global context, in The European Union and the challenges of the new global context, Edited by I. Tache, Cambridge Scholars Publishing, Newcastle, U.K., with A. Sallenave, 208-232.
 
2015: Capital flow bonanzas and monetary policy in emerging Europe: responses to the global financial crisis, Post-Communist Economies, with A. Sallenave, 27(4): 429-447.

2015: External shocks and monetary policy in an oil exporting economy, Journal of Policy Modeling, with M.T. Benkhodja, 37(4): 652-667.
 
2014: The impact of real exchange rates adjustments on global imbalances: a multilateral approach, Economic Modelling, with A. Sallenave, 37(February): 149-163.

2014: The Dutch disease effect in a high versus low oil dependent countries, Energy Studies Review, Special Issue "Economics of Energy & Climate Change", with M.T. Benkhodja, 21(2): 33-75.
 
2014: Current accounts and oil price fluctuations in oil-exporting countries: the role of financial development, Journal of International Money and Finance, with C. Couharde, D. Coulibaly, and V. Mignon, 47(1): 185-201.
 
2014: Intégration financière internationale et croissance économique dans les pays émergents et en développement : le canal du développement financier, Revue d'Economie du Développement, with S. Azzabi, n°3: 27-68. Supplementary Tables.
 
2014: The effects of the global crisis on emerging economies, in The European debt crisis, causes, consequences, measures and remedies, Edited by Ali Ari, Cambridge Scholars Publishing: 101-125.
 
2014: Macroeconomic policy responses to financial crises in emerging European economies, Economic Modelling, with E. Beker-Pucar, C. Gimet et K. Josifidis, 36(January): 577-591.

2013: Une analyse informationnelle de la crise financière récente, Revue Française d'Economie, with C. Cornand, 28(2013/3): 213-264.
  
2013: Financial development, threshold effects and convergence in developing and emerging countries, Economics Bulletin, with S. Azzabi, 33(3): 1899-1921.
 
2013: Adjustment mechanisms and exchange rate regimes in new 2004 EU members during the financial crisis, Post-Communist Economies, with E. Beker-Pucar and K. Josifidis, 25(1): 1-17.
 
2012: Responses of monetary authorities in emerging economies to international financial crises: What do we really know?, European Research Studies Journal, 15(3): 3-32.
 
2012: La transmission des crises financières aux pays émergents : l'expérience de l'Europe émergente, Revue de l'Union européenne, n°561, septembre: 523-532.
 
2012: The impact of external shocks in East Asia: lessons from a structural VAR model with block exogeneity, International Economics, with C. Couharde  and C. Guillaumin, 132: 35-89.
 
2012:  Développement financier, croissance de long terme et effets de seuil, Panoeconomicus, with S. Azzabi, 59(5):  553-581.
 
2012: Les mouvements de capitaux à destination des pays émergents après la crise financière liée aux subprimes », in Développements récents en économie et finances internationales, Mélanges en l’honneur du professeur René Sandretto, L. Abdelmalki, J.P. Allegret, F. Puech, M. Sadni Jallab, and A. Silem (eds), Armand Colin, Paris, pp.211-229.
 
2011: Business cycles synchronization in East Asian economy : evidences from time-varying coherence study, Economic Modelling, with E. Essaadi, 28(1-2): 351-365.

2011: Inflation targeting and exchange rate regimes in the case of Serbia and selected transition economies, Eastern European Economics, with K. Josifidis and E. Beker Pucar, 49(4): 88-105.

2011: Le choix d’un régime de change dans les pays émergents et en développement peut-il être optimal en dehors des solutions bi-polaires ?, Revue Economique, with M. Ayadi and L. Haouaoui-Khouni, 62(2): 133-162.

2010: Processus d’intégration et coordination des politiques macroéconomiques dans le Mercosur : une approche en termes de cycle, L’Actualité économique, Revue d’analyse économique, with A. Sand-Zantman, 86(2): 163-204.

2009: Does a Monetary Union protect against foreign shocks? An assessment of Latin American integration, Journal of Policy Modeling, with A. Sand-Zantman, 31(1): 102-118.

2009: Modeling the impact of real and financial shocks on Mercosur: the role of the exchange rate regime, Open Economies Review, with A. Sand-Zantman, 20(3): 359-384.

2007: Disentangling Business Cycles and Macroeconomic policy in Mercosur: a VAR and an Unobserved Components Models approaches, Journal of Economic Integration, with A. Sand-Zantman, 22(3): 482-514.

2007: The institutional failures of the International Monetary Fund conditionality, Review of International Organizations, with P. Dulbecco, 2(4): 309-327.

2006: La politique de diffusion de l’information : la transparence des banques centrales est-elle toujours préférable ?, Revue Française d’Economie, with C. Cornand, 21(1): 87-126.

2006: The pros and cons of higher transparency: the case of speculative attacks, Louvain Economic Review, with C. Cornand, 72(3): 215-246.

2003: Financial Liberalisation and Stability of the Financial System in Emerging Markets: the institutional dimension of financial crises, Review of International Political Economy, with B. Courbis and Ph. Dulbecco, 10(1): 73-92.

 









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