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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)
Nov 2023Policy BriefNo 740Can the green transition be risky for Slovak banks?Jozef Kalman, Ján Klacso, Roman Vasiľ, Juraj Zeman
Nov 2023Policy BriefNo 736Banks’ credit forecasts excel at rank ordering but miss the evolution of lossesMartin Birn, Renzo Corrias, Christian Schmieder, Nikola Tarashev
Nov 2023Policy BriefNo 728Firm leverage and the low-carbon transition in EuropeOlimpia Carradori, Margherita Giuzio, Sujit Kapadia, Dilyara Salakhova, Katia Vozian
Nov 2023Policy BriefNo 719Should credit lines be regulated?Jose E. Gutierrez
Oct 2023Policy BriefNo 703Gross bond issuance by Italian banks: key trends in times of crisis and unconventional monetary policyDonato Ceci, Alessandro Montino, Sara Pinoli, Andrea Silvestrini
Oct 2023Policy BriefNo 692Innovation, Industry Equilibrium, and Discount RatesMaria Cecilia Bustamante, Francesca Zucchi
Sep 2023Policy BriefNo 688Bonds at a premium: the impact of insurers on corporate bond issuersChristian Kubitza
Sep 2023Policy BriefNo 687Fear The Walking Dead? Zombie Firms in the Euro Area and Their Effect on Healthy Firms’ Credit ConditionsLea Katharina Havemeister, Kristian Horn
Aug 2023Policy BriefNo 670How to Design Carbon Pricing Under Financial Constraints? Revisiting Pigouvian Taxation when Borrowers are “Too Levered for Pigou”Robin Döttling, Magdalena Rola-Janicka
Aug 2023Policy NoteNo 318The Quest for Deposit StabilityFernando Restoy
Aug 2023Policy NoteNo 316Peeling the onion: US bank stress not spreading to Euro areaRavi Balakrishnan, Marco Protopapa
Jul 2023Policy BriefNo 636A proposal for the European Green Transition via Significant Risk Transfer SecuritisationsFernando Gonzalez, Giuliano Giovannetti
Jun 2023Policy BriefNo 624CCP initial margin models: A peek under the hoodIsmael Alexander Boudiaf, Martin Scheicher, Francesco Vacirca
Jun 2023Policy BriefNo 623Are firms credit constrained? Answers from a Swedish credit registryNiklas Amberg, Tor Jacobson, Vincenzo Quadrini, Anna Rogantini Picco
Jun 2023Policy BriefNo 620Insights into Credit Loss Rates: A Global DatabaseLi Lian Ong, Christian Schmieder, Min Wei
Jun 2023Policy BriefNo 619Does Green Transition promote Green Innovation and Technological Acquisitions?Udichibarna Bose, Wildmer Daniel Gregori, Maria Martinez Cillero
Apr 2023Policy BriefNo 563Regulators as Risk Managers: Macroprudential Policy through a Risk Management LensDaniel Dimitrov, Sweder van Wijnbergen
Mar 2023Policy BriefNo 554The impact of the war in Ukraine on energy prices: consequences for firms’ financial performanceFabrizio Ferriani, Andrea Gazzani
Mar 2023Policy NoteNo 305Climate stress tests: Are banks fit for the green transition?Ursula Walther
Mar 2023Policy BriefNo 551Who funds zombie firms: banks or non-banks?Saara Tuuli
Mar 2023Policy BriefNo 546Bank lending to small firms: metamorphosis of a financing modelPaolo Finaldi Russo, Valentina Nigro, Sabrina Pastorelli
Mar 2023Policy BriefNo 542Issuing bonds during the Covid-19 pandemic: is there an ESG premium?Fabrizio Ferriani
Mar 2023Policy NoteNo 303Energy shocks and corporate performance, the case of CroatiaIvan Huljak
Jan 2023Policy BriefNo 513Gender diversity in bank boardrooms helps to combat climate changeLeonardo Gambacorta, Livia Pancotto, Alessio Reghezza, Martina Spaggiari
Jan 2023Policy BriefNo 507Joint Ownership of Production Projects as a Commitment Device against Interest Groups Nicoletta Berardi, Paul Seabright
Jan 2023Policy NoteNo 295The interplay between too big to fail policies and why it mattersAndré Ebner, Christiane Westhoff
Dec 2022Policy BriefNo 493Financial exposure and bank mergers - Micro and macro evidence from the EULaura Lebastard
Nov 2022Policy BriefNo 466Price-at-risk: systemic risk from price-impact induced contagionGábor Fukker, Michiel Kaijser, Luca Mingarelli, Matthias Sydow
Nov 2022Policy BriefNo 462Disclosure of climate change risks in credit ratingsMiriam Breitenstein, Stefania Ciummo, Florian Walch
Sep 2022Policy BriefNo 423Country biases in equity portfolios are less pronounced and less irrational than one might thinkMartijn Boermans, Ian Cooper, Piet Sercu, Rosanne Vanpée
Aug 2022Policy BriefNo 404Entity-based vs activity-based regulation: a framework and applications to traditional financial firms and big techsClaudio Borio, Stijn Claessens, Nikola Tarashev
Jul 2022Policy BriefNo 373Minibonds and intangiblesGabriele Beccari, Francesco Marchionne, Beniamino Pisicoli
