Olivier Bizimana
Last Updated: May 31, 2019Olivier Bizimana is an Economist in the Research Department of the International Monetary Fund. Prior to joining the IMF in 2015, he was a Senior Economist in the Global Economics Team at Morgan Stanley in London. Previously he was responsible for economic research for the euro area at Credit Agricole Group in Paris. He also taught postgraduate courses in macroeconomics at Paris-Dauphine University for five years. His research interests include: international finance, monetary policy, macro-econometrics, and business cycle fluctuations. He holds a Ph.D. and an M.Phil. in Economics from Paris-Dauphine University, France; and an M.Sc. in Economics and Statistics from the Ecole Nationale de la Statistique et de l’Administration Economique (ENSAE) in Paris, France.
Email: obizimana@imf.org
Fluent In: French.
Education:
Ph.D., Economics, Paris-Dauphine University
M.Sc., Economics & Statistics, ENSAE
M. Phil., Economics, Paris-Dauphine University
Previous Experience:
Senior Economist , Morgan Stanley, London, UK, 2010-2015
Senior Economist, Credit Agricole Group, Paris, France, 2004-2010
Teaching:
Lecturer, Master's program in Economics and International Affairs, Paris-Dauphine University, 2005-2010
Field of Expertise:
Monetary Policy
Open Economy Macroeconomics
Macro-Financial Issues
International Finance
Economic Modeling
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IMF Books and Working Papers:
Estimates of Potential Output and the Neutral Rate for the U.S. Economy, Working Paper No. 18/152, July 06, 2018
Multivariate Filter Estimation of Potential Output for the United States, Working Paper No. 17/106, May 04, 2017
Olivier Bizimana is an Economist in the Research Department of the International Monetary Fund. Prior to joining the IMF in 2015, he was a Senior Economist in the Global Economics Team at Morgan Stanley in London. Previously he was responsible for economic research for the euro area at Credit Agricole Group in Paris. He also taught postgraduate courses in macroeconomics at Paris-Dauphine University for five years. His research interests include: international finance, monetary policy, macro-econometrics, and business cycle fluctuations. He holds a Ph.D. and an M.Phil. in Economics from Paris-Dauphine University, France; and an M.Sc. in Economics and Statistics from the Ecole Nationale de la Statistique et de l’Administration Economique (ENSAE) in Paris, France.
Email: obizimana@imf.org
Fluent In: French.
Education:
Ph.D., Economics, Paris-Dauphine University
M.Sc., Economics & Statistics, ENSAE
M. Phil., Economics, Paris-Dauphine University
Previous Experience:
Senior Economist , Morgan Stanley, London, UK, 2010-2015
Senior Economist, Credit Agricole Group, Paris, France, 2004-2010
Teaching:
Lecturer, Master's program in Economics and International Affairs, Paris-Dauphine University, 2005-2010
Field of Expertise:
Monetary Policy
Open Economy Macroeconomics
Macro-Financial Issues
International Finance
Economic Modeling
IMF Books and Working Papers:
Estimates of Potential Output and the Neutral Rate for the U.S. Economy, Working Paper No. 18/152, July 06, 2018
Multivariate Filter Estimation of Potential Output for the United States, Working Paper No. 17/106, May 04, 2017
Multivariate Filter Estimation of Potential Output for the Euro Area and the United States, Working Paper No. 15/253, December 01, 2015