Jean‐charles Rochet
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Jean‐charles Rocheteconomics Degrees
Economics
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Microeconomics
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#59
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Economics
Jean‐charles Rochet's Degrees
- PhD Economics Federal University of Toulouse Midi-Pyrénées
- Masters Mathematics Federal University of Toulouse Midi-Pyrénées
Why Is Jean‐charles Rochet Influential?
(Suggest an Edit or Addition)Jean‐charles Rochet's Published Works
Published Works
- Platform competition in two sided markets (2003) (4319)
- Two-sided markets: a progress report (2006) (2582)
- Systemic risk, interbank relations and liquidity provision by the Central Bank (2000) (1366)
- Microeconomics of banking (1997) (1166)
- Interbank Lending and Systemic Risk (1996) (914)
- Coordination Failures and the Lender of Last Resort: Was Bagehot Right after All? (2002) (829)
- Cooperation Among Competitors: Some Economics of Payment Card Associations (2002) (710)
- Cooperation Among Competitors: Some Economics of Payment Card Associations (2002) (710)
- Cooperation Among Competitors: Some Economics of Payment Card Associations (2002) (710)
- Capital requirements and the behaviour of commercial banks (1992) (687)
- Changes of numéraire, changes of probability measure and option pricing (1995) (683)
- Ironing, Sweeping, and Multidimensional Screening (1998) (644)
- Rating the raters: Are reputation concerns powerful enough to discipline rating agencies?☆☆☆ (2009) (549)
- A necessary and sufficient condition for rationalizability in a quasi-linear context (1987) (466)
- Nonlinear Pricing with Random Participation (2002) (428)
- COMPETING MECHANISMS IN A COMMON VALUE ENVIRONMENT (2000) (364)
- Dynamic Security Design: Convergence to Continuous Time and Asset Pricing Implications (2007) (361)
- Two-Sided Markets: An Overview ∗ (2004) (356)
- The Economics of Multidimensional Screening (2003) (328)
- Large risks, limited liability, and dynamic moral hazard (2010) (302)
- Multi-dimensional screening:: A user's guide (1999) (263)
- The taxation principle and multi-time Hamilton-Jacobi equations☆ (1985) (236)
- Microeconomics of Banking, 2nd Edition (2008) (221)
- Contracts and Productive Information Gathering (1997) (216)
- Strategic Information Gathering Before a Contract is Offered (1998) (205)
- Direct Versus Indirect Taxation : The Design of the Tax Structure Revisited (2001) (203)
- An optimal IPO mechanism (2002) (197)
- The Three Pillars of Basel II, Optimizing the Mix (2004) (179)
- Balancing the Banks: Global Lessons from the Financial Crisis (2010) (173)
- Insider Trading without Normality (1994) (156)
- Free Cash Flow, Issuance Costs, and Stock Prices (2011) (142)
- Controlling Risk in Payment Systems (1996) (133)
- Optimal Nonlinear Pricing with Two-Dimensional Characteristics (1987) (132)
- The Lender of Last Resort: A 21st Century Approach (2003) (132)
- The Lender of Last Resort: A Twenty-First Century Approach (2004) (131)
- An Economic Analysis of the Determination of Interchange Fees in Payment Card Systems (2003) (122)
- MUST-TAKE CARDS: MERCHANT DISCOUNTS AND AVOIDED COSTS (2011) (119)
- CHANGES OF NUMERAIRE, CHANGES OF PROBABILITY MEASURE (1995) (110)
- Capital Regulation and Credit Fluctuations (2012) (104)
- Bunching and second-order conditions: A note on optimal tax theory☆ (1983) (104)
- Macroeconomic Shocks and Banking Supervision (2004) (99)
- Tying-In Two-Sided Markets and the Honour All Cards Rule (2007) (99)
- Capital income taxation when inherited wealth is not observable (2003) (98)
- Incentives, Redistribution and Social Insurance (1991) (97)
- A Theory of the Stakeholder Corporation (2015) (95)
- The Theory of Interchange Fees: A Synthesis of Recent Contributions (2003) (93)
