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Number of publications: 128
Date Title Author(s)
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

16 May, 2024 Do Banks and NBFIs Function in Parallel, as Substitutes, or as Complements?
Policy Brief
879

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

Nicola Cetorelli | Federal Reserve Bank of New York

Bruce Tuckman | New York University Stern School of Business

16 May, 2024 European Corporate Bonds Reflect Heightened Climate Transition Risk Pricing
Policy Brief
878

Dirk Broeders | Maastricht University

Marleen de Jonge | De Nederlandsche Bank

David Rijsbergen | De Nederlandsche Bank

10 May, 2024 Do distribution restrictions increase banks’ resilience and lending capacity?
Policy Brief
873

Petros Katsoulis | Bank of England

Eddie Gerba | Bank of England

Jozef Baruník | Charles University

Jonathan Acosta-Smith | OECD

10 May, 2024 Despite proverbial concerns, monetary policy wields considerable traction in emerging markets
Policy Brief
872

Ariadne Checo | International Monetary Fund (IMF)

Francesco Grigoli | International Monetary Fund (IMF)

Damiano Sandri | Bank for International Settlements (BIS)

10 May, 2024 The interplay of transparency and market liquidity for government bonds: Where do the US and EU regulators stand?
Policy Brief
870

Despoina Markella Bakopoulou | European Investment Bank (EIB)

Martin Scheicher | European Central Bank (ECB)

3 May, 2024 Unveiling the Truth: How Well Market-Based Networks Mirror Bank Exposures
Policy Brief
867

Ben Craig | Federal Reserve Bank of Cleveland

Madina Karamysheva | HSE University

Dilyara Salakhova | IÉSEG School of Management

3 May, 2024 Progress on CMU is instrumental to leverage shock absorption through capital markets
Policy Brief
866

Natalia Martín Fuentes | European Central Bank (ECB)

Alexandra Born | European Central Bank (ECB)

Franziska Bremus | DIW Berlin

Wieger Kastelein |

Claudia Lambert | European Central Bank (ECB)

3 May, 2024 Climate Risk, Soft Information and Credit Supply
Policy Brief
865

Laura Álvarez-Román | Banco de España

Sergio Mayordomo | Banco de España

Carles Vergara-Alert | IESE Business School

Xavier Vives | IESE Business School

25 Apr, 2024 How to deal with the negative effects of inflated central bank balance sheets?
Policy Brief
860

Thomas Jost | Aschaffenburg University of Applied Sciences

Reimund Mink |

25 Apr, 2024 Financial development and the effectiveness of macroprudential and capital flow management measures
Policy Brief
857

Yusuf Soner Başkaya | University of Glasgow

Ilhyock Shim | Bank for International Settlements (BIS)

18 Apr, 2024 Market arbitrage and spillovers of sovereign bond purchases in the euro area
Policy Brief
852

Yvo Mudde | De Nederlandsche Bank

Anna Samarina | De Nederlandsche Bank

Robert Vermeulen | De Nederlandsche Bank

18 Apr, 2024 Collateral scarcity and market functioning: Insights from the Eurosystem securities lending facilities
Policy Brief
851

Stefan Greppmair | Deutsche Bundesbank

Stephan Jank | Deutsche Bundesbank

18 Apr, 2024 Long-Term Uncertainty: Does it Matter for the Business Cycle?
Policy Brief
848

Mathias Krogh | Aarhus University

Giovanni Pellegrino | University of Padova

18 Apr, 2024 China’s footprint in global financial markets
Policy Brief
847

David Lodge | European Central Bank (ECB)

Ana-Simona Manu | European Central Bank (ECB)

Ine Van Robays | European Central Bank (ECB)

12 Apr, 2024 Global spillovers from multi-dimensional Federal Reserve monetary policy
Policy Brief
841

Georgios Georgiadis | European Central Bank (ECB)

Marek Jarocinski | European Central Bank (ECB)

28 Mar, 2024 Dollar and Government Bond Liquidity: Evidence from Korea
Policy Brief
836

Jieun Lee | Bank for International Settlements (BIS)

28 Mar, 2024 Changing Patterns of Risk-Sharing Channels in the United States and the Euro Area
Policy Brief
835

Jacopo Cimadomo | European Central Bank (ECB)

Massimo Giuliodori | University of Amsterdam

Andras Lengyel | Bank of England

Haroon Mumtaz | Queen Mary University of London

22 Feb, 2024 Machine learning applied to active fixed-income portfolio management: a Lasso logit approach
Policy Brief
805

Mercedes de Luis | Banco de España

Emilio Rodríguez | Banco de España

Diego Torres | Banco de España

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