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Number of publications: 97
Date Title Author(s)
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

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

5 Dec, 2024 Bank Specialization and Corporate Innovation: On The Interaction between Financial and Product Markets
Policy Brief
1047

Hans Degryse | KU Leuven

Olivier De Jonghe | National Bank of Belgium

Leonardo Gambacorta | Bank for International Settlements (BIS)

Cédric Huylebroek | KU Leuven

21 Nov, 2024 Green with anxiety: CEOs’ fear of being fired may prevent firms from becoming more eco-friendly
Policy Brief
1032

Giulio Cornelli | Bank of International Settlements (BIS)

Magdalena Erdem | Bank of International Settlements (BIS)

Egon Zakrajsek | Federal Reserve Bank of Boston

21 Nov, 2024 Learning to Forecast the Hard Way—Evidence from German Reunification
Policy Brief
1031

Thomas Triebs | Loughborough University

Justin Tumlinson | University of Exeter

21 Nov, 2024 Capital markets and renewable energy in the EU
Policy Brief
1030

Florian Horky | National Bank of Slovakia

Reiner Martin | National Bank of Slovakia

14 Nov, 2024 Is the lack of public money the reason for Europe lagging behind?
Policy Brief
1025

Juhana Hukkinen | Bank of Finland

Matti Viren | University of Turku

24 Oct, 2024 Mind the (duration) gap! Interest rate risk in the banking book and bank lending during a monetary tightening episode
Policy Brief
1012

Lara Coulier | Ghent University

Cosimo Pancaro | European Central Bank (ECB)

Alessio Reghezza | European Central Bank (ECB)

24 Oct, 2024 The role of firms’ characteristics on banks’ interest rates
Policy Brief
1011

Jaime Leyva | Banco de Portugal

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

26 Sep, 2024 Taxation of Top Incomes and Tax Avoidance
Policy Brief
985

Alessandro Di Nola | University of Birmingham

Georgi Kocharkov | Deutsche Bundesbank

Almuth Scholl | University of Konstanz

Anna-Mariia Tkhir | Allianz SE

Haomin Wang | Cardiff Business School

5 Sep, 2024 A Tale of Two Margins: Monetary Policy and Capital Misallocation
Policy Brief
973

Silvia Albrizio | International Monetary Fund (IMF)

Beatriz González | Banco de España

Dmitry Khametshin | Banco de España

5 Sep, 2024 Credit Supply and Green Investment
Policy Brief
967

Antonio Accetturo | Bank of Italy

Giorgia Barboni | University of Warwick

Michele Cascarano | Bank of Italy

Emilia Garcia-Appendini | Norges Bank

Marco Tomasi | University of Trento

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 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

25 Jul, 2024 Determinants of currency choice in cross-border bank loans
Policy Brief
939

Lorenz Emter | European Central Bank (ECB)

Peter McQuade | European Central Bank (ECB)

Swapan-Kumar Pradhan | Bank for International Settlements (BIS)

Martin Schmitz | 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

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 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 The Green-Transition Risk in Europe & the Role of Public Guarantees
Policy Brief
904

Bruno Buchetti | University of Padua

Ixart Miquel-Flores | Frankfurt School of Finance and Management

Salvatore Perdichizzi | University of Padua

Alessio Reghezza | European Central Bank (ECB)

14 Jun, 2024 Financial Shock Transmission to Heterogeneous Firms: the Earnings-Based Borrowing Constraint Channel
Policy Brief
902

Livia Chiţu | European Central Bank (ECB)

Magdalena Grothe | European Central Bank (ECB)

Tatjana Schulze | International Monetary Fund (IMF)

Ine Van Robays | European Central Bank (ECB)

14 Jun, 2024 Do high markups reduce the pass-through of cost-push shocks?
Policy Brief
901

Enisse Kharroubi | Bank for International Settlements (BIS)

Renée Spigt | Erasmus University Rotterdam

Deniz Igan | Bank for International Settlements (BIS)

Koji Takahashi | Bank of Japan

Egon Zakrajšek | Federal Reserve Bank of Boston

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

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