- Risk-Taking Behavior with Limited Liability and Risk Aversion (1997) (92)
- The Pricing of Academic Journals: A Two-Sided Market Perspective (2007) (92)
- Hopf formula and multitime Hamilton-Jacobi equations (1986) (88)
- Aggregate Investment Externalities and Macroprudential Regulation (2012) (85)
- Fair pricing of deposit insurance. Is it possible? Yes. Is it desirable? No (1998) (78)
- Microeconomics of Banking Second Edition (2008) (75)
- Why Are there So Many Banking Crises (2003) (74)
- Externalities and Regulation in Card Payment Systems (2006) (73)
- Regulation of a Risk Averse Firm (1998) (72)
- Rebalancing the Three Pillars of Basel Ii (2004) (70)
- Productivity and mobility in academic research: evidence from mathematicians (2014) (67)
- Credit Card Interchange Fees (2009) (65)
- Revealed Preferences and Differentiable Demand: Notes and Comments (1987) (63)
- Sovereign Debt Sustainability in Advanced Economies (2015) (61)
- Taming Systemically Important Financial Institutions (2013) (61)
- Lessons from the Crisis (2010) (58)
- Introduction to Why Are There So Many Banking Crises? The Politics and Policy of Bank Regulation (2008) (56)
- When Insurers Go Bust: An Economic Analysis of the Role and Design of Prudential Regulation (2007) (55)
- Collusion in Organizations (1997) (54)
- Liquidity regulation and the lender of last resort (2008) (50)
- Competition Among Health Plans: A Two-Sided Market Approach (2010) (45)
- (De)stabilizing speculation on futures markets: An alternative view point (1993) (45)
- RISK AVERSION AND PLANNING HORIZONS (2006) (43)
- Liquidity management and corporate demand for hedging and insurance (2011) (43)
- DYNAMIC SPANNING: ARE OPTIONS AN APPROPRIATE INSTRUMENT? (1996) (42)
- Incorporating a 'Public Good Factor' into the Pricing of Large-Value Payment Systems (2005) (41)
- Aggregate Bank Capital and Credit Dynamics (2016) (40)
- Optimal Dividend Policy with Random Interest Rates (2012) (39)
- Dynamic financial contracting (2013) (39)
- Solvency regulations and the management of banking risks (1999) (36)
- Outliers in the Single Ring Theorem (2013) (36)
- Dynamic Security Design (2004) (35)
- Health and Wealth: How do They Affect Individual Preferences? (2004) (34)
- Procyclicality of financial systems: is there a need to modify current accounting and regulatory rules? (2008) (33)
- Must-Take Cards and the Tourist Test (2007) (31)
- Cooperation Among Competitors: The Economics of Credit Card Associations (1999) (31)
- Pooling and Separating Equilibria in Insurance Markets with Adverse Selection and Distribution Costs (1997) (31)
- The dynamics of innovation and risk (2013) (28)
- Rethinking the Regulatory Treatment of Securitization (2008) (26)
- Is Public Health Insurance an Appropriate Instrument for Redistribution (2006) (26)
- Liquidity Risk and Corporate Demand for Hedging and Insurance (2004) (21)
- Systemic risk: changing the regulatory perspective (2010) (20)
- Corporate portfolio management (2005) (20)
- The Welfare Effects of Vertical Integration in the Securities Clearing and Settlement Industry (2005) (19)
- Optimal dividend policies with random profitability (2017) (19)
- Efficient Pricing of Large Value Interbank Payment Systems (2002) (19)
- Competition Policy in Two-Sided Markets (2008) (18)
- Optimal Sovereign Debt: An Analytical Approach (2006) (18)
- The Rise of NGO Activism (2016) (17)
- Coordination Failure and the Last Lender of Resort: Was Bagehot Right After All ? (2004) (17)
- Corrigendum to "Competing Mechanisms in a Common Value Environment" (2013) (17)
- The Lifecycle of the Financial Sector and Other Speculative Industries (2009) (17)
- The treatment of distressed banks (2009) (16)
- When Insurers Go Bust (2006) (16)
- Prudential Policy (2005) (16)
