Articles/postings/letters of experts board member Norbert Gaillard, PhD, key expert on sovereign topics[1]Personal website of Norbert Gaillard.
Main Publications
- “How and Why Moral Hazard Has Distorted Financial Regulation”, in Anil Hira, Norbert Gaillard and Theodore Cohn (Eds.), The Failure of Financial Regulation – Why a Major Crisis Could Happen Again, Palgrave Macmillan, International Political Economy Series, Cham, 2019 (book chapter)
- “Persistent Issues with Financial Regulation”, in Anil Hira, Norbert Gaillard and Theodore Cohn (Eds.), The Failure of Financial Regulation – Why a Major Crisis Could Happen Again, Palgrave Macmillan, International Political Economy Series, Cham, 2019 (book chapter)
- The Failure of Financial Regulation – Why a Major Crisis Could Happen Again, Anil Hira, Norbert Gaillard and Theodore Cohn (Eds.), Palgrave Macmillan, International Political Economy Series, Cham, 2019 (book)
- “The Icarus Syndrome: How Credit Rating Agencies Lost Their Quasi Immunity”, Southern Methodist University Law Review, Vol.77, Issue 4, December 2018 (article)
- “Credible Sovereign Ratings: Beyond Statistics and Regulations”, European Business Law Review, Vol.28, Issue 1, January 2017 (article)
- “Coping with Reliance on Credit Ratings”, Banking & Financial Services Policy Report, Vol.35, Issue 7, July 2016 – upon request (article)
- “Efficient, Commonsense Actions to Foster Accurate Credit Ratings”, Capital Markets Law Journal, Volume 11, Issue 1, January 2016 (article)
- “Le concept de risque pays”, Politique Etrangère, Vol.80, Issue 2, June 2015 – in French (article)
- “Assessing Sovereign Risk: The Case of Rich Countries”, Journal of Financial Economic Policy, Vol.6 Issue 3, September 2014 (article)
- When Sovereigns Go “Bankrupt”, Springer, SpringerBrief, New York, 2014 (book)
- “Le lancinant problème de l’insolvabilité des États”, Politique Etrangère, Vol.79, Issue 2, June 2014– in French (article)
- “How and Why Credit Rating Agencies Missed the Eurozone Debt Crisis”, Capital Markets Law Journal, Vol.9, Issue 2, April 2014 (article)
- “What Is the Value of Sovereign Ratings?”, German Economic Review, Vol.15, Issue 1, February 2014 (article)
- “France Subnational Insolvency Framework”, in Otaviano Canuto and Lili Liu (Eds.), Until Debt Do Us Part: Subnational Debt, Insolvency, and Markets, World Bank, Washington D.C., 2013 (book chapter)
- “Quelles régulations pour l’industrie de la notation?”, in Jérôme Sgard (Ed.), La régulation financière globale : quels acteurs ?, Les dossiers du CERI, CERI, Sciences Po, Paris, 2012– in French (book chapter)
- “Global Financial Brands and the Underwriting of Foreign Government Debt since 1815”, in Gerard Caprio (Ed.), Handbook of Key Global Financial Markets, Institutions, and Infrastructure, Academic Press, London, San Diego and Waltham, 2012 (book chapter)
- “A Sub-central Government Perspective on Fiscal Policy in a Tight Fiscal Environment”, in Junghun Kim and Camila Vammalle (Eds.), Institutional and Financial Relations across Levels of Government, OECD Fiscal Federalism Studies, OECD and KIPF, Paris and Seoul, 2012 (book chapter)
- “La notation souveraine”, Politique Etrangère, Vol.77, Issue 1, March 2012– in French (article)
- “To Err is Human: Rating Agencies and the Interwar Foreign Government Debt Crisis”, European Review of Economic History, Vol.15, Issue 3, December 2011 (article)
- A Century of Sovereign Ratings, Springer, New York, 2011 (Translated into Chinese: Dongbei Univ. of Finance & Economics Press, Dalian, 2014) (book)
- “Agences de notation : responsabilité, régulation ou laissez-faire ?”, in Mathias Audit (Ed.), Insolvabilité des Etats et dettes souveraines, L.G.D.J., Lextenso Editions, Paris, 2011– in French (book chapter)
- “The Bottom Line: The Fundamental Weaknesses of Latin American Finance”, Bulletin of Latin America Research, Vol.30, Issue 2, April 2011 (article)
- “Quelles réformes pour l’industrie de la notation financière?”, Revue d’Economie Financière, No.101, April 2011– in French (article)
- “Are Workers’ Remittances Relevant for Credit Rating Agencies?”, Review of Development Finance, Vol.1, Issue 1, January 2011 (article)
- “The End of Gatekeeping: Underwriters and the Quality of Sovereign Bond Markets, 1815-2007”, in NBER International Seminar on Macroeconomics 2009, University of Chicago Press, Chicago, 2010 (book chapter)
- Les agences de notation, La Découverte, Repères, Paris, 2010– in French (book)
Blog Articles
References[+]
↑1 | Personal website of Norbert Gaillard |
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