Jun 2022Policy BriefNo 356How much is too much? Assessing the non-linear relationship between debt and sovereign creditworthinessSanne Zwart
May 2022Policy BriefNo 336Business resilience in the pandemic and beyond: Adaptation, innovation, financing and climate action from Eastern Europe to Central AsiaLuca Gattini, Rozália Pál, Helena Schweiger, Laura Valderrama
Apr 2022Policy BriefNo 309The low-carbon transition, climate commitments and firm credit riskSante Carbone, Margherita Giuzio, Sujit Kapadia, Johannes Sebastian Krämer, Ken Nyholm, Katia Vozian
Mar 2022Policy NoteNo 272Financing Faster Growth For Europe’s SMEsSylvain Broyer, Sarah Limbach, Cihan Duran
Mar 2022Policy BriefNo 295How do Asian central banks use big data? Insights from an Irving Fisher Committee surveyGiulio Cornelli, Sebastian Doerr, Leonardo Gambacorta, Bruno Tissot
Jan 2022Policy BriefNo 260Credit Constrained Firms and Government Subsidies: Evidence from a European Union ProgramTirupam Goel, Péter Lang, Eszter Balogh, Ádám Banai, Martin Stancsics, Előd Takáts, Álmos Telegdy
Nov 2021Policy BriefNo 226Benefits of internationalisation for acquirers and targets – but unevenly distributedRainer Frey, Stefan Goldbach
Nov 2021Policy BriefNo 218When the panic broke out: Covid-19 and investment funds’ portfolio rebalancing around the worldMassimiliano Affinito, Raffaele Santioni
Oct 2021Policy BriefNo 212Private equity buyouts and firm exports: Evidence from UK firmsPaul Lavery, Jose-Maria Serena, Marina-Eliza Spaliara, Serafeim Tsoukas
Oct 2021Policy NoteNo 257Systemic Implications of the Bail-in Design: A Precis of our Main TextJ. Doyne Farmer, Charles Goodhart, Alissa M. Kleinnijenhuis
Sep 2021Policy NoteNo 252Forging the Future of Monetary Union – taking stock and looking forwardMarkus Rodlauer, Rolf Strauch
Aug 2021Policy BriefNo 161Banks’ complexity-risk nexus and the role of regulationNatalya Martynova, Ursula Vogel
Jul 2021Policy BriefNo 122Barriers to net zero: How firms can make or break the green transitionRalph De Haas, Ralf Martin, Mirabelle Muûls, Helena Schweiger
Jun 2021Policy BriefNo 117Regulating liquidity risk in mutual fundsDominic Cucic
Apr 2021Policy BriefNo 67How do central banks use big data and machine learning?Sebastian Doerr, Leonardo Gambacorta, Jose Maria Serena
Feb 2021Policy NoteNo 221The future of data collection & data management: Agile RegOps for digitalizing the regulatory value chainMartina Drvar, Johannes Turner, Maciej Piechocki, Eric Stiegeler, Daniel Münch
Nov 2020Policy NoteNo 207Surge in corporate insolvencies hitting German banksJan Schildbach
Sep 2020Policy NoteNo 193Inclusive payments for the post-pandemic worldRaphael Auer, Jon Frost, Thomas Lammer, Tara Rice, Amber Wadsworth
May 2020Policy NoteNo 166Turning collective savings into private equity investments: The Covid-19 crisis as a catalyst for pan-European efficient resource allocationGeorges Hübner
May 2020Policy BriefNo 5An EU Recovery Fund: How to square the circle?Kajus Hagelstam, Alice Zoppè, Cristina Sofia Dias
Apr 2020Policy BriefNo 4How the economy will recover from the Corona shockJörg Krämer and Bernd Weidensteiner
Apr 2020Policy NoteNo 159Embedded supervision: how to build regulation into Libra 2.0 and the token economyRaphael Auer
Apr 2020Policy NoteNo 152European banks in the corona crisisJan Schildbach
Mar 2020Policy NoteNo 145A “European Capitalization and Development Fund” (ECDF) to facilitate Europe’s post-corona recoveryErnest Gnan
Mar 2020Policy NoteNo 139Capital Regulations and the Management of Credit Commitments during Crisis TimesPaul Pelzl, María Teresa Valderrama
Feb 2020Policy NoteNo 130European Banking Consolidation: Can a view to the past inform current policy efforts?Peter Hahn
Jan 2020Policy NoteNo 123DLT-Based Regulatory Reporting - A game changer for the regulatory regime?Daniel Münch, Noah Bellon
Jul 2019Policy NoteNo 82Rethinking Capital Regulation: The Case for a Dividend Prudential Target in the Euro AreaManuel Muñoz
Jun 2019Policy NoteNo 80A products and activities approach to managing risk in asset managementBarbara Novick
Apr 2019Policy NoteNo 65A New HorizonMark Carney
Feb 2019Policy NoteNo 57Creating an enabling environment for innovation and digitalisationDebora Revoltella, Tim Bending, Christoph Weiss, Philipp-Bastian Brutscher
Feb 2018Policy NoteNo 26Comparability of Basel risk weights in the EU banking sectorZsofia Döme, Stefan Kerbl
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
Oct 2015Policy NoteNo 2Modigliani–Miller, Basel 3 and CRD 4Morten Balling

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