Tuomas A. Peltonen is Deputy Head of the European Systemic Risk Board Secretariat. Prior to that he was with the European Central Bank since 2004. Tuomas has worked in various positions in the Financial Stability Surveillance Division in the Directorate General Macroprudential Policy and Financial Stability, in the Directorate General Market Operations and in Directorate General International and European Relations.
Tuomas received his BSc and MSc (Econ) degrees from University of Turku in 1998 and 1999. Before completing a PhD (Econ) degree at the European University Institute in 2005, Tuomas worked with the Bank of Finland. His research interests include macroprudential policy, systemic risk analytics and early-warning models.

VoxEU Column
Corporate credit and leverage in the EU: A long-term view
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- Financial Markets

VoxEU Column
Making the EU macroprudential framework fit for the next decade
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- EU policies 
- Financial Regulation and Banking 
- Macroeconomic policy

VoxEU Column
Lower for longer – macroprudential policy issues arising from the low interest rate environment
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- EU institutions 
- EU policies 
- Macroeconomic policy

VoxEU Column
Mapping the interconnectedness between EU banks and shadow banking entities
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- Financial Regulation and Banking
VoxEU Column
Dating financial stress episodes: A new model-based approach
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- Financial Markets