Pierre-Olivier Weill
Professor of Economics
About
Pierre-Olivier Weill’s works lies at the intersection of macroeconomics and finance. His recent research includes the analysis and regulation of Over-the-Counter (OTC) markets, the measurement of the financial soundness of U.S. firms, and the design of monetary policy in incomplete markets.
Topics
![Photo of Pierre-Olivier Weill](https://anderson-review.ucla.edu/wp-content/uploads/2020/08/Weill_Pierre-Olivier-.jpg)
2 Articles
![Jay Powell](https://anderson-review.ucla.edu/wp-content/uploads/2020/07/AR-bond-bailout-hero-760x570.jpg)
Corporate Bond Market Meltdown Averted after Fed Action
Decade-old bank-risk limits may have exacerbated liquidity problems
![FDIC logo on a window](https://anderson-review.ucla.edu/wp-content/uploads/2020/07/AR-bank-guarantee-hero-760x570.jpg)
Calculating a Value for the Government Support Banks Enjoy
Researchers’ model could quantify the risks in the growing movement to ease up on Dodd-Frank regulations