Discussion paper DP16439 Safe asset shortage and collateral reuse Stephan Jank Emanuel Moench Michael Schneider 27 Jun 2022 Financial Economics E4 E5 G1 G2
Discussion paper DP15028 Informed Trading in Government Bond Markets Dong Lou 10 Jul 2020 Financial Economics
VoxEU Column The fundamentals of safe assets Livio Stracca Fabrizio Venditti Maurizio Michael Habib 2 Mar 2020 Financial Markets
VoxEU Column Accounting for macro-finance trends Francois Gourio Emmanuel Farhi 10 Mar 2019 Financial Markets International Finance Macroeconomic policy
VoxEU Column Crowding out risk: Sovereign debt, banks, and firms’ investment in Italy Emanuele Brancati Fabio Schiantarelli Pierluigi Balduzzi 9 Nov 2018 Europe's nations and regions Financial Markets Macroeconomic policy
Discussion paper DP12371 Macroeconomic Stabilization, Monetary-Fiscal Interactions, and Europe’s Monetary Union Bartosz Mackowiak Giancarlo Corsetti Luca Dedola Sebastian Schmidt Marek Jarocinski 13 Oct 2017 International Macroeconomics and Finance Monetary Economics and Fluctuations E31 E62 E63
Discussion paper DP11679 “High & Dry”: The Liquidity and Credit of Colonial and Foreign Government Debt and the London Stock Exchange (1880-1910) Marc Flandreau Matthieu Chavaz 3 Dec 2016 Economic History International Macroeconomics and Finance G12 N2 N23 N43
VoxEU Column Liquidity in government bonds – from the British Empire to the Eurozone Marc Flandreau Matthieu Chavaz 1 Dec 2016 Economic history International trade
Discussion paper DP10044 Banks, Government Bonds, and Default: What do the Data Say? Nicola Gennaioli Stefano Rossi Alberto Martín 29 Jun 2014 Financial Economics International Macroeconomics F34 F36 G15 H63
VoxEU Column Mispricing of sovereign risk and multiple equilibria in the Eurozone Yuemei Ji Paul De Grauwe 23 Jan 2012 Europe's nations and regions International Finance
VoxEU Column Why should we believe the market this time? Paul De Grauwe 7 Feb 2009 International Finance Macroeconomic policy