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Date Title Author(s)
24 Feb, 2022 House Prices and Misallocation: The Impact of the Collateral Channel on Productivity
Policy Brief
284

Sergi Basco | Universitat de Barcelona

David Lopez-Rodriguez | Banco de España

Enrique Moral-Benito | Banco de España

24 Feb, 2022 Don’t trust the (inflation) process
Policy Brief
283

Bruce Kasman | J.P. Morgan

17 Feb, 2022 Money and psychology of inflation: an investor view
Policy Brief
277

Pascal Blanqué | Amundi

17 Feb, 2022 Does polarization have economic effects? It does on economic expectations
Policy Note
266

Luis Guirola | Banco de España

17 Feb, 2022 Brexit: Trade diversion due to trade policy uncertainty
Policy Brief
279

Eduardo Gutiérrez | Banco de España

Aitor Lacuesta | Banco de España

César Martín-Machuca | Banco de España

17 Feb, 2022 The Political Phillips Curve in the Euro Area: Parliamentary Voice on ECB Monetary Policy
Policy Brief
278

Federico Maria Ferrara | London School of Economics

Donato Masciandaro | Bocconi University

Manuela Moschella | Scuola Normale Superiore

Davide Romelli | Trinity College Dublin

10 Feb, 2022 Regulating big tech in the public interest
Policy Brief
274

Agustín Carstens | Bank for International Settlements (BIS)

10 Feb, 2022 Revisiting the Properties of Money
Policy Brief
273

Isaiah Hull | Sveriges Riksbank

Or Sattath | Ben-Gurion University of the Negev

| Ben-Gurion University of the Negev

10 Feb, 2022 Austrian conceptions of money and the rise of digital currency
Policy Note
265

Michael Peneder | Austrian Institute of Economic Research (WIFO)

10 Feb, 2022 The COVID Non-Performing Loan ’Tsunami’ that Never Happened and How to Avoid it Now
Policy Brief
276

Reiner Martin | Joint Vienna Institute (JVI)

Piroska Nagy-Mohácsi | London School of Economics

Elina Ribakova | Institute of International Finance (IIF)

Jonathan Fortun Vargas | Institute of International Finance (IIF)

10 Feb, 2022 The effectiveness of ECB euro liquidity lines: spillovers and spillbacks
Policy Brief
275

Silvia Albrizio | International Monetary Fund (IMF)

Iván Kataryniuk | Banco de España

Luis Molina | Banco de España

Jan Schäfer | CEMFI

3 Feb, 2022 Population ageing and the digital divide
Policy Brief
270

Sebastian Doerr | Bank for International Settlements (BIS)

Jon Frost | Bank for International Settlements (BIS)

Leonardo Gambacorta | Bank for International Settlements (BIS)

Han Qiu | Bank for International Settlements (BIS)

3 Feb, 2022 High earners in the European banking sector
Policy Note
264

Emma-Faye Dertnig | Oesterreichische Nationalbank

Jakob Hanzl | Oesterreichische Nationalbank

Mario Hübler | Oesterreichische Nationalbank

Christoph Prenner | Oesterreichische Nationalbank

3 Feb, 2022 Including inflation expectations helps to improve inflation forecasts of econometric models
Policy Brief
271

Marta Bańbura | European Central Bank (ECB)

Danilo Leiva-Leon | Banco de España

Jan-Oliver Menz | Deutsche Bundesbank

3 Feb, 2022 Global models for a global pandemic: the impact of COVID-19 on small euro area economies
Policy Brief
272

Pablo Garcia | Banque centrale du Luxembourg

Pascal Jacquinot | European Central Bank (ECB)

Črt Lenarčič | Bank of Slovenia

Matija Lozej | European Central Bank (ECB)

Kostas Mavromatis | De Nederlandsche Bank

3 Feb, 2022 Recovery as a springboard for change
Policy Brief
269

Debora Revoltella | European Investment Bank (EIB)

Tessa Bending | European Investment Bank (EIB)

Atanas Kolev | European Investment Bank (EIB)

3 Feb, 2022 Monetary policy and the green transition
Policy Brief
268

Lena Boneva | European Central Bank (ECB)

