VoxEU Column Systemic risk, crises, and macroprudential regulation Luc Laeven Jose-Luis Peydro Xavier Freixas 5 Aug 2015 Financial Regulation and Banking Global crisis Macroeconomic policy
VoxEU Column The impact of capital requirements on bank lending Marco Spaltro Amar Radia Silvia Pezzini Mette Nielsen David Gregory Jonathan Bridges 2 Sep 2014 Financial Markets
VoxEU Column Corporate governance of banks and financial stability Lev Ratnovski Luc Laeven 21 Jul 2014 Financial Markets
Discussion paper DP10065 A Critical Evaluation of Bail-in as a Bank Recapitalisation Mechanism Charles Goodhart Emilios Avgouleas 20 Jul 2014 International Macroeconomics G18 G28 K20 L51
VoxEU Column How to loosen the banks-sovereign nexus Giuseppe Grande Paolo Angelini 8 Apr 2014 EU institutions Financial Markets
VoxEU Column Estimating the impact of changes in aggregate bank capital requirements during an upswing Priscilla Toffano Joseph Noss 6 Apr 2014 Financial Markets
Discussion paper DP9612 Information Management in Banking Crises Joel Shapiro David Skeie 25 Aug 2013 Financial Economics G01 G21 G28
Discussion paper DP9606 Sovereign Default Risk and Banks in a Monetary Union Harald Uhlig 18 Aug 2013 International Macroeconomics E51 E58 E61 E65 G21 G28 H63
Discussion paper DP9546 Supranational Supervision - How Much and for Whom? Wolf Wagner Thorsten Beck 7 Jul 2013 Financial Economics G21 G28
Discussion paper DP9508 Reputational Contagion and Optimal Regulatory Forbearance Alan Morrison Lucy White 16 Jun 2013 Financial Economics G21 G28