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Professor Olivier Accominotti

Professor Olivier Accominotti

Professor

Department of Economic History

Telephone
020 7955 6586
Room No
SAR 5.14
Office Hours
Thursday 10:30-11:30. Please book on StudentHub
Languages
English, French
Key Expertise
Economic History, Monetary, financial history, financial crises

About me

My research interests are in the history of money and finance, especially the international propagation of financial crises, the determinants of global capital flows, the political economy of exchange rate policies and the effect of political institutions on countries’ access to capital markets. My current projects explore the causes of international financial stability during the Great Depression, the evolution of foreign exchange markets and speculation in the twentieth century, and the structure of the global financial system and money market before the First World War.

Current Teaching

 

EH437: History of Global Finance

MSc dissertation course (EH498/EH499/EH496-7)

Research Papers

My research papers can be found here:  and here: 

You can find short summaries of my research at: 

Curriculum Vitae

CV available here: Olivier Accominotti CV [pdf]

 

Expertise Details

19th and 20th century monetary and financial history; international financial instability during the Great Depression; financial crises and contagion.

Selected publications

Selected publications

 (with Thilo N. H. Albers and Kim Oosterlinck), Review of Financial Studies, forthcoming.

 

 (with Thilo N. H. Albers, Philipp Kessler and Kim Oosterlinck), Journal of Historical Political Economy , forthcoming.

 

(with Delio Lucena Piquero and Stefano Ugolini), Journal of Economic Dynamics and Control, vol. 153 (August 2023).

 

(with Delio Lucena Piquero and Stefano Ugolini), The Economic History Review , vol. 74(4), pp. 892-921 (November 2021).

 

 (with Jason Cen, David Chambers and Ian Marsh), Journal of Financial and Quantitative Analysis, forthcoming.

 

 (with Stefano Ugolini), in Eric Brousseau, Jean-Michel Glachant and Jérôme Sgard (eds.), Oxford Handbook of Institutions, International Economic Governance and Market Regulation, Oxford University Press, forthcoming.

 

, The Economic History Review, vol. 72, pp. 260-285 (February 2019).

 

, in Stefano Battilossi, Youssef Cassis, and Kazuhiko Yago (eds.), Springer Handbook of the History of Money and Currency, Springer Nature, 2018.

 

, in David Chambers and Elroy Dimson (eds.), Financial Market History. Reflections on the Past for Investors Today, CFA Institute Research Foundation, chapter 4, pp. 66-85.

 

 (with David Chambers, Cambridge Judge Business School).

The Journal of Economic History, vol. 76(2), pp. 342-386 (June 2016).

Mentioned in The New York Times, The Times, The Guardian, Bloomberg View and Forbes.

 

 (with Barry Eichengreen, University of California Berkeley) The Economic History Review, vol. 69(2), pp. 469-492 (May 2016).

 

 The Journal of Economic History, vol. 72(2), pp. 469-473 (June 2012)

 

 The Journal of Economic History, vol.72(1), pp. 1-43 (March 2012).

 

 (with Marc Flandreau and Riad Rezzik) The Economic History Review, vol. 64: 2 (May 2011), pp. 385-407.

 

 (with Marc Flandreau, Riad Rezzik and Frédéric Zumer) European Review of Economic History, vol. 14:1 (April 2010), pp. 47-70. 

 

 European Review of Economic History, vol. 13:3 (December 2009), pp. 349-376. 

 

 (with Marc Flandreau) World Politics, vol. 60:2 (January 2008), pp. 147-188.

 


 

Working papers

“The Origination and Distribution of Money Market Instruments: Sterling Bills of Exchange During the First Globalization” (with Delio Lucena and Stefano Ugolini), 2019. 

 

“The Dawes Bonds, Selective Default and International Trade” (with Kim Oosterlinck and Philipp Kessler), 2019

 

 (with David Chambers) 

 

 (with Barry Eichengreen), NBER Working Paper No 19580 

 

, July 2011

My research

See more research