Gianluigi Ferrucci | European Central Bank (ECB)

Francesco Paolo Mongelli | European Central Bank (ECB)

27 Jan, 2022 Has the Impact of the ECB’s Asset Purchases Diminished Over Time?
Policy Brief
265

Andrejs Zlobins | Bank of Latvia

27 Jan, 2022 Feeling the Heat? – Assessing Labor Shortages in the Euro area
Policy Brief
266

Paul Ramskogler | Oesterreichische Nationalbank

27 Jan, 2022 Why disinflation can be more costly in a small open economy than in a closed economy
Policy Brief
264

Oleksandr Faryna | National Bank of Ukraine

Magnus Jonsson | Sveriges Riksbank

Nadiia Shapovalenko | National Bank of Ukraine

27 Jan, 2022 Pledge or pretext? Lessons from the Fiscal Compact
Policy Brief
267

Martin Larch | European Fiscal Board

Matthias Busse | European Fiscal Board

László Jankovics | European Fiscal Board

20 Jan, 2022 Firm financing and public liquidity measures during the pandemic
Policy Brief
261

Ida Rommedahl Julin | Danmarks Nationalbank

Andreas Kuchler | Danmarks Nationalbank

Alexander Meldgaard Otte | Danmarks Nationalbank

20 Jan, 2022 Pitfalls of Inflation Tolerance Ranges
Policy Brief
263

Hervé Le Bihan | Banco de España

Magali Marx | Banque de France

Julien Matheron | Banque de France

20 Jan, 2022 Choosing the European fiscal rule
Policy Brief
262

Ginters Bušs | Bank of Latvia

Patrick Grüning | Bank of Latvia

Oļegs Tkačevs | Bank of Latvia

20 Jan, 2022 How to analyse monetary policy transmission and inequality in a three-agent model (THRANK)
Policy Brief
259

Maria Eskelinen | University of Oxford

20 Jan, 2022 Credit Constrained Firms and Government Subsidies: Evidence from a European Union Program
Policy Brief
260

Tirupam Goel | Bank for International Settlements (BIS)

Péter Lang | DBRS Morningstar

Eszter Balogh | Raiffeisen Bank Hungary

Ádám Banai | Central Bank of Hungary

Martin Stancsics | University of Zurich

Előd Takáts | Corvinus University of Budapest

Álmos Telegdy | Corvinus University of Budapest

13 Jan, 2022 Why do households save?
Policy Brief
257

Sami Oinonen | Bank of Finland

Matti Viren | University of Turku

13 Jan, 2022 Why have interest rates fallen far below the return on capital?
Policy Brief
258

Magali Marx | Banque de France

Benoit Mojon | Bank for International Settlements (BIS)

François Velde | Federal Reserve Bank of Chicago

13 Jan, 2022 Climate actions and macro-financial stability: The role of central banks
Policy Brief
255

Francesca Diluiso | MCC Berlin

Barbara Annicchiarico | University of Rome Tor Vergata

Matthias Kalkuhl | MCC Berlin

Jan C. Minx | MCC Berlin

11 Jan, 2022 Operating leverage and its importance during the Covid-19 pandemic
Policy Brief
256

Katharina Allinger | Oesterreichische Nationalbank

Ivan Huljak | Croatian National Bank

7 Jan, 2022 The encrypted threat: Bitcoin’s social cost and regulatory responses
Policy Note
262

Ulrich Bindseil | European Central Bank (ECB)

Patrick Papsdorf | European Central Bank (ECB)

Jürgen Schaaf | European Central Bank (ECB)

7 Jan, 2022 Monetary Policy in a World of Radical Uncertainty
Policy Note
263

Mervyn King | New York University

22 Dec, 2021 What explains the emergence and diffusion of climate-related financial policies in G20 countries?
Policy Brief
254

Paola D’Orazio | Ruhr-Universität Bochum

22 Dec, 2021 Money market funds in the euro area: Vulnerabilities and the role of macroprudential policy
Policy Brief
253

