VoxEU Column What the Swiss FX shock says about risk models Jon Danielsson 18 Jan 2015 Exchange Rates Financial Markets
VoxEU Column Model risk and the implications for risk management, macroprudential policy, and financial regulations Ilknur Zer Kevin James Marcela Valenzuela Jon Danielsson 8 Jun 2014 Financial Markets
VoxEU Column Solvency II: Three principles to respect Enrico Perotti Ralph Koijen Roger Laeven Jon Danielsson 21 Oct 2013 Financial Markets Microeconomic regulation
VoxEU Column Political challenges of the macroprudential agenda Jon Danielsson Jeffrey Chwieroth 6 Sep 2013 Financial Markets Politics and economics
VoxEU Column Iceland’s post-Crisis economy: A myth or a miracle? Jon Danielsson 21 May 2013 Global crisis
VoxEU Column The capital controls in Cyprus and the Icelandic experience Jon Danielsson 28 Mar 2013 EU institutions Macroeconomic policy
VoxEU Column Towards a more procyclical financial system Jon Danielsson 6 Mar 2013 International Finance
VoxEU Column The first sovereign debt crisis in the EU Hermann Oskarsson Jon Danielsson 11 Sep 2012 International Finance Politics and economics
VoxEU Column Countercyclical regulation in Solvency II: Merits and flaws Mario Wüthrich Enrico Perotti Antoon Pelsser Roger Laeven Jon Danielsson Rym Ayadi 23 Jun 2012 EU policies International Finance
VoxEU Column ‘Hubrisk’ (hubris+risk) and the Greek crisis Jon Danielsson 2 Mar 2012 EU policies Europe's nations and regions
VoxEU Column Capital controls are exactly wrong for Iceland Jon Danielsson Ragnar Arnason 14 Nov 2011 Europe's nations and regions Global crisis International Finance