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SUERF Policy Notes

In September 2015, SUERF launched the SUERF Policy Notes series with focus on current financial, monetary or economic issues, designed for policy makers and financial practitioners, authored by renowned experts.
 


Date publishedSUERFIssueTitleAuthor(s)
May 2023Policy BriefNo 589The environmental goods and services sector is the keystone of net zero: Let’s subsidize it!Eric Jondeau, Grégory Levieuge, Jean-Guillaume Sahuc, Gauthier Vermandel
Apr 2023Policy BriefNo 563Regulators as Risk Managers: Macroprudential Policy through a Risk Management LensDaniel Dimitrov, Sweder van Wijnbergen
Apr 2023Policy BriefNo 561Leaning against the Global Financial CycleAndrea Ferrero, Maurizio Michael Habib, Livio Stracca, Fabrizio Venditti
Mar 2023Policy BriefNo 552The euro interest rate swap market: Recent trends in trading activity and liquidityFederico Babbi, Immo Frieden, Martin Scheicher
Feb 2023Policy NoteNo 299Convergence in GDP per capita in the euro area and the EU at the time of COVID-19Mirko Licchetta, Giovanni Mattozz
Jan 2023Policy BriefNo 505Adjusted regulation can improve capital buffer usability Ianna Georgieva Yordanova
Jan 2023Policy BriefNo 504Introduction of the composite indicator of cyclical systemic risk in Croatia: possibilities and limitationsTihana Škrinjarić
Dec 2022Policy BriefNo 497European Small Business Finance Outlook: SMEs in between crisesHelmut Kraemer-Eis, Antonia Botsari, Salome Gvetadze, Frank Lang, Wouter Torfs
Oct 2022Policy BriefNo 454Augmented credit-to-GDP gap as a more reliable indicator for macroprudential policy decision-makingTihana Škrinjarić
Oct 2022Policy BriefNo 450Are Liability Driven Investors (LDIs) a liability for policymakers?Giacomo Carboni, Martin Ellison
Oct 2022Policy BriefNo 444How do central bank lending operations interact with equity offering announcements?Massimo Giuliodori, Jan Kakes, Dimitris Mokas
Sep 2022Policy BriefNo 430Central bank capitalPaul Wessels, Dirk Broeders
Sep 2022Policy BriefNo 429Liquidity Coverage Ratios and Monetary Policy Credit in the time of CoronaViktoriya Gocheva, Yvo Mudde, Jens Tapking
Sep 2022Policy BriefNo 414The effects of Monetary Policy on Capital Flows: A Meta-AnalysisMauricio Villamizar-Villegas, Lucía Arango-Lozano, Geraldine Castelblanco-Arias, Nicolás Fajardo-Baquero, María A. Ruiz-Sánchez
Aug 2022Policy BriefNo 395Liquidity in bond markets - navigating in troubled watersMartin Scheicher, Andreas Schrimpf
Aug 2022Policy BriefNo 389Digital Endowments and Comparative AdvantageDario Guarascio, Roman Stöllinger
Jun 2022Policy BriefNo 352An innovative new measure of human capital to better assess the link between education policies and productivityBalázs Égert, Christine de la Maisonneuve, David Turner
Mar 2022Policy NoteNo 272Financing Faster Growth For Europe’s SMEsSylvain Broyer, Sarah Limbach, Cihan Duran
Mar 2022Policy NoteNo 269CBDC and the international position of the euroWim Boonstra
Mar 2022Policy BriefNo 285Why the impact of the health crisis in 2020 was uneven across the euro area economies?Ángel Luis Gómez, Ana del Río
Feb 2022Policy BriefNo 282Lessons from estimating the average option-implied volatility term-structure for the Spanish banking sectorMaria T. Gonzalez-Perez
Jan 2022Policy BriefNo 258Why have interest rates fallen far below the return on capital?Magali Marx, Benoît Mojon, François R. Velde
Jan 2022Policy BriefNo 255Climate actions and macro-financial stability: The role of central banksFrancesca Diluiso, Barbara Annicchiarico, Matthias Kalkuhl, Jan. C. Minx
Dec 2021Policy NoteNo 260Identifying lessons from the current crisis for the prudential framework of the banking system Pablo Hernández de Cos
Dec 2021Policy BriefNo 248Africa and COVID-19: Can the financial sector stay on course for a green and digital future?Debora Revoltella, Claudio Cali, Barbara Marchitto, Nina Fenton, Ricardo Santos
