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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 NoteNo 327Protect the Safe Core: Restating the Central Bank MandateEnrico Perotti
Sep 2023Policy NoteNo 321Technological change and the destabilisation of bank deposits: Assessment and policy implications Ulrich Bindseil, Richard Senner
Aug 2023Policy BriefNo 649Do non-banks need access to the lender-of-last-resort? Evidence from fund runsJohannes Breckenfelder, Marie Hoerova
Jun 2023Policy BriefNo 608Is the EU Money Market Fund Regulation fit for purpose? Lessons from the COVID-19 turmoilLaura-Dona Capotă, Michael Grill, Luis Molestina Vivar, Niklas Schmitz, Christian Weistroffer
Mar 2023Policy BriefNo 556How prevalent are investment funds in cross-border investment?Pınar Yeşin
Feb 2023Policy NoteNo 302Macroprudential policy and real estate fundsManuel A. Muñoz, Frank Smets
Feb 2023Policy BriefNo 514Fund Flow Externalities Under the MicroscopeDaniel Fricke, Stephan Jank, Hannes Wilke
Apr 2022Policy BriefNo 314Private Debt for SMEs – Market OverviewHelmut Kraemer-Eis, Jörn Block, Antonia Botsari, Salome Gvetadze, Frank Lang, Carlos Krause, Alexandra Moritz, Anna Schulze
Dec 2021Policy BriefNo 253Money market funds in the euro area: Vulnerabilities and the role of macroprudential policyTom Hudepohl, Jeroen Huiting, Annelie Petersen
Nov 2021Policy BriefNo 231A Multi-level Network Approach to Spillovers Analysis: An Application to the Maltese Domestic Investment Funds SectorFrancesco Meglioli, Stephanie Gauci
Nov 2021Policy BriefNo 227Did liquidity limits amplify money market fund redemptions during the COVID crisis?Peter Dunne, Raffaele Giuliana
Nov 2021Policy BriefNo 218When the panic broke out: Covid-19 and investment funds’ portfolio rebalancing around the worldMassimiliano Affinito, Raffaele Santioni
Sep 2021Policy BriefNo 170Pension funds’ portfolio choices and investment beliefsDirk Broeders, Kristy Jansen
Aug 2021Policy BriefNo 160Have scale effects on cost margins of pension fund investment portfolios disappeared?Jacob A. Bikker, Jeroen J. Meringa
Jul 2021Policy BriefNo 139Consistent recovery and resolution of small and large banks in EuropeAnne Dyrberg Rommer, Louise Kleiner
Jun 2021Policy BriefNo 117Regulating liquidity risk in mutual fundsDominic Cucic
Jun 2021Policy NoteNo 247Not alone: Financial support of the Western BalkansMauro Giorgio Marrano
Jun 2021Policy BriefNo 112Fund Cross-Holdings and Financial StabilityDaniel Fricke, Hannes Wilke
Apr 2021Policy BriefNo 79A New Measure of Synthetic LeverageDaniel Fricke
Apr 2021Policy NoteNo 229Shifts in the portfolio holdings of euro area investors in the midst of COVID-19: looking-through investment fundsDaniel Carvalho, Martin Schmitz
Aug 2020Policy NoteNo 188The Growth of Indexing - What is happening, and why?Craig Lazzara
May 2020Policy NoteNo 171US dollar funding markets during the Covid-19 crisis – the international dimensionEgemen Eren, Andreas Schrimpf, Vladyslav Sushko
Sep 2019Policy NoteNo 103Non-banks in the EU: ensuring a smooth transition to a Capital Markets UnionFatima Pires
Jun 2019Policy NoteNo 80A products and activities approach to managing risk in asset managementBarbara Novick

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