- The Dynamics of Insurance Prices (2016) (16)
- COMPETING MECHANISMS IN A COMMON VALUE ENVIRONMENT BY BRUNO BIAIS, (2005) (15)
- COMPETING MECHANISMS IN A COMMON VALUE ENVIRONMENT BY BRUNO BIAIS, (2005) (15)
- A Critique of Shareholder Value Maximization (2013) (14)
- Free Cash-Flow, Issuance Costs and Stock Price Volatility (2008) (14)
- Some reflections on insurance pricing (1987) (14)
- Risk Management in Turbulent Times (2011) (14)
- Tying in Two-Sided Markets and The Impact of the Honor All Cards Rule (2003) (13)
- A variational approach for pricing options and corporate bonds (1997) (13)
- Complex Outliers of Hermitian Random Matrices (2015) (12)
- Chapter Eight. Capital Requirements and the Behavior of Commercial Banks (2009) (12)
- Risk sharing, adverse selection and market structure (1997) (12)
- Rents, learning and risk in the financial sector and other innovative industries (2009) (11)
- Bank Bonus Pay as a Risk Sharing Contract (2018) (11)
- Innovations, Rents and Risk (2012) (11)
- Actuarial Pricing of Deposit Insurance (1993) (11)
- A simple macroeconomic model with extreme financial frictions (2017) (10)
- Monopoly regulation without the Spence–Mirrlees assumption ☆ (2009) (10)
- On planning procedures which are locally strategy proof (1983) (10)
- Regulating Systemic Institutions (2009) (10)
- Rebalancing the 3 Pillars of Basel 2 (2003) (10)
- Is it Legitimate to Encourage Work Sharing (1995) (10)
- On the Strategic Value of Risk Management (2013) (9)
- Equilibrium in a Reinsurance Market: Introducing Taxes (1994) (9)
- Balancing the Banks (2017) (8)
- Bilateral monopoly with imperfect information (1985) (8)
- Bank Runs and Financial Crises: A Discussion (part III) (2004) (8)
- Risky utilities (2015) (8)
- Financial mathematics : lectures given at the 3rd session of the Centro internazionale matematico estivo (C.I.M.E.) held in Bressanone, Italy, July 8-13, 1996 (1997) (8)
- Myopic Versus Intertemporal Manipulation in Decentralized Planning Procedures (1983) (8)
- Some recent results in bargaining theory (1987) (7)
- Continuous-Time Models in Corporate Finance, Banking, and Insurance: A User's Guide (2018) (6)
- The Reluctant Defaulter: A Tale of High Government Debt (2016) (6)
- Risk Aversion and Planning Horizon (2004) (6)
- Market frictions and corporate finance: an overview paper (2014) (6)
- Intertemporal Price Discrimination with Multiple Products (2017) (5)
- Operational Risk and Capital Requirements in the European Investment Fund Industry (2003) (5)
- Product differentiation and duopoly (1985) (5)
- The safe asset, banking equilibrium, and optimal central bank monetary, prudential and balance-sheet policies (2020) (5)
- Stock Market Portfolios and the Segmentation of the Insurance Market (1988) (5)
- Accident Risk, Limited Liability and Dynamic Moral Hazard (2007) (5)
- Unconventional Monetary Policy and the Safety of the Banking System (2016) (5)
- Competition Between HMO and PPO: A Two-Sided Market Approach (2009) (5)
- Insider Trading and Market Manipulations: A Weak Invisible Hand Result (1990) (5)
- Commentary: Systemic Risk: Changing the Regulatory Perspective (2012) (5)
- Fluctuations for analytic test functions in the Single Ring Theorem (2015) (4)
- CHAPTER 3. The Future of Banking Regulation (2010) (4)
- Chapter Seven. Systemic Risk, Interbank Relations, and the Central Bank (2009) (4)
- A Dynamic Theory of the Balance Sheet (2004) (4)
- An industrial organisation approach to the too-big-to-fail problem (2010) (4)
- Financial Intermediation, Capital Accumulation, and Recovery (2015) (4)
- A FRAMEWORK FOR MACROPRUDENTIAL BANKING REGULATION 1 (2005) (3)
- Balancing Cooperation and Competition in Retail Payment Systems: Lessons from Latin America Case Studies (2008) (3)
- Price-quantity duality in planning procedures (1985) (3)
