SUERF Policy Notes & Briefs offer accessible and concise, high-quality, authoritative and informed analysis on topical issues related to European money and finance. They make research by SUERF Member institutions and academic researchers available to the SUERF network and beyond. SUERF Policy Notes & Briefs are published weekly on the SUERF webpage. The views expressed are those of the author(s) and not necessarily those of the institution(s) the author(s) is/are affiliated with.
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|Nov 2022||Policy Brief||No 471||Environmental and Social Preferences and Investments in Crypto-Assets||Pavel Ciaian, Andrej Cupak, Pirmin Fessler, d’Artis Kancs|
|Nov 2022||Policy Brief||No 466||Price-at-risk: systemic risk from price-impact induced contagion||Gábor Fukker, Michiel Kaijser, Luca Mingarelli, Matthias Sydow|
|Sep 2022||Policy Brief||No 427||Integrating the carbon footprint into the construction of corporate bond portfolios||Mario Bajo, Emilio Rodríguez|
|Sep 2022||Policy Brief||No 423||Country biases in equity portfolios are less pronounced and less irrational than one might think||Martijn Boermans, Ian Cooper, Piet Sercu, Rosanne Vanpée|
|Jun 2022||Policy Brief||No 350||The currency channel of global bank leverage: a boost to fund-raising capacity||Justine Pedrono|
|Nov 2021||Policy Brief||No 218||When the panic broke out: Covid-19 and investment funds’ portfolio rebalancing around the world||Massimiliano Affinito, Raffaele Santioni|
|Sep 2021||Policy Brief||No 170||Pension funds’ portfolio choices and investment beliefs||Dirk Broeders, Kristy Jansen|
|Jun 2021||Policy Brief||No 112||Fund Cross-Holdings and Financial Stability||Daniel Fricke, Hannes Wilke|
|Apr 2021||Policy Brief||No 61||A backstop liquidity facility for a greener economy||Eric Jondeau, Benoit Mojon, Cyril Monnet|
|Apr 2021||Policy Note||No 229||Shifts in the portfolio holdings of euro area investors in the midst of COVID-19: looking-through investment funds||Daniel Carvalho, Martin Schmitz|
|Dec 2019||Policy Note||No 118||Deposit facility rate, bank reserves, and portfolio reallocation incentives||Manuel Buchholz, Kirsten Schmidt, Lena Tonzer|
|Oct 2019||Policy Note||No 107||Tackling non-performing loans in Europe||Peter Grasmann, Markus Aspegren, Nicolas Willems|
|Jul 2019||Policy Note||No 87||Loan portfolio diversification in the euro area, capital requirements, and the European Banking Union||Esa Jokivuolle, Matti Virén|
|Jun 2019||Policy Note||No 81||Bilateral Trade Balances Under Focus||Florence Jaumotte|
|Apr 2019||Policy Note||No 68||How to assess the adequacy of capital requirements based on internal models?||Susanne Roehrig|
|Feb 2018||Policy Note||No 27||Euro area quantitative easing: Large volumes, small impact?||Daniel Gros|
|Nov 2017||Policy Note||No 21||Risk sharing in EMU: key insights from a literature review||Demosthenes Ioannou, David Schäfer|
|Oct 2017||Policy Note||No 19||Is cash back? Assessing the recent increase in cash demand||Clemens Jobst, Helmut Stix|
|May 2017||Policy Note||No 12||(No) worries about the new shape of international capital flows||Matthieu Bussiére, Julia Schmidt, Natacha Valla|