Dec 2021Policy NoteNo 258The importance of Private Equity and Venture Capital financing for Greentech companies in EuropeHelmut Kraemer-Eis, Antonia Botsari, Salome Gvetadze, Frank Lang, Wouter Torfs
Nov 2021Policy BriefNo 225Population aging and the persistence of three key global trendsAndrea Papetti
Nov 2021Policy BriefNo 213The role of prudential policy in addressing climate changeFernando Restoy
Oct 2021Policy BriefNo 207The Rise in Foreign Currency Bonds: The Role of US Monetary Policy and Capital ControlsPhilippe Bacchetta, Rachel Cordonier, Ouarda Merrouche
Oct 2021Policy BriefNo 201Basel III implementation in the European UnionPablo Hernández de Cos
Oct 2021Policy BriefNo 199The impact of macroprudential policies on capital flows in CESEEMarkus Eller, Niko Hauzenberger, Florian Huber, Helene Schuberth, Lukas Vashold
Sep 2021Policy BriefNo 184Frozen markets: Iceland’s experience with capital controlsFrancis Breedon, Thórarinn G. Pétursson, Paolo Vitale
Aug 2021Policy BriefNo 167Limits of stress-test based bank regulationTirupam Goel, Isha Agarwal
Aug 2021Policy BriefNo 166Record global FX reserves after COVID shockMichael S Hanson
Aug 2021Policy BriefNo 165Assessment of the effectiveness of the macroprudential measures implemented in the context of the Covid-19 pandemicLucas Avezum, Vítor Oliveira, Diogo Serra
Aug 2021Policy BriefNo 164Banks Fearing the Drought? Liquidity Hoarding as a Response to Idiosyncratic Interbank Funding Dry-UpsHelge C.N. Littke, Matias Ossandon Busch
Aug 2021Policy BriefNo 159On the Effectiveness of Macroprudential PolicyMiguel Ampudia, Marco Lo Duca, Mátyás Farkas, Gabriel Perez Quiros, Mara Pirovano, Gerhard Rünstler, Eugen Tereanu
Aug 2021Policy BriefNo 157Covid-19 and Capital Flows: The Responses of Investors to the Responses of GovernmentsStefan Goldbach, Volker Nitsch
Aug 2021Policy BriefNo 147Proportionality in banking regulation: who, what and how?Raihan Zamil
Aug 2021Policy BriefNo 144A quantitative analysis of the countercyclical capital bufferMiguel Faria e Castro
Jul 2021Policy BriefNo 132Euro area portfolio flows in 2020: the impact of the Covid-19 crisisJulia Schmidt, Olivier Sirello
Jul 2021Policy BriefNo 131Investment funds, monetary policy, and the global financial cycleChristoph Kaufmann
Jun 2021Policy NoteNo 246Integrated policy frameworks: The constraints of policy horizons and adjustment frequenciesClaudio Borio and Piti Disyatat
Jun 2021Policy BriefNo 100Shocks to bank capital as a driver of lending standards to corporates. What can macroprudential policy learn from bank lending surveys?Ewa Wróbel
May 2021Policy BriefNo 97Stress-Testing Net Trading Income: The Case of European BanksCarla Giglio, Frances Shaw, Nicolas Syrichas and Giuseppe Cappelletti
May 2021Policy BriefNo 93Set-up costs and the financing of young firmsFrançois Derrien, Jean-Stéphane Mésonnier, Guillaume Vuillemey
May 2021Policy BriefNo 88Strengthening the international role of the euroGergely Hudecz, Gong Cheng, Edmund Moshammer, Alexander Raabe
May 2021Policy NoteNo 236Europe’s growth gap: reconciling Keynes and SchumpeterFrançois Villeroy de Galhau
Apr 2021Policy BriefNo 81How the Capital Markets Union can help Europe avoid a liquidity trapSylvain Broyer
Apr 2021Policy BriefNo 76The Impact of COVID-19 on European BanksShekhar Aiyar, Mai Chi Dao, Andreas A. Jobst, Aiko Mineshima, Srobona Mitra, Mahmood Pradhan
Apr 2021Policy BriefNo 75Europe: the shock of Covid-19 and the fear of accelerated zombificationHélène Baudchon, Louis Boisset, Guillaume Derrien, Kenza Charef
Apr 2021Policy NoteNo 231The challenges to the banking sector a year after the outbreak of the COVID-19 pandemicPablo Hernández de Cos
Apr 2021Policy BriefNo 62The way forward for EU-wide stress testsPedro Duarte Neves
Mar 2021Policy NoteNo 227Scarring in EuropeReza Moghadam, Markus Guetschow, Camille White
Mar 2021Policy BriefNo 54Are lower bank capital requirements an efficient policy tool for supporting credit to SMEs?Michel Dietsch, Henri Fraisse, Mathias Lé, Sandrine Lecarpentier