Tom Hudepohl | De Nederlandsche Bank

Jeroen Huiting | De Nederlandsche Bank

Annelie Petersen | De Nederlandsche Bank

22 Dec, 2021 Determinants of the credit cycle: a flow analysis of the extensive margin
Policy Brief
252

Vincenzo Cuciniello | Bank of Italy

Nicola di Iasio | European Central Bank (ECB)

22 Dec, 2021 Mortgage and real estate markets: Current developments pose risks to financial stability
Policy Note
261

Fritz Zurbrügg | Swiss National Bank

22 Dec, 2021 Monetary and fiscal complementarity in the Covid-19 pandemic
Policy Brief
249

Jagjit S. Chadha | NIESR

Luisa Corrado | University of Rome Tor Vergata

Jack Meaning | Bank of England

Tobias Schuler | European Central Bank (ECB)

20 Dec, 2021 Big techs in finance: a new trade-off between efficiency and privacy
Policy Brief
250

Frederic Boissay | Bank for International Settlements (BIS)

Torsten Ehlers | Bank for International Settlements (BIS)

Leonardo Gambacorta | Bank for International Settlements (BIS)

Hyun Song Shin | Bank for International Settlements (BIS)

17 Dec, 2021 Have Bail-in Policies Reduced Too-Big-To-Fail Expectations? Evidence from the European Overnight Interbank Market
Policy Brief
251

Eero Tölö | Norwegian Ministry of Finance

Esa Jokivuolle | Bank of Finland

Matti Viren | University of Turku

17 Dec, 2021 Identifying lessons from the current crisis for the prudential framework of the banking system
Policy Note
260

Pablo Hernández de Cos | Banco de España

16 Dec, 2021 The Macroeconomic Impact of Euro Area Labor Market Reforms
Policy Brief
243

Gerhard Rünstler | European Central Bank (ECB)

16 Dec, 2021 Africa and COVID-19: Can the financial sector stay on course for a green and digital future?
Policy Brief
248

Debora Revoltella | European Investment Bank (EIB)

Claudio Cali | European Investment Bank (EIB)

Barbara Marchitto | European Investment Bank (EIB)

Nina Fenton | European Investment Bank (EIB)

Ricardo Santos | European Investment Bank (EIB)

16 Dec, 2021 Crises as a catalyst for change – lessons from the past, challenges for the future
Policy Note
259

Jens Weidmann | Deutsche Bundesbank

16 Dec, 2021 Bridge over troubled water? The effectiveness of macroprudential policy during the Covid-19 pandemic in Portugal
Policy Brief
247

Katja Neugebauer | Banco de Portugal

Vítor Oliveira | Banco de Portugal

Ângelo Ramos | Banco de Portugal

16 Dec, 2021 How to set Cyclical and Structural capital buffers via Stress tests? A Risk-to-Buffer approach
Policy Brief
245

Cyril Couaillier | European Central Bank (ECB)

Valerio Scalone | Banque de France

16 Dec, 2021 Public trust only partly immune to COVID-19 pandemic
Policy Brief
246

Carin van der Cruijsen | De Nederlandsche Bank

Jakob de Haan | University of Groningen

Nicole Jonker | De Nederlandsche Bank

16 Dec, 2021 Switching-track after the Great Recession
Policy Brief
244

Francesca Vinci | European Central Bank (ECB)

Omar Licandro | University of Nottingham

9 Dec, 2021 The importance of Private Equity and Venture Capital financing for Greentech companies in Europe
Policy Note
258

Helmut Kraemer-Eis | European Investment Fund (EIF)

Antonia Botsari | European Investment Fund (EIF)

Salome Gvetadze | European Investment Fund (EIF)

Frank Lang | European Investment Fund (EIF)

Wouter Torfs | European Investment Fund (EIF)

9 Dec, 2021 Mutual funds’ loyalty helped to stabilize ESG stocks during the COVID-19 market crash
Policy Brief
241

Rui Albuquerque | Boston College

Yrjo Koskinen | University of Calgary

Raffaele Santioni | Bank of Italy

9 Dec, 2021 The European CBAM as a first step towards a globally coordinated climate policy
Policy Brief
240

Daniel Römer | KfW

Milena Schwarz | KfW

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