CV - Labex Refi

Transcription

CV - Labex Refi
Salim DEHMEJ
Moroccan citizen, French permanent resident.
September 28th, 1987, married
Centre d'Économie de la Sorbonne (office 221)
106 Boulevard de l'Hôpital, 75647 Paris Cedex 13, France
[email protected] ; [email protected]
www.labex-refi.com/en/dehmej
Twitter: @sDehmej
May 2016
RESEARCH INTERESTS Central banking; Macroprudential policy; Financial regulation; Monetary and Financial Economics
EDUCATION
2012 - 2015:
Ph.D. in Economics - Paris 1 Panthéon-Sorbonne University, Labex Refi, PSE
Dissertation: Essays on central banking and macroprudential policy. Link
Defence on 2015/12/04. Jury: J. Couppey-Soubeyran (Supervisor. University of Paris 1), G. Levieuge
(Reviewer. University of Orléans), L. Scialom (Reviewer. University of Paris X Nanterre), O. de Bandt
(ACPR), C. de Boissieu (University of Paris 1, AMF), JB Chatelain (PSE), L. Gambacorta (BIS)
2011 / August:
Macroeconomics Summer School Program - London School of Economics (LSE)
Economic modelling (DSGE)
2010 - 2011:
M.Sc. « Money, Banking, Finance » - Master 2 Research - Paris 1 University
Dissertation: Monetary and financial policies. Advisor: Laurent Clerc (Director of financial stability
department at Banque de France)
2008 - 2010:
M.Sc. « Economics – Econometrics » - Magistère d’Économie - Paris School of Economics (PSE)
Dissertation: Monetary policy and asset prices. Advisor: Pr. Christian Bordes
RESEARCH & TEACHING ACTIVITIES
2016 from July:
Economist/Researcher - Central Bank of Morocco (Bank Al-Maghrib)
2016:
Associate Professor – Paris 1 Panthéon-Sorbonne University
Financial economics and macro-prudential supervision (Master 2 “Contrôle des risques bancaires, sécurité
financière, conformité”), (6 hours)
2015/10-12:
PhD Internship – Bank of England (BoE), London, UK
 3 months internship in the Prudential Policy Division (Macroprudential Toolkit Team).
Providing research and policy notes about the implementation of sectoral capital requirements
(SCR) to residential and commercial real estates.
2015/March
-September:
Visiting researcher – Bank for International Settlements (BIS), Basel, Switzerland
 Writing an academic, theoretical, article with Leonardo Gambacorta (Research Adviser) about
macroprudential policies in a monetary union (10 working days).
2014 - 2015:
Research and Teaching fellowship (ATER) – Paris 1 Panthéon-Sorbonne University
 Monetary and Financial Economics (Undergraduate), 6 groups, (2014-fall)
2011 - 2014:
Teaching Assistant – Paris 1 Panthéon-Sorbonne University
 Financial Markets and Monetary Policy (Graduate), 2 groups, (2014-spring)
 Macroeconomics (Graduate), 2 groups, (2013-fall)
 Finance (Graduate), 3 groups, (2011-fall)
2012 - 2015:
Researcher - Financial Regulation Laboratory “Labex Refi” at ESCP EUROPE
Co-authoring two Policy Papers
Creation & Management of the website http://www.labex-refi.com, email addresses and social media
Expert on financial regulation at the European Finance Forum - European Parliament (2015/01/20-21)
Rapporteur at the European Finance Forum - European Parliament (2013/09/02-03)
Professional Experience (Internship)
2011 / October:
2011 / 04-09:
2010 / July:
ABN AMRO - Quantitative Analyst - Paris, France
HSBC - Economist & Strategist - Paris, France
Société Centrale de Réassurance - Underwriter of reinsurance, Casablanca, Morocco
SKILLS
Languages: Arabic (native), French (fluent) and English (fluent)
Computing / Databases Office, LaTeX / Stata, E-views, Matlab / Datastream, Macrobond, SNL
PUBLICATIONS (click on links to access papers)
In peer-reviewed journals
« La coordination entre politique monétaire et politique macroprudentielle. Que disent les modèles DSGE? », with Carré E. and
Couppey-Soubeyran J., 2015, Revue Economique (vol 66, issue 3, Mai 2015). Link
English title “The policy mix between monetary and macro prudential policies. What DSGE models tell us?” Link
« Pour une combinaison politique monétaire / politique macroprudentielle au service de la stabilité économique et financière de
la zone euro », with Couppey-Soubeyran J., Revue d’Économie Politique (126 (1) Janvier-Février 2016). Link
English title “Towards a Monetary/Macroprudential Policy Mix Promoting Economic and Financial Stability in the Euro Area”
« Is the European banking system robust? An evaluation through the lens of the ECB's Comprehensive Assessment », with
Arnould G., 2016, International Economics (Available online 21 April 2016). Link
« Une évaluation du “Comprehensive Assessment” de la BCE », with Arnould G., 2015, Labex Refi Policy Paper n°5. Link
Working papers/Work in progress
« Macroprudential Policies in a Monetary Union », with Gambacorta L., at the BIS, 2015 (Work in progress). Link
« Capital Regulation, Involvement of the Central Bank and Bank Risk Taking: An Empirical Analysis », 2013 (Work in progress)
Book chapters
« Risque systémique et politique macroprudentielle » with Arnould G. and « Bilan de la mutation financière » with Arnould G.
