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Number of publications: 146
Date Title Author(s)
10 Oct, 2024 Nonbank Lending and the Transmission of Monetary Policy
Policy Brief
1002

Dominic Cucic | Danmarks Nationalbank

Denis Gorea | Bank for International Settlements

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

Markus Tiemann | European Central Bank (ECB)

12 Sep, 2024 Securitisation Reform to Boost European Competitiveness
Policy Brief
976

Georges Duponcheele | Great Lakes Insurance SE

Marc Fayémi | European Bank for Reconstruction and Development (EBRD)

Fernando González Miranda | European Central Bank (ECB)

William Perraudin | Risk Control Limited

Alessandro Tappi | European Investment Fund (EIF)

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

29 Aug, 2024 Estimating the contribution of macroeconomic factors to sovereign bond spreads in the euro area
Policy Brief
964

Pablo Burriel | Banco de España

Mar Delgado-Téllez | European Central Bank (ECB)

Camila Figueroa | Analistas Financieros Internacionales

Iván Kataryniuk | Banco de España

Javier J. Perez | Banco de España

8 Aug, 2024 As Interest Rates Surge: Flighty Deposits and Lending
Policy Brief
954

Giuseppe Cappelletti | European Central Bank (ECB)

David Marqués-Ibáñez | European Central Bank (ECB)

Alessio Reghezza | European Central Bank (ECB)

Carmelo Salleo | European Central Bank (ECB)

8 Aug, 2024 Mutual funds and safe government bonds: do returns matter?
Policy Brief
953

Marco Graziano | University of Lausanne

Maurizio Michael Habibis | European Central Bank (ECB)

1 Aug, 2024 Effectiveness of EU CRA regulations in curbing rating shopping and catering in the securitisation market
Policy Brief
943

Nodirbek Karimov | University of Huddersfield

Alper Kara | Brunel University London

Gareth Downing | Manchester Metropolitan University

David Marqués-Ibáñez | European Central Bank (ECB)

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)

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

11 Jul, 2024 Arbitraging the G-SIB framework: causal evidence of window dressing
Policy Brief
924

Matthew Naylor | Bank of England

Renzo Corrias | Bank for International Settlements (BIS)

Peter Welz | European Central Bank (ECB)

4 Jul, 2024 Navigating the nexus: renewable energy consumption and financial development in the EU context
Policy Brief
917

Luca Correani | Tuscia University

Fabio Di Dio | Sapienza University of Rome

Patrizio Morganti | Tuscia University

27 Jun, 2024 European banks are not immune to national elections
Policy Brief
913

Zuzana Fungacova | Bank of Finland Institute for Emerging Economies (BOFIT)

Eeva Kerola | Bank of Finland

Laurent Weill | University of Strasbourg

20 Jun, 2024 Convenient but risky government bonds
Policy Brief
909

Matthias Kaldorf | Deutsche Bundesbank

Joost Röttger | Deutsche Bundesbank

20 Jun, 2024 Banking on “Ice”? Interest Rates Near Freezing Point
Policy Brief
908

Meri Papavangjeli | Bank of Albania

Adela Bode | Raiffeisen Bank International

Besa Vorpsi | Bank of Albania

20 Jun, 2024 Spare tyres with a hole: investment funds under stress and credit to firms
Policy Brief
906

Giulio Nicoletti | European Central Bank (ECB)

Judit Rariga | European Central Bank (ECB)

Costanza Rodriguez d’Acri | European Central Bank (ECB)

14 Jun, 2024 Institutional Investment and Residential Rental Market Dynamics
Policy Brief
905

Barra McCarthy | Central Bank of Ireland

6 Jun, 2024 How do financial markets’ view risks in the global banking sector? A heatmap with a novel thermometer
Policy Brief
900

Martín Saldías | Banco de Portugal

Martin Scheicher | European Central Bank (ECB)

6 Jun, 2024 Geoeconomic fragmentation and firms’ financial performance
Policy Brief
898

Alessandro D'Orazio | Bank of Italy

Fabrizio Ferriani | Bank of Italy

Andrea Gazzani | Bank of Italy

6 Jun, 2024 SMEs and the climate and environmental transition
Policy Brief
896

Paolo Angelini | Bank of Italy

31 May, 2024 The green sin: how exchange rate volatility and financial openness affect green premia
Policy Brief
895

Alessandro Moro | Bank of Italy

Andrea Zaghini | Bank of Italy

31 May, 2024 Financial conditions around the World
Policy Brief
892

Simone Arrigoni | Trinity College Dublin

Alina Bobasu | European Central Bank (ECB)

Fabrizio Venditti | Bank of Italy

23 May, 2024 Do Banks Worry About Attentive Depositors? Evidence from Multiple-Brand Banks
Policy Brief
890

Matthieu Chavaz | Bank for International Settlements (BIS)

Pablo Slutzky | University of Maryland

23 May, 2024 What are the macroeconomic drivers of inflation expectations and inflation risk premia?
Policy Brief
888

Jef Boeckx | National Bank of Belgium

Leonardo Iania | UCLouvain

Joris Wauters | National Bank of Belgium

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