VoxEU Column Correlations among risks: Lessons from the Silicon Valley Bank collapse Giampaolo Gabbi 10 Jul 2023 Financial Regulation and Banking
VoxEU Column Better land use and insurance to mitigate natural disasters Bertrand Villeneuve Céline Grislain-Letrémy 27 Apr 2022 Development Environment Taxation
Discussion paper DP15885 Efficiency or resiliency? Corporate choice between financial and operational hedging Viral Acharya Heitor Almeida Yakov Amihud Ping Liu 4 Mar 2021 Financial Economics G31 G32 G33
VoxEU Column Some micro/macro insights on the economics of coronavirus. Part 3: Extreme risk management Stephane Straub Christian Gollier 13 Apr 2020 COVID-19
VoxEU Column Artificial intelligence as a central banker Robert Macrae Andreas Uthemann Jon Danielsson 6 Mar 2020 Financial Regulation and Banking Monetary Policy Productivity and Innovation
VoxEU Column The dissonance of the short and long term Robert Macrae Jon Danielsson 12 Aug 2019 Financial Markets Frontiers of economic research
Discussion paper DP13787 Risk Management in Financial Institutions Adriano A. Rampini S. Viswanathan Guillaume Vuillemey 9 Jun 2019 Financial Economics Monetary Economics and Fluctuations G21 G32 D92 E44
Discussion paper DP13612 The Limits of Forward Guidance Jeffrey Campbell Filippo Ferroni Jonas Fisher Leonardo Melosi 22 Mar 2019 Monetary Economics and Fluctuations E0
VoxEU Blog/Review US inflation policy: A risk-management approach Kermit L. Schoenholtz Stephen Cecchetti 25 Jul 2018 Monetary Policy
VoxEU Blog/Review What are risk models good for? Jon Danielsson 3 Jul 2018 Macroeconomic policy Financial Markets
Discussion paper DP12855 Financing Insurance Adriano A. Rampini S. Viswanathan 9 Apr 2018 Development Economics Financial Economics Macroeconomics and Growth D91 E21 G22
Discussion paper DP12595 Unionization, Cash, and Leverage Martin Schmalz 15 Jan 2018 Financial Economics Labour Economics G32 J50