Marc Giannoni

Adjunct Associate Professor of Business

Finance and Economics

BA, Université de Genève, 1990; MA, Princeton, 1998; PhD, 2001

Joined CBS in 2002

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Marc Giannoni

Office
218 Uris

Phone
212-720-6518

E-mail
mg2190@columbia.edu

Fax
212-854-9895

Teaching and research interest

Professor Giannoni specializes in the analysis of monetary policy. His current research focuses on the characterization of optimal monetary policy in the face of uncertainty, the effect of monetary policy on the aggregate economy, and the estimation of macroeconomic models in a data-rich environment. From 1992 to 1996, he was an economist at the Swiss National Bank, and from 2000 to 2002, he was a research economist at the Federal Reserve Bank of New York. Giannoni is a research fellow at the National Bureau of Economic Research, a research affiliate at the Center for Economic Policy Research, and serves as an associate editor of the Journal of Money, Credit, and Banking, and of Macroeconomic Dynamics. He is the recipient of a grant from the National Science Foundation. Giannoni teaches the core course the Global Economic Environment.

Chapters

Global Forces and Monetary Policy Effectiveness In International Dimensions of Monetary Policy (2010)
Author(s): Jean Boivin, Marc Giannoni

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How Has the Euro Changed the Monetary Transmission Mechanism? In NBER Macroeconomics Annual 2008 (2008)
Author(s): Jean Boivin, Marc Giannoni, Benoit Mojon

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Optimal Inflation-Targeting Rules In The Inflation Targeting Debate (2005)
Author(s): Marc Giannoni, Michael Woodford

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Journal articles

Sticky Prices and Monetary Policy: Evidence from Disaggregated U.S. Data In American Economic Review (2009)
Author(s): Marc Giannoni, Ilian Mihov

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Robust Optimal Monetary Policy in a Forward-Looking Model with Parameter and Shock Uncertainty In Journal of Applied Econometrics (2007)
Author(s): Marc Giannoni

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Has Monetary Policy Become More Effective? In Review of Economics and Statistics (2006)
Author(s): Marc Giannoni

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How Forward-Looking Is Optimal Monetary Policy? In Journal of Money, Credit, and Banking (2003)
Author(s): Marc Giannoni, Michael Woodford

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Assessing Changes in the Monetary Transmission Mechanism: A VAR Approach In Economic Policy Review (2002)
Author(s): Marc Giannoni

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Does Model Uncertainty Justify Caution? Robust Optimal Monetary Policy in a Forward-Looking Model In Macroeconomic Dynamics (2002)
Author(s): Marc Giannoni

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CaseWorks

Drop the Debt? Dilemmas Confronting the Design of Development Aid and Debt Relief: Winter 2008
Author(s): Marc Giannoni, Charles Himmelberg

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Working Papers

Optimal Interest-Rate Rules in a Forward-Looking Model, and Inflation Stabilization versus Price-Level Stabilization Working Paper No. 15986 (2010)
Author(s): Marc Giannoni

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On the Welfare Costs of Imperfect Information for Monetary Policy Working Paper (2010)
Author(s): Jean Boivin, Marc Giannoni

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Dynamic Effects of Credit Shocks in a Data-Rich Environment Working Paper (2010)
Author(s): Jean Boivin, Marc Giannoni, Dalibor Stevanovic

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Monetary Transmission in a Small Open Economy: More Data, Fewer Puzzles Working Paper (2010)
Author(s): Jean Boivin, Marc Giannoni, Dalibor Stevanovic

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Optimal Target Criteria for Stabilization Policy Working Paper No. 15757 (2010)
Author(s): Marc Giannoni, Michael Woodford

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Some Unpleasant General Equilibrium Implications of Executive Incentive Compensation Contracts Working Paper No, 15165 (2010)
Author(s): John Donaldson, Marc Giannoni, Natalia Gershun

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DSGE Models in a Data-Rich Environment Working Paper No. 12772 (2006)
Author(s): Jean Boivin, Marc Giannoni

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