VoxEU Column Moral hazard, the fear of the markets, and how central banks responded to Covid-19 Jean-Pierre Zigrand Lukas Brandl-Cheng Jon Danielsson Mattia Bevilacqua 28 Jan 2021 COVID-19 Monetary Policy Financial Markets
VoxEU Column The coronavirus crisis is no 2008 Jean-Pierre Zigrand Robert Macrae Dimitri Vayanos Jon Danielsson 26 Mar 2020 COVID-19 Global crisis
VoxEU Column Why macropru can end up being procyclical Jean-Pierre Zigrand Robert Macrae Dimitrios P Tsomocos Jon Danielsson 15 Dec 2016 Financial Regulation and Banking Macroeconomic policy
VoxEU Column On the financial market consequences of Brexit Robert Macrae Jean-Pierre Zigrand Jon Danielsson 24 Jun 2016 Europe's nations and regions Financial Markets
VoxEU Column A proposed research and policy agenda for systemic risk Jean-Pierre Zigrand Jon Danielsson 7 Aug 2015 Financial Regulation and Banking Macroeconomic policy
VoxEU Column Are asset managers systemically important? Jean-Pierre Zigrand Jon Danielsson 5 Aug 2015 Financial Markets Financial Regulation and Banking
VoxEU Column Europe’s proposed capital markets union: Disruption will drive investment and innovation Jean-Pierre Zigrand Andreas Uthemann Eva Micheler Katja Neugebauer Jon Danielsson 23 Feb 2015 EU policies Financial Markets International Finance
VoxEU Column Modelling financial turmoil through endogenous risk Hyun Song Shin Jean-Pierre Zigrand Jon Danielsson 11 Mar 2009 Financial Markets Global crisis
Discussion paper DP4176 Strategic Financial Innovation in Segmented Markets Rohit Rahi Jean-Pierre Zigrand 23 Jan 2004 Financial Economics D81 G18 G20