- Intertemporal Price Discrimination with Two Products (2017) (3)
- What Does It Take to Become a Good Mathematician (2010) (3)
- Activists versus Captured Regulators (2013) (3)
- Regulation of Banks' Liquidity: Why and How? (2007) (3)
- Insider trading and market manipulations--existence and uniqueness of equilibrium (1991) (3)
- Some economics of horizontal integration in the payments industry (2007) (2)
- Commentary: rethinking capital regulation (2008) (2)
- Issuance Costs and Stock Return Volatility (2007) (2)
- Interchanges Fees in Payment Card Systems: Price Remedies in a Two-Sided Market (part 2) (2009) (2)
- Fluctuation of Matrix Entries and Application to Outliers of Elliptic Matrices (2016) (2)
- Environmental Risk Insurance under Dynamic Moral Hazard (2007) (2)
- Competitive Nonlinear Pricing (1997) (2)
- Price competition and multi-product firms (1985) (2)
- How can governments borrow so much (2013) (2)
- Taking Banks to Solow (2015) (2)
- Risk-Taking Behaviour With Expected Utility and Limited Liability: Applications to the Regulation of Financial Intermediaries (1993) (2)
- Why Do Firms Issue Green Bonds? (2021) (2)
- Vertical Integration and Regulation in the Securities Settlement Industry (2010) (2)
- Reforming Capitalism 1 (2010) (1)
- General Introduction and Outline of the Book (2009) (1)
- Bank Restructuring without Government Intervention (2019) (1)
- Chapter Four. Macroeconomic Shocks and Banking Supervision (2009) (1)
- Financial Intermediation, Capital Accumulation and Crisis Recovery (2017) (1)
- SERIES 289 Systematic bailout guarantees and tacit coordination (2014) (1)
- Isolated eigenvalues of non Hermitian random matrices (2016) (1)
- Chapter Three. The Lender of Last Resort: A Twenty-First-Century Approach (2009) (1)
- The Long-Term Effects of Capital Requirements (2021) (1)
- Macroeconomic Shocks and Banking Supervision 1 (2004) (1)
- Private Politics and Public Regulation (2013) (1)
- Two Sided Markets : An Overview (semanticscholar.org) (2019) (1)
- Regulation and Ruin Theory: Controlling the Probability of Failure (2007) (1)
- Banks’ Fragility and the Lender of Last Resort (2000) (1)
- The Fluctuations of Insurers’ Risk Appetite (2022) (1)
- The Case of Incomplete Markets (2011) (1)
- Bank Capital and Aggregate Credit Nataliya Klimenko (2015) (1)
- Dividends with random profitability rate (2017) (1)
- (De) Stabilizing Properties of Futures Markets: an Alternative View Point (1993) (1)
- Chapter One. Why Are There So Many Banking Crises (2009) (0)
- The Rise of NGO Activism : Online Appendix (2019) (0)
- 8. How Does Insurance Regulation Fit within Other Financial Regulations (2009) (0)
- Swiss Finance Institute Roundups Finance and the Green Transition (2020) (0)
- Lessons From Recent Financial Crises (2011) (0)
- Chapter Nine. Rebalancing the Three Pillars of Basel II (2009) (0)
- econstor Make Your Publications Visible . A Service of zbw (2008) (0)
- 2. Four Recent Cases of Financially Distressed Insurers (2009) (0)
- SHAREHOLDER RISK MEASURES (2018) (0)
- 6. How to Organize the Regulation of Insurance Companies (2009) (0)
- Complex Outliers of Hermitian Random Matrices (2016) (0)
- Productivity and mobility in academic research: evidence from mathematicians (2013) (0)
- COMONOTONIC MEASURES OF MULTIVARIATE RISKS IVAR EKELAND University of British Columbia ALFRED GALICHON (2010) (0)
- Jean-charles Rochet: Why Are There so Many Banking Crises? (2007) (0)
- Living in Turbulent Times (2011) (0)
- The interchange fee mysteries: commentary on Evans and Schmalensee (2005) (0)
- Leverage and Ruin Theory (2011) (0)
- Risk Management and the Shareholder Value Function (2011) (0)
- Is Health Insurance an Appropriate Tool for Redistribution (2004) (0)
- Chapter Five. Interbank Lending and Systemic Risk (2009) (0)
- Markets Are Efficient (2017) (0)