Feb 2021Policy NoteNo 225Sharing Economy in the Financial Industry: A Platform Approach towards Sharing in Regulatory Reporting using the Shapley ValueAaron Janowski, Moritz Plenk, Mirko Haselwander
Feb 2021Policy BriefNo 49Should developed economies manage international capital flows? An empirical and welfare analysisDennis Bonam, Gavin Goy, Emmanuel de Veirman
Feb 2021Policy BriefNo 44The evolution of bond and swap tradingMartin Scheicher
Jan 2021Policy NoteNo 217The post-COVID-19 recovery: what challenges and roadmap for the banking industry?Jordi Gual
Dec 2020Policy NoteNo 210On the risk-adjusted performance of machine learning models in credit default predictionAndres Alonso, Jose Manuel Carbo
Nov 2020Policy NoteNo 204Lessons from the Swedish anti-corona strategyLieven Noppe
Sep 2020Policy NoteNo 191Are bank capital requirements optimally set? Evidence from researchers’ viewsGene Ambrocio, Iftekhar Hasan, Esa Jokivuolle, Kim Ristolainen
Aug 2020Policy NoteNo 187Measuring Regulatory ComplexityJean-Edouard Colliard, Co-Pierre Georg
Jul 2020Policy BriefNo 21How effective are bank levies in reducing leverage given the debt bias of corporate income taxation?Franziska Bremus, Kirsten Schmidt, Lena Tonzer
May 2020Policy NoteNo 168Cross-border consolidation in the European banking sector: between dreams and realityJan Van Hove
Apr 2020Policy NoteNo 152European banks in the corona crisisJan Schildbach
Mar 2020Policy NoteNo 139Capital Regulations and the Management of Credit Commitments during Crisis TimesPaul Pelzl, María Teresa Valderrama
Feb 2020Policy NoteNo 132The European Banking UnionMargarita Delgado
Jan 2020Policy NoteNo 127Europe’s role in the global financial systemLuis de Guindos
Nov 2019Policy NoteNo 110Towards a European Governance Framework for CryptoassetsJason Grant Allen, Rosa María Lastra
Oct 2019Policy NoteNo 108Libra – a view from EuropeHeike Mai
Oct 2019Policy NoteNo 107Tackling non-performing loans in EuropePeter Grasmann, Markus Aspegren, Nicolas Willems
Aug 2019Policy NoteNo 91How to Make Capitalism Work for All?Anita Angelovska Bezhoska
Jul 2019Policy NoteNo 87Loan portfolio diversification in the euro area, capital requirements, and the European Banking UnionEsa Jokivuolle, Matti Virén
Jul 2019Policy NoteNo 82Rethinking Capital Regulation: The Case for a Dividend Prudential Target in the Euro AreaManuel Muñoz
Apr 2019Policy NoteNo 68How to assess the adequacy of capital requirements based on internal models?Susanne Roehrig
Oct 2018Policy NoteNo 44A Financial Union for the Euro AreaPoul M. Thomsen
Oct 2018Policy NoteNo 43A Green Supporting Factor — The Right Policy?Jacob Dankert, Lars van Doorn, Henk Jan Reinders, Olaf Sleijpen
May 2018Policy NoteNo 35Strengthening the euro area Architecture: A proposal for Purple bondsLorenzo Bini Smaghi, Michala Marcussen
Mar 2018Policy NoteNo 28Credit conditions and corporate investment in EuropeLaurent Maurin, Rozalia Pal, Philipp-Bastian Brutscher
Feb 2018Policy NoteNo 26Comparability of Basel risk weights in the EU banking sectorZsofia Döme, Stefan Kerbl
Jan 2018Policy NoteNo 25The New Silk Road: Implications for EuropeStephan Barisitz, Alice Radzyner
Nov 2017Policy NoteNo 21Risk sharing in EMU: key insights from a literature reviewDemosthenes Ioannou, David Schäfer
May 2017Policy NoteNo 12(No) worries about the new shape of international capital flowsMatthieu Bussiére, Julia Schmidt, Natacha Valla
Jan 2017Policy NoteNo 10Bail-ins: Issues of Credibility and ContagionClas Wihlborg
May 2016Policy NoteNo 6Bank secrecy in offshore centres, capital flows and blacklisting: It takes two to tangoDonato Masciandaro
Apr 2016Policy NoteNo 5Some seeming paradoxes or interesting points of Russia’s economy and banking sectorStephan Barisitz
Oct 2015Policy NoteNo 2Modigliani–Miller, Basel 3 and CRD 4Morten Balling

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