and Eid S., 2013, in « Les Systèmes financiers. Mutations, Crises et Régulation », sous la dir. de de Boissieu C. and CouppeySoubeyran J., Economica, 4e Ed. Link
Other publications (newspapers & professional journals)
« Zone Euro : à quand un nouveau « policy mix » ? », in 5 articles en 5 minutes - Paris School of Economics-, 2016/02, with
Couppey-Soubeyran J. (about Macroprudential Policy in the Euro zone). Link
« Deleveraging bancaire: quelle stratégie en Europe et aux États-Unis? », in Revue Banque, 2015/04, with Arnould G. (about
banking deleveraging). Link
« Dettes souveraines, les pondérations de la discorde », in Le nouvel Economiste, 2015/03/13, with Arnould G. (about regulatory
treatment of sovereign debt in Europe). Link
« Des tests de résistance… pas si stressants que cela », in Revue Banque, 2014/12, with Arnould G. (about the ECB’s stress
tests). Link
« La politique macroprudentielle serait-elle l’Arlésienne des réformes financières? », Revue Banque, 2014/09, with CouppeySoubeyran J. (about Macroprudential Policy). Link
CONFERENCES, WORKSHOP & SEMINARS (selected)
2013 / 04: Poster session, GDR Workshop “Monnaie, Banque, Finance”, Paris
2013 / 12: Seminar, Observatoire Français des Conjonctures Economiques - OFCE, Paris
2014 / 04: Seminar “Risque systémique et politiques macro/microprudentielles”, University Lorraine, Metz
2014 / 04: Seminar “Doctorissimes”, University Paris 1 & Paris School of Economics, Paris
2014 / 04: International Conference “Debt crises and Financial Stability”, University Toulon, Toulon
2014 / 06: Workshop “Journée scientifique du Labex Refi”, CNAM, Paris
2014 / 06: International Conference “63rd Annual Meeting of the French Economic Association-AFSE”, Lyon
2014 / 06: International Conference “GDR - 31th International symposium on money, banking and finance”, Lyon
2014 / 09: International Conference “8th annual Meta-Analysis of Economics Research Network Colloquium”, Athens, Greece
2015 / 01: Workshop “GDR - Les nouvelles approches du risque systémique”, Université Franche-Comté, Besançon
2015 / 06: Internal seminar, Centre d'Etudes Prospectives et d'Informations - CEPII, Paris
2016 / 01: Participation at the US job market AEA, San Francisco, USA
2016 / 01: Internal seminar, Bank of Engalnd, London, UK
2016 / 03: Journée portes ouvertes EconomiX, Université Paris 10, Nanterre
REFERENCES
Jézabel Couppey-Soubeyran, Associate Professor, University of Paris 1 Panthéon-Sorbonne, [email protected]
Leonardo Gambacorta, Research Adviser, Bank for International Settlement (BIS), [email protected]
Jean-Bernard Chatelain, Professor, Paris School of Economics (PSE), [email protected]
Andrea Austin, Technical Specialist-Manager, Bank of England (BoE), [email protected]
Raphael Douady, Director of Labex Refi and Associate Professor, New York University, [email protected]