Jean-Charles Roche ( born Jean-Charles Rochet ; born November 1, 1957 , Bordeaux , France ) - French economist , professor of economics, president of the Econometric Society in 2012.
| Jean-Charles Roche | |
|---|---|
| Jean-Charles Rochet | |
| Date of Birth | |
| Place of Birth | Bordeaux , France |
| A country | |
| Scientific field | economy |
| Place of work | Zurich University |
| Alma mater | Higher Normal School (Paris) , University of Paris |
Content
Biography
Jean was born on November 1, 1957 in Bordeaux , France. [2]
In 1976-1980, he studied at the Higher Normal School in Paris , and in 1986 he was awarded a doctoral degree ( Ph.D. ) in mathematical economics at the University of Paris [3] .
He began his teaching career as an assistant professor at the University of Paris in 1980–1982, then worked as a CORE researcher at 1982 from 1982–1983, as a research assistant at the Econometric School in the Polytechnic School in Paris 1983-1984, associate professor at the University of Paris in 1984-1986. In 1986 he was awarded the post of full professor at the (ENSAE) in 1986–1988, then he was a professor of mathematics and economics at the University of Toulouse 1 in 1988–2012 [3] .
Currently, Jean-Charles Roche is Director of IDEI Research at the since 1992, Professor of Banking at the Faculty of Banking and Finance and Head of Department at the at the University of Zurich since 2010 [3 ] .
He is also a CEPR Research Associate since 1992, a member of the Econometric Society since 1995, a member of the since 2004, an Assistant Editor of Mathematical Finance journals since 2017, “Geneva Papers on Risk and Insurance” since 1990, "Annales d'Economie et de Statistiques" since 1992, " " since 1997, "Economie Publique" since 2003, "Journal of Financial Stability" since 2004, "Mathematics and Financial Economics" with 2006 [3] .
Jean-Charles Roche was a junior officer in 1993–1998, a senior officer in 2005–2012 at the , and a visiting professor at the London School of Economics and Political Science in 2001–2002 and at the University of Frankfurt in 2013–2014 years, President of the Econometric Society in 2012. He was a co-editor of the journal “Annals of Finance” in 2005–2009, assistant editor of the journals “ ” in 2012–2017, “ Econometrica ” in 1990–2002, and “ Journal of Mathematical Economics ” in 1985— 1993 [3] .
Awards
For his achievements he was awarded [3] :
- 1988 - Arconati-Visconti prize for the best doctoral dissertation at the University of Paris .
Bibliography
- Microéconomie de l'Assurance (with D. HENRIET) Economica (1990), 215 p.
- Méthodes Mathématiques de la Finance (with G. DEMANGE) Economica 1992, 305 p.
- Microeconomics of Banking (with X. FREIXAS) - MIT Press, 1997, 312 p.
- When Insurers Go Bust (with G. PLANTIN), - Princeton University Press, 2007, 101 p.
- Why Are There So Many Banking Crises ?, Gaston Eyskens Lectures 2000, - Princeton University Press, (2008), 308 p.
- Balancing the Banks (with M. DEWATRIPONT and J.TIROLE) - Princeton University Press, 2010, 138 p.
- Risk Management in Turbulent Times (with G. BENEPLANC), - Oxford University Press, 2011–212 p. This book was awarded the Prize "Risque - la Tribune 2011".
- Capital Regulation and Credit Fluctuations (with H. GERSBACH), to appear, Journal of Monetary Economics (2017).
- Shareholder Risk Measures "(with D. COCULESCU), to appear, Mathematical Finance (2017).
- The Dynamics of Insurance Prices "(with D. HENRIET and N. KLIMENKO), Geneva Risks and Insurance Review (2016), 41 (1), 2-18.
- Risky Utilities "(with G. ROGER), Economic Theory (2016), 62 (1), 361-382.
- A Theory of the Stakeholder Corporation "(with M. QUINZII and M. MAGILL), Econometrica (2015), 83 (5), 1685-1725.
- Sovereign Debt Sustainability in Advanced Economies "(with F. COLLARD and M. HABIB), Journal of the European Economic Association (2015), 13 (3), 1542 - 4766.
- Dynamics of Innovation and Risk "(with B. BIAIS and P. WOOLLEY), Review of Financial Studies (2015), 28 (5), 1353-1380.
- Market Frictions and Corporate Finance "(with S. MORENO-BROMBERG), Mathematics and Financial Economics (2014), 8 (4), 333-381.
- On the Strategic Value of Risk Management "(with T.-O. LEAUTIER), International Journal of Industrial Organization (2014), 153-169.
- Optimal Dividend Policy with Random Interest Rates "(with E. AKYILDIRIM, E. GUENEY and M. SONER), Journal of Mathematical Economics (2014), 51, 93-101.
- Rethinking the Regulatory Treatment of Securitization "(with V. CERASI), Journal of Financial Stability (2014), 10 (1), 20-31.
- Competing Mechanisms in a Common Value Environment: A Corrigendum (with B. BIAIS and D. MARTIMORT), Econometrica (2013), 81 (1), 393–406.
- Taming SIFIS "(with X. FREIXAS), Journal of Money, Credit and Banking (2013), 45 (s1), 37-58.
- Aggregate Investment Externalities and Macroprudential Regulation (with H. GERSBACH), Journal of Money, Credit and Banking (2012), 44 (S2), 73-109.
- Must-Take Cards: Merchant Discounts and Avoided Costs (with J. TIROLE), Journal of the European Economic Association (2011), 9 (3), 462-495.
Notes
- ↑ German National Library , Berlin State Library , Bavarian State Library , etc. Record # 120833557 // Rochet, Jean-Charles - 2012—2016.
- ↑ Blaug M. , Vane HR Who's who in economics , Fourth Edition. - Edward Elgar Publishing, 2003. - p. 704-705. - ISBN 978-1-84064-992-5 .
- ↑ 1 2 3 4 5 6 7 Jean-Michel Grandmont // University of Zurich . - 04/06/2017.