Discussion paper DP15224 Which firms benefit from corporate QE during the COVID-19 crisis? The case of the ECB’s Pandemic Emergency Purchase Program Asli Demirgüç-Kunt Bálint Horváth Harry Huizinga 30 Aug 2020 International Macroeconomics and Finance E52 G14
Discussion paper DP14096 Taxation and the External Wealth of Nations: Evidence from Bilateral Portfolio Holdings Harry Huizinga Maximilian Todtenhaupt Johannes Voget Wolf Wagner 4 Nov 2019 Financial Economics G11 H24
VoxEU Column The procyclicality of banking in the euro area Luc Laeven Harry Huizinga 29 May 2019 Europe's nations and regions Financial Regulation and Banking
Discussion paper DP13605 The Procyclicality of Banking: Evidence from the Euro Area Harry Huizinga Luc Laeven 20 Mar 2019 Financial Economics G20
VoxEU Column The revaluation of international banks following the crisis Asli Demirgüç-Kunt Harry Huizinga Ata Bertay 30 Jan 2018
Discussion paper DP12505 Are international banks different? Evidence on bank performance and strategy Harry Huizinga Asli Demirgüç-Kunt Ata Bertay 14 Dec 2017 International Macroeconomics and Finance F36 G21 G28
VoxEU Column Foreign banks and the international transmission of monetary policy Bálint Horváth Harry Huizinga Asli Demirgüç-Kunt 6 Jul 2017 International Finance Monetary Policy
Discussion paper DP11796 Foreign Banks and International Transmission of Monetary Policy: Evidence from the Syndicated Loan Market Harry Huizinga Asli Demirgüç-Kunt Bálint Horváth 22 Jan 2017 International Macroeconomics and Finance E44 E52 F34 F38 F42 G15 G20
VoxEU Column Non-consolidated subsidiaries enable banks to arbitrage capital rules Harry Huizinga Luc Laeven Di Gong 18 Feb 2016 Frontiers of economic research Global crisis
Discussion paper DP10992 Nonconsolidated subsidiaries, bank capitalization and risk taking Harry Huizinga Luc Laeven Di Gong 20 Dec 2015 Macroeconomics and Growth G21 G32
VoxEU Column European Banks’ Sovereign Debt Home Bias: Voluntary or Involuntary? Harry Huizinga Vasso Ioannidou Bálint Horváth 31 Jul 2015 Financial Regulation and Banking
Discussion paper DP10661 Determinants and Valuation Effects of the Home Bias in European Banks' Sovereign Debt Portfolios Harry Huizinga Vasso Ioannidou Bálint Horváth 21 Jun 2015 Financial Economics F3 G01 G14 G15 G21 G28