Discussion paper DP15864 Credit, capital and crises: a GDP-at-Risk approach David Aikman Jonathan Bridges Sinem Hacıoğlu Hoke Cian O'Neill Akash Raja 2 Mar 2021 Financial Economics G01 G18 G21
Discussion paper DP15816 Social Responsibility and Bank Resiliency Thomas Gehrig Stephan Unger 16 Feb 2021 Financial Economics F33 G12 G21 G24 M14
Discussion paper DP15782 (In)efficient repo markets Tobias Dieler Loriano Mancini Norman Schürhoff 8 Feb 2021 Financial Economics G01 G14 G21 G28
VoxEU Column Increasing deposit insurance and nationalisation in times of crisis Koen Schoors Karolin Kirschenmann Steven Ongena Sümeyra Atmaca 16 Jan 2021 Global crisis Financial Regulation and Banking
VoxEU Column Macroprudential ring-fencing Lukáš Pfeifer Tomas Konecny 19 Nov 2020 COVID-19 Financial Regulation and Banking
VoxEU Column Tackling inflation if it reappears Jesus Saa-Requejo Tano Santos Luis Garicano 6 Oct 2020 Monetary Policy
VoxEU Column Negative interest rates: The Danish experience Andreas Kuchler Morten Spange Signe Krogstrup 2 Oct 2020 Monetary Policy
VoxEU Column Interest rates, market power, and financial stability Rafael Repullo David Martinez-Miera 6 Aug 2020 Financial Markets Monetary Policy
VoxEU Column The COVID-19 threat to financial stability in Europe Dirk Schoenmaker Mathijs Van Dijk Henk Jan Reinders 13 Jul 2020 COVID-19 Financial Regulation and Banking
Discussion paper DP14922 Is COVID-19 a threat to financial stability in Europe? Dirk Schoenmaker Henk Jan Reinders Mathijs Van Dijk 24 Jun 2020 Financial Economics G01 G21 G28
Discussion paper DP14797 Leaning against the wind and crisis risk Moritz Schularick Lucas ter Steege Felix Ward 23 May 2020 Economic History Financial Economics International Macroeconomics and Finance Monetary Economics and Fluctuations E44 E50 G01 G15 N10
VoxEU Column Corona and Financial Stability 4.0: Implementing a European Pandemic Equity Fund Marti Subrahmanyam Loriana Pelizzon Hans-Helmut Kotz Elena Carletti Arnoud Boot 25 Apr 2020 COVID-19 EU policies Macroeconomic policy