- Chapter Ten. The Three Pillars of Basel II: Optimizing the Mix (2014) (0)
- 4. Inversion of the Production Cycle and Capital Structure of Insurance Companies (2009) (0)
- RAND Journal of Economics: Introduction (2006) (0)
- 5. Applications to Insurance (2018) (0)
- The Dynamics of Insurance Prices (2016) (0)
- OPTIMAL PAYMENT PRACTICES: A FRAMEWORK FOR ANALYSING THE COLOMBIAN PAYMENTS ECOSYSTEM (2020) (0)
- Can Finance Make the Planet Greener ? (2019) (0)
- The Shareholder Value Function (2011) (0)
- Learning from an Example (2011) (0)
- Market frictions and corporate finance: an overview paper (2014) (0)
- A Theoretical Analysis of Bank Reforms in Transition Economies (2000) (0)
- Permanent researchers Associated researchers (2019) (0)
- A Theoretical Analysis of Bank Reforms in Transition Economies (2000) (0)
- A Theoretical Analysis of Bank Reforms in Transition Economies (2000) (0)
- Risk Neutral Valuation (2011) (0)
- The RAND Corporation Two-Sided Markets : A Progress Report (2005) (0)
- Liquidity and interbank markets (2013) (0)
- Public Debt and the Balance Sheet of the Private Sector (2022) (0)
- Defining Risk Apetite (2007) (0)
- Risk Management in a Normal World (2011) (0)
- How should we regulate banks’ liquidity? (2007) (0)
- Competitive issues in the banking sector (Nasse Seminar - Paris, 9th June 2005) (2005) (0)
- 5. Absence of a Tough Claimholder in the Financial Structure of Insurance Companies and Incomplete Contracts (2009) (0)
- 1. Why Is Option Pricing Useful in Corporate Finance? (2018) (0)
- Proceedings 1995 : Minutes of General Assembly 3 September 1995, Congress Palace, Vysehrad, Prague (1996) (0)
- Working Paper Department of Economics a Liquidity Based Asset Pricing Model (2011) (0)
- 7. The Role of Reinsurance (2009) (0)
- Introduction to the Symposium (2007) (0)
- PLASTICITY, MONOTONICITY, AND IMPLEMENTABILITY (2014) (0)
- Chapter Two. Coordination Failures and the Lender of Last Resort: Was Bagehot Right After All? (2009) (0)
- Risky utilities (2015) (0)
- States, Banks and the Financing of the Economy: Monetary Policy and Regulatory Perspectives (2013) (0)
- The Allocation of Contracts for Infrastructure Operation Under Uncertainty (2005) (0)
- Financial Institutions Center Risk-Taking Behavior with Limited Liability and Risk Aversion (1995) (0)
- 9. Conclusion: Prudential Regulation as a Substitute for Corporate Governance (2009) (0)
- Risk Appetite Fluctuations in the Insurance Industry (2022) (0)
- CHAPTER 4. The Treatment of Distressed Banks (2010) (0)
- The Need for a Proper Methodology (2011) (0)
- Report of the chairman of the standing committee for student's affairs (1996) (0)
- TAMING SIFIS by Xavier Freixas (2010) (0)
- The Basic Tools of Risk Modeling (2011) (0)
- Debt — Growth — Resilience (2019) (0)
- Competition: horizontal integration: general discussion (2007) (0)
- Comments on the impact of regulatory practices (2002) (0)
- Policies to stabilize financial markets (2009) (0)
- 3. The State of the Art in Prudential Regulation (2009) (0)
- Chapter Six Controlling Risk in Payment Systems (2009) (0)
- Appendix C Useful Mathematical Results (2018) (0)
- Statistical Risk Measures (2011) (0)
- Recursive Utility, Precautionary Saving and the Demand for Insurance (1994) (0)
- Why Market Imperfections Matter for Shareholder Value (2011) (0)
- Imperfect Banking Competition and Macroeconomic Volatility: A DSGE Framework (2020) (0)
- [6 CASES OF ACCIDENTAL ANOXIA CAUSED BY A MOBILE BUTANE GAS HEATING APPLIANCE]. (1964) (0)
- The Different Steps of the Implementation (2011) (0)
- Taxing Financial Transactions (2022) (0)
- Risk Management In Turbulent Times By Gilles Beneplanc;Jean-Charles Rochet (2019) (0)
- HB ^16 ^eneva PaPers on Risk and Insurance Theory, 29: 43-54, 2004 (2004) (0)
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