Publications

  1. Financial Advisors and Investors’ Bias
    Review of Financial Studies (2025)
    with Marianne Andries and Maxime Bonelli.
    SSRN · Published Version
  2. How to Use Natural Experiments to Measure Misallocation
    American Economic Review (2023), 113(4): 906–38
    with David Thesmar.
    SSRN · Published Version
  3. Quantifying Reduced-Form Evidence on Collateral Constraints
    Journal of Finance (2022), 77(4): 2143-2181
    with Sylvain Catherine, Thomas Chaney, Zongbo Huang and David Thesmar.
    SSRN · Published Version
  4. Banks Exposure to Interest Rate Risk and The Transmission of Monetary Policy
    Journal of Monetary Economics (2021), 117: 543-570
    with Matthieu Gomez, Augustin Landier, and David Thesmar.
    SSRN · Published Version
  5. The Banking View of Bond Risk Premia
    Journal of Finance (2020), 75(5): 2465-2502
    with Valentin Haddad.
    SSRN · Published Version
  6. Can Unemployment Insurance Spur Entrepreneurial Activity? Evidence from France
    Journal of Finance (2020), 75(3): 1247-1285
    with Johan Hombert, Antoinette Schoar and David Thesmar.
    SSRN · Published Version
  7. Banking Integration and House Price Comovement
    Journal of Financial Economics (2017), 125(1): 1-25
    with Augustin Landier and David Thesmar.
    SSRN · Published Version
  8. Inflation Bets on the Long Bond
    Review of Financial Studies (2017), 30(3): 900–947
    with Harrison Hong and Jialin Yu.
    SSRN · Published Version
  9. Housing Collateral and Entrepreneurship
    Journal of Finance (2017), 72(1): 99-132
    with Martin Schmalz and David Thesmar.
    SSRN · Published Version
  10. Speculative Betas
    Journal of Finance (2016), 71(5): 2095-2144
    with Harrison Hong.
    SSRN · Published Version
  11. Are Retail Traders compensated for Liquidity Provision?
    Journal of Financial Economics (2016), 120(1): 146-168
    with Jean-Noel Barrot and Ron Kaniel.
    SSRN · Published Version
  12. Quiet Bubbles
    Journal of Financial Economics (2013), 110(3): 596-606.
    with Harrison G. Hong.
    SSRN · Published Version
  13. Bottom-Up Corporate Governance
    Review of Finance (2013), 17(1): 161-201.
    with Augustin Landier and David Thesmar.
    SSRN · Published Version
  14. The Collateral Channel: How Real Estate Shocks Affect Corporate Investment
    American Economic Review (2012), 102(6): 2381-2409.
    with Thomas Chaney and David Thesmar.
    SSRN · Published Version
  15. Growth LBOs
    Journal of Financial Economics (2011), 102(2): 432-453.
    with Quentin Boucly and David Thesmar.
    SSRN · Published Version
  16. Individual Investors and Volatility
    Journal of Finance (2011), 66(4): 1369-1406.
    with Thierry Foucault and David Thesmar.
    SSRN · Published Version
  17. Optimal Dissent in Organizations
    Review of Economic Studies (2009), 76(2): 761-794.
    with Augustin Landier and David Thesmar.
    SSRN · Published Version
  18. Performance and Behavior of Family Firms: Evidence from the French Stock Market
    Journal of the European Economic Association (2007), 5(4): 709-751.
    with David Thesmar.
    SSRN · Published Version



Non-refereed Publications

  1. How to Use Microdata for Macro-Finance
    Annual Review of Financial Economics (2023), 15: 387-406 .
    with David Thesmar.
    SSRN · Published Version
  2. Entrepreneurship and Credit Constraints: Evidence from a French Loan Guarantee Program
    NBER volume on “International Differences in Entrepreneurship” edited by J. Lerner and A. Schoar, University of Chicago Press (2010)
    with Claire Lelarge and David Thesmar.
    PDF · Published Version
  3. Financial Risk Management: When Does Independence Fail?
    American Economic Review Papers and Proceedings (2009)
    with href=“https://sites.google.com/site/augustinlandier/”>Augustin Landier, and David Thesmar
    PDF · Published Version