Discussion paper DP17744 Transatlantic differences in bank resiliency Thomas Gehrig Maria Chiara Iannino Stephan Unger 12 Dec 2022 International Macroeconomics and Finance Banking and Corporate Finance G12 G21 G24 M14
Discussion paper DP17511 Intermediaries’ Substitutability and Financial Network Resilience: A Hyperstructure Approach Olivier Accominotti Delio Lucena Stefano Ugolini 28 Jul 2022 Economic History Financial Economics D85 E42 F30 G20 N20
VoxEU Column Sanctions, war, and systemic risk in 1914 and 2022 Charles Goodhart Robert Macrae Jon Danielsson 10 Mar 2022 Economic history Politics and economics
Discussion paper DP16962 Non-bank Financial Intermediaries and Financial Stability Paul Schrimpf Hyun Song Shin 29 Jan 2022 Financial Economics G22 G23 G28
VoxEU Column Identifying indicators of systemic risk Christian Meinerding Yves S. Schuler Benny Hartwig 19 Jan 2022 Macroeconomic policy Financial Markets
VoxEU Column Video might kill the radio star: Digitalisation and the future of banking Antonio Sánchez Serrano Loriana Pelizzon Malcolm Kemp Magdalena Grothe Stephen Cecchetti Thorsten Beck 18 Jan 2022 Financial Regulation and Banking
VoxEU Column Benefits of macroprudential policy in low interest rate environments Alejandro Van der Ghote 15 Dec 2021 Macroeconomic policy Monetary Policy
Discussion paper DP16580 The Global Financial Cycle Silvia Miranda-Agrippino Helene Rey 26 Sep 2021 Financial Economics International Macroeconomics and Finance Monetary Economics and Fluctuations
VoxEU Column Non-bank financial intermediation: The case for a macroprudential framework Maurizio Trapanese 26 Jul 2021 Financial Regulation and Banking
VoxEU Column The anatomy of cyber risk Helene Rey Ahmed Tahoun Rustam Jamilov 5 Jul 2021 Financial Markets Microeconomic regulation
Discussion paper DP16240 Systemic Risk and Monetary Policy: The Haircut Gap Channel of the Lender of Last Resort Martina Jasova Luc Laeven Caterina Mendicino José-Luis Peydró Dominik Supera 9 Jun 2021 Financial Economics E44 E52 E58 F30 G01 G21