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Themes

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There are 77 results

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Discussion paper

DP17742 Sovereign Debt Puzzles

  • Patrick Bolton
  • Mitu Gulati
  • Ugo Panizza

12 Dec 2022
  • International Macroeconomics and Finance
  • F30
  • F34
  • G15
  • K12
Discussion paper

DP17654 The Great Carbon Arbitrage

  • Tobias Adrian
  • Patrick Bolton
  • Alissa Kleinnijenhuis

7 Nov 2022
  • Banking and Corporate Finance
Geneva25
Report

Geneva Reports on the World Economy

Geneva 25: Climate and Debt

  • Jeromin Zettelmeyer
  • Beatrice Weder di Mauro
  • Ugo Panizza
  • Mitu Gulati
  • Lee Buchheit
  • Patrick Bolton

3 Oct 2022
  • Climate Change
  • Climate and Debt: Introduction
  • Four perspectives on climate change
  • Fiscal constraints
  • Debt for climate: Sustainability-linked and green bonds
  • Credit for climate: The promise of carbon offsets
  • Debt relief for climate? Fiscal support and climate-friendly debt restructuring
  • Conclusion: Climate and Debt
PI111
Policy insights

Policy Insights

Policy Insight 111: Mandatory corporate carbon disclosures and the path to net zero

  • Dirk Schoenmaker
  • Stefan Reichelstein
  • Gaizka Ormazabal
  • Christian Leuz
  • Marcin Kacperczyk
  • Patrick Bolton

4 Oct 2021
  • Climate Change
  • Global economy
Barcelona 3: Resilience of the Financial System to Natural Disasters
Report

Barcelona Reports

Barcelona 3: Resilience of the Financial System to Natural Disasters

  • Patrick Bolton
  • Harrison Hong
  • Marcin Kacperczyk
  • Xavier Vives

25 May 2021
  • The role of central banks and banking supervisors in climate action
  • Resilience of the Financial System to Natural Disasters: Introduction
  • Green swans and risk management
  • Natural disasters, climate change and central banks
  • Asset managers' response to natural disasters
  • Mitigating disaster risks to the financial system
  • Natural disasters, climate change and central banks: Introduction
  • Including climate change in central bank mandates
  • Understanding climate change risks
  • Central bank climate policies in the context of net-zero commitments
  • Natural disasters, climate change and central banks: Conclusion
  • Asset managers' response to natural disasters: Introduction
  • The asset management paradigm
  • Asset managers' response to natural disasters: Conclusion
  • Building resilience to climate change and natural disasters
  • Mitigation of climate change and natural disasters
  • Implications for efficiency and welfare
  • Mitigating disaster risks to the financial system: Introduction
  • Mitigation Cover-19 risks to the stock market
  • Decarbonisation and climate disasters
  • Sustainable finance commitments needed to achieve net zero
  • Conclusion and policy implications
  • Resilience of the Financial System to Natural Disasters: Discussions
Discussion paper

DP15336 Legal Air Cover

  • Patrick Bolton
  • Mitu Gulati
  • Ugo Panizza

5 Oct 2020
  • Financial Economics
  • International Macroeconomics and Finance
  • F34
  • F51
Policy Insight - 103
Policy insights

Policy Insights

Policy Insight 103: Born Out of Necessity: A Debt Standstill for COVID-19

  • Ugo Panizza
  • Beatrice Weder di Mauro
  • Chang-Tai Hsieh
  • Mitu Gulati
  • Pierre-Olivier Gourinchas
  • Lee Buchheit
  • Patrick Bolton

21 Apr 2020
Discussion paper

DP14567 Carbon Premium around the World

  • Patrick Bolton
  • Marcin Kacperczyk

6 Apr 2020
  • Financial Economics
  • International Macroeconomics and Finance
  • G12
  • G23
  • G30
  • D62
Discussion paper

DP14568 Do Investors Care about Carbon Risk?

  • Patrick Bolton
  • Marcin Kacperczyk

6 Apr 2020
  • Financial Economics
  • G12
  • G23
  • G30
  • D62
Discussion paper

DP13633 Investor Ideology

  • Patrick Bolton
  • Tao Li
  • Enrichetta Ravina
  • Howard Rosenthal

29 Mar 2019
  • Financial Economics
  • G30
  • G32
Barcelona 1: Sound At Last? Assessing a Decade of Financial Regulation
Report

Barcelona Reports

Barcelona 1: Sound At Last? Assessing a Decade of Financial Regulation

  • Patrick Bolton
  • Stephen Cecchetti
  • Jean-Pierre Danthine
  • Xavier Vives

6 Mar 2019
  • Introduction: Barcelona 1: Sound At Last? Assessing a Decade of Financial Regulation
  • Bank functions, fragility and narrow banking
  • Basel III and beyond
  • Resolving ‘too big to fail’
  • An expanded role for central banks
  • Conclusions
  • Regulatory reform: Basel III and beyond
  • The structure of Basel III
  • Capital regulation
  • Liquidity regulation
  • Non-bank Intermediation
  • Resolving too big to fail
  • Lessons from the crisis of 2007-2009: Why bank resolution was an impossible choice
  • SIB resolution: What are the challenges and trade-offs?
  • The SIB resolution model around ‘single point of entry’
  • Main takeaway
  • An expanded role for central banks
  • Conducting monetary policy at the zero lower bound
  • Lender of last resort
  • Updating the central bank financial stability mandate
  • Legitimising an expanded mandate for independent central banks
  • Discussions
  • Discussion of Chapter 2 by Philipp Hartmann: Regulatory reform: Basel III and beyond
  • Discussion of Chapter 3 by Fernando Restoy: The new bank resolution framework: Will it work?
  • Discussion of Chapter 4 by John Vickers: An enlarged role for central banks
Discussion paper

DP13032 Bank Resolution and the Structure of Global Banks

  • Patrick Bolton
  • Martin Oehmke

3 Jul 2018
  • Financial Economics
  • International Macroeconomics and Finance
  • G01
  • G18
  • G21
  • G33
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