VoxEU Column Bank networks and systemic risk in the Great Depression Kris Mitchener Angela Vossmeyer Sanjiv Das 11 Mar 2019 Economic history Financial Regulation and Banking Global crisis
Discussion paper DP13494 Equity Finance: Matching Liability to Power Charles Goodhart Rosa Lastra 28 Jan 2019 Monetary Economics and Fluctuations G30 G32 G39 K20 K22 K29 L14 L20 L21 M14 N20 N21 N23 P10
Discussion paper DP13375 Trade and Credit Reallocation: How Banks Help Shape Comparative Advantage Christian Keuschnigg Michael Kogler 8 Dec 2018 International Trade and Regional Economics Public Economics F10 G21 G28
VoxEU Column Going the extra mile: Distant lending and credit cycles Christian Leuz Raghuram Rajan Joao Granja 4 Dec 2018 Financial Markets Financial Regulation and Banking Global crisis
VoxEU Column Basel standards and developing countries: A difficult relationship Emily Jones Peter Knaack Thorsten Beck 15 Oct 2018 Development Financial Regulation and Banking Global economy Politics and economics
VoxEU Column Bankers’ liability and risk taking Laura Salisbury Gurpal Sran Peter Koudijs 6 Oct 2018 Financial Regulation and Banking
VoxEU Column Banks defy gravity in tax havens Gunther Capelle-Blancard Anne-Laure Delatte Vincent Bouvatier 11 Sep 2018 EU policies Financial Regulation and Banking Taxation
VoxEU Column How global factors affect banks’ foreign currency funding: It depends on the exposure Cédric Tille Signe Krogstrup 29 Aug 2018 Exchange Rates International Finance
VoxEU Column FinTech and banks Giacomo Calzolari Alberto Pozzolo Giorgio Barba Navaretti 1 Mar 2018 Financial Regulation and Banking Industrial organisation Productivity and Innovation
Discussion paper DP12443 Schumpeterian Banks: Credit Reallocation and Capital Structure Christian Keuschnigg Michael Kogler 16 Nov 2017 Financial Economics Public Economics D92 G21 G28 G33
VoxEU Column Banking on capital Simone Manganelli David Marques-Ibanez Yener Altunbas 14 Nov 2017 Financial Regulation and Banking Global crisis Macroeconomic policy
Discussion paper DP12422 Risk Management and Regulation Tobias Adrian 5 Nov 2017 Financial Economics G00 G01 G21 G24 G28