VoxEU Column Brexit stress test Kermit L. Schoenholtz Stephen Cecchetti 15 Aug 2016 EU institutions Financial Regulation and Banking
Discussion paper DP11267 On the Economics of Crisis Contracts Hans Gersbach Volker Britz 10 May 2016 Financial Economics Industrial Organization Public Economics C79 G21 G28
Discussion paper DP11265 The Real Effects of Capital Requirements and Monetary Policy: Evidence from the United Kingdom Tomasz Wieladek Filippo De Marco 9 May 2016 Financial Economics Monetary Economics and Fluctuations G21 G28 E51
VoxEU Column Breaking the link between housing cycles, banking crises, and the recession Avinash Persaud 14 Apr 2016 Financial Regulation and Banking Global crisis
Discussion paper DP11214 Capital Requirements, Risk Shifting and the Mortgage Market Tomasz Wieladek Arzu Uluc 5 Apr 2016 Financial Economics G21 G28
VoxEU Column A proposal for ending the privileges for sovereign exposures in banking regulation Isabel Schnabel Alexander Schäfer Niklas Gadatsch Tobias Körner Jochen Andritzky 4 Mar 2016 Financial Regulation and Banking
VoxEU Column How much equity capital should UK banks have? John Vickers 15 Feb 2016 Financial Regulation and Banking
Discussion paper DP11099 CoCo Design, Risk Shifting and Financial Fragility Sweder van Wijnbergen 7 Feb 2016 Financial Economics G01 G13 G21 G28 G32
VoxEU Column Basel regulation: Friend or foe of small business lending? Magdalena Pisa Christian Wolff Dennis Bams 16 Dec 2015 Financial Regulation and Banking
Discussion paper DP10949 On the separation of monetary and prudential policy: how much of the pre-crisis consensus remains? Stephen Cecchetti 22 Nov 2015 International Macroeconomics and Finance E52 G01 G28
Discussion paper DP10889 Credit risk characteristics of US small business portfolios Christian Wolff Dennis Bams Magdalena Pisa 18 Oct 2015 Financial Economics G17 L14 L25
VoxEU Column The strategic under-reporting of banks’ risk Amiyatosh Purnanandam Kuncheng Zheng Taylor Begley 8 May 2015 Financial Markets Global crisis