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Number of all: 353
Date Event / Publication Title Event format / Author(s)
19 Dec, 2024 Financial intelligence: opportunities and risks of AI in finance
Policy Brief
1060

Iñaki Aldasoro | Bank for International Settlements (BIS)

Leonardo Gambacorta | Bank for International Settlements (BIS)

Anton Korinek | University of Virginia

Vatsala Shreeti | Bank for International Settlements (BIS)

Merlin Stein | Oxford University

19 Dec, 2024 The macroeconomic effects of liquidity supply during financial crises
Policy Brief
1055

Davide Porcellacchia | European Central Bank (ECB)

Kevin Sheedy | London School of Economics

12 Dec, 2024 Preventing Unnecessary Runs Financial Resilience as Flood Containment
Policy Brief
1053

Enrico Perotti | University of Amsterdam

12 Dec, 2024 Clearing in the Savings and Investments Union
Policy Brief
1049

Froukelien Wendt | European Securities and Markets Authority (ESMA)

5 Dec, 2024 ESG risks and Corporate Viability: Insights from Default Probability Term
Policy Brief
1048

Fabrizio Ferriani | Bank of Italy

Marcello Pericoli | Bank of Italy

7 Nov, 2024 The 2023 Banking Turmoil: Implementation Lessons for Resolution Authorities
Policy Brief
1024

Sebastiano Laviola | Bank of Italy

Niccolo’ Cirillo | Single Resolution Board (SRB)

Francesco Pennesi | Single Resolution Board (SRB)

7 Nov, 2024 Post-turmoil bank failure management: the European challenges
Policy Brief
1023

Fernando Restoy | Bank for International Settlements (BIS)

31 Oct, 2024 How do financial crises impact manufacturing growth? A cross-country analysis
Policy Brief
1017

Carlos Madeira | Bank for International Settlements (BIS)

Nov 22, 2024
SUERF BAFFI Bocconi e-lecture
Key takeaways from the ECB November 2024 Financial Stability Review
online
17 Oct, 2024 Passing on the hot potato: the use of ETFs by open-ended funds to manage redemption requests
Policy Brief
1007

Lennart Dekker | De Nederlandsche Bank

Luis Molestina Vivar | European Central Bank (ECB)

Christian Weistroffer | European Central Bank (ECB)

10 Oct, 2024 Enhancing Financial Stability: The Role of Multiple Scenario
Policy Brief
999

David Aikman | King´s Business School

Romain Angotti | European Central Bank (ECB)

Katarzyna Budnik | European Central Bank (ECB)

4 Oct, 2024 Greek banks and dividends – an event study analysis
Policy Brief
997

Markus Tiemann | European Central Bank (ECB)

26 Sep, 2024 How Credit Line Drawdowns and Repayments Affected Bank Performance During COVID-19
Policy Brief
986

Viral V. Acharya | New York University Stern School of Business

Robert Engle | New York University Stern School of Business

Maximilian Jager | Frankfurt School of Finance & Management

Sascha Steffen | Frankfurt School of Finance & Management

12 Sep, 2024 The Next European Commission's Policy Choices: A Credit Perspective (Part 3): Capital Markets Union (CMU) and Banking Union (BU)
Policy Brief
979

Sylvain Broyer | S&P Global Ratings

Nicolas Charnay | S&P Global Ratings

5 Sep, 2024 EU non-bank finance returns to growth
Policy Brief
974

Antoine Bouveret | European Securities and Markets Authority (ESMA)

Steffen Kern | European Securities and Markets Authority (ESMA)

Dorota Okseniuk | European Systemic Risk Board (ESRB)

Richard Portes | London Business School

22 Aug, 2024 Bank resilience in a changing environment: challenges and opportunities
Policy Brief
961

Ivan Dimitrov | European Central Bank (ECB)

Catherine Le Grand | ACPR (Banque de France)

Laurynas Naruąevičius | Lietuvos bankas

André Nunes | Bank of Portugal

Jure Podlogar | European Central Bank (ECB)

Nicola Röhm | European Central Bank (ECB)

Lucas Ter Steege | European Central Bank (ECB)

Giuseppe Cappelletti | European Central Bank (ECB)

22 Aug, 2024 Designing a macroprudential capital buffer for climate-related risks
Policy Brief
959

Florian Bartsch | Boston Consulting Group

Iulia Busies | European Central Bank (ECB)

Tina Emambakhsh | European Central Bank (ECB)

Michael Grill | European Central Bank (ECB)

Mathieu Simoens | Ghent University

Martina Spaggiari | European Central Bank (ECB)

Fabio Tamburrini | European Central Bank (ECB)

14 Aug, 2024 Why national independent fiscal institutions need a macro-prudential thrust in their work
Policy Brief
957

Daniel Daianu | Romanian Fiscal Council

8 Aug, 2024 Should borrower borrower-based measures target corporate lending? Evidence from credit standards and defaults
Policy Brief
948

Luis Fernández Lafuerza | Banco de España

Jorge Galán | Banco de España

1 Aug, 2024 Decomposing systemic risk
Policy Brief
947

Grzegorz Halaj | European Central Bank (ECB)

Ruben Hipp | Bank of Canada

25 Jul, 2024 Back to the basi(c)s – what is the CCP basis, why does it matter and is it here to stay?
Policy Brief
940

Ismael Alexander Boudiaf | European Central Bank (ECB)

Susanne Kretschmann | European Central Bank (ECB)

Martin Scheicher | European Central Bank (ECB)

25 Jul, 2024 Population Aging: A Threat to Bank Stability?
Policy Brief
935

Patrick Imam | Joint Vienna Institute (JVI)

Christian Schmieder | Bank for International Settlements (BIS)

25 Jul, 2024 How do macroprudential policies affect industrial growth?
Policy Brief
933

Carlos Madeira | Bank for International Settlements (BIS)

18 Jul, 2024 Through Rose-Tinted or Dark Lenses: How Bank Manager Sentiment Affects Lending and Risk
Policy Brief
929

Frank Brückbauer | ZEW – Leibniz Centre for European Economic Research

Thibault Cézanne | University of Mannheim

11 Jul, 2024 Public debt as private liquidity: the Poincaré experience (1926–1929)
Policy Brief
928

Aurélien Espic | Banque de France

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