VoxEU Column The market view: What the prices on credit default swaps imply about macroprudential bank buffers in Europe Sweder van Wijnbergen 19 Jun 2023 Financial Markets Financial Regulation and Banking
Discussion paper DP16773 Identifying Empty Creditors with a Shock and Micro-Data Hans Degryse Yalin Gündüz Kuchulain O' Flynn Steven Ongena 4 Dec 2021 Financial Economics G21 G33 G38
Discussion paper DP16628 Bank Use of Sovereign CDS in the Eurozone Crisis: Hedging and Risk Incentives Viral Acharya Yalin Gündüz Timothy Johnson 13 Oct 2021 Financial Economics G01 G15 G21 H63
Discussion paper DP15668 Credit default swaps around the world Söhnke Bartram Jennifer Conrad Jongsub Lee Marti Subrahmanyam 14 Jan 2021 Financial Economics International Macroeconomics and Finance G3 F4 F3
VoxEU Column Emerging markets sovereign spreads and country-specific fundamentals during COVID-19 Timo B. Daehler Yothin Jinjarak Joshua Aizenman 15 Nov 2020 COVID-19 Financial Markets
VoxEU Column COVID dominance: Pandemic shocks and fiscal-monetary policies in the euro area Weining Xin Sameer Nair-Desai Joshua Aizenman Yothin Jinjarak Rashad Ahmed 6 Jul 2020 COVID-19 EU policies
VoxEU Column Populism, political risk and the economy: What we can learn from the Italian experience Fabio Schiantarelli EMANUELE BRANCATI Marco Brianti Pierluigi Balduzzi 20 Feb 2020 Europe's nations and regions Politics and economics
Discussion paper DP12857 Sovereign credit risk and exchange rates: Evidence from CDS quanto spreads Mikhail Chernov Patrick Augustin 10 Apr 2018 Financial Economics C1 E43 E44 G12 G15
Discussion paper DP12168 Asset encumbrance and bank risk: First evidence from public disclosures in Europe Albert Banal-Estanol Dmitry Khametshin 20 Jul 2017 Financial Economics G01 G21 G28
Discussion paper DP11576 A Macrofinance View of U.S. Sovereign CDS Premiums Mikhail Chernov Lukas Schmid 17 Oct 2016 Financial Economics E43 E44 E52 G12 G13
VoxEU Column What were they thinking? The Federal Reserve in the run-up to the 2008 financial crisis Ayse Kaya Michael Reay Stephen Golub 8 Sep 2014 Financial Markets Global crisis Monetary Policy