Items where Subject is "EU policies and themes > Policies & related activities > economic and financial affairs > banks/financial markets"
Up a level |
- Subject Areas (12987)
- EU policies and themes (11936)
- Policies & related activities (9028)
- economic and financial affairs (2966)
- banks/financial markets (168)
- economic and financial affairs (2966)
- Policies & related activities (9028)
- EU policies and themes (11936)
Article
Xiao, Tim (2017) A New Model for Pricing Collateralized Financial Derivatives. The Journal of Derivatives, 24 (4). pp. 8-20. ISSN 1074-1240
Book
Gros, Daniel. and Belke, Ansgar (2015) Banking Union as a Shock Absorber: Lessons for the eurozone from the US. CEPS Paperback, December 2015. Series > Centre for European Policy Studies (Brussels) > CEPS Paperbacks . UNSPECIFIED. ISBN 978-1-78348-594-9; 978-1-78348-595-6
Conference Proceedings
Gattermann, Katjana (2011) A SWIFT change after Lisbon? The European Parliament's salience in the media. [Conference Proceedings] (Submitted)
Howarth, David and Quaglia, Lucia (2015) The Political Economy of the Single Supervisory Mechanism: Squaring the ‘Inconsistent Quartet’. [Conference Proceedings] (Submitted)
Schafer, David (2015) Explaining the Creation of the EU Banking Union: The stability culture, the vicious circle, and the limits of power and interests. [Conference Proceedings] (Submitted)
Schild, Joachim (2015) Leading together or opposing each other? Germany, France and the European banking union. [Conference Proceedings] (Submitted)
Warin, Thierry (2015) Reducing Systemic Risk in Europe: Is the 'Banking Union’ a Big Enough Step? [Conference Proceedings] (Submitted)
Discussion Paper
Bircan, Çağatay and Saka, Orkun (2018) Lending Cycles and Real Outcomes: Costs of Political Misalignment. LEQS Paper No. 139/2018 December 2018. [Discussion Paper]
Foresti, Pasquale and Napolitano, Oreste (2016) On the Stock Markets’ Reactions to Taxation and Public Expenditure. LEQS Discussion Paper No. 115/2016 September 2016. [Discussion Paper]
Louri, Helen and Migiakis, Petros M. (2016) Bank Lending Margins in the Euro Area: The Effects of Financial Fragmentation and ECB Policies. LEQS Discussion Paper No. 105/2016 February 2016. [Discussion Paper]
Saka, Orkun (2017) Domestic banks as lightning rods? Home bias during the Eurozone crisis. LEQS Discussion Paper No. 122/2017 February 2017. [Discussion Paper]
Other
Amariei, Cosmina (2020) ASSET ALLOCATION IN EUROPE Reality vs. Expectations. ECMI Task Force Report April 2020. UNSPECIFIED.
Author, No (2019) Options and national discretions under the Deposit Guarantee Scheme Directive and their treatment in the context of a European Deposit Insurance Scheme. Final Report November 2019. UNSPECIFIED.
Barrell, Ray and Fic, Tatiana and FitzGerald, John and Orazgani, Ali and Whitworth, Rachel (2011) The Banking Sector and Recovery in the EU Economy. ESRI Research Bulletin 2011/2/2. UNSPECIFIED.
Bouyon, Sylvain (2018) Cost and Value in Banks: A model fit for the digital era? ECRI Research Report No. 20 April 2018. UNSPECIFIED.
Bouyon, Sylvain and Gagliardi, Pietro (2018) Lending to European Households and Non-Financial Corporations: Growth and Trends in 2017 Key Findings from the ECRI Statistical Package 2018. ECRI Statistics, August 2018. UNSPECIFIED.
De Groen, Willem Pieter and Alcidi, Cinzia and Skok, Aleš Berk and Lončarski, Igor and Oliinyk, Inna and Musmeci, Roberto and Di Salvo, Mattia (2020) Feasibility Study for the creation of a CMU Equity Market Index Family. CEPS Project Report 20 JUL 2020. UNSPECIFIED.
De Groen, Willem Pieter and Gros, Daniel. (2015) Estimating the Bridge Financing Needs of the Single Resolution Fund: How expensive is it to resolve a bank? CEPS Special Report No. 122, 25 November 2015. UNSPECIFIED.
Gelpern, Anna and Véron, Nicolas (2019) An Effective Regime for Non-viable Banks: US Experience and Considerations for EU Reform. Banking Union Scrutiny. STUDY Requested by the ECON committee. Bruegel. UNSPECIFIED.
Gleisner, Love and Thomadakis, Apostolos (2018) Recent Developments in European Capital Markets: Key findings from the 2018 ECMI Statistical Package. CEPS ECMI Research Report No. 14 | December 2018. UNSPECIFIED.
Gnath, Katharina and Grosse-Rueschkamp, Benjamin and Kastrop, Christian and Ponattu , Dominic and Rocholl, Jörg and Wortmann, Marcus (2019) Financial market integration in the EU: A practical inventory of benefits and hurdles in the Single Market. UNSPECIFIED.
Hartmann, Philipp and Huang, Haizhou and Schoenmaker , Dirk (2018) The Changing Fortunes of Central Banking. Bruegel Special Report. UNSPECIFIED.
Huertas, Thomas (2016) European Bank Resolution: Making it work! Interim report of the CEPS Task Force on Implementing Financial Sector Resolution. CEPS Task Force Report, January 2016. UNSPECIFIED.
Huertas, Thomas (2016) How to deal with the Resolution of Financial Market Infrastructures. 2ND INTERIM REPORT OF THE CEPS TASK FORCE ON IMPLEMENTING FINANCIAL SECTOR RESOLUTION. OCTOBER 2016. UNSPECIFIED.
Kelly, Robert and McQuinn, Kieran (2015) Do sovereign-bank inter-linkages affect the net cost of a fiscal stimulus? ESRI Research Bulletin 2015/1/4. UNSPECIFIED.
Kudrna, Zdenek (2011) Regulatory aftermath of banking rescues: More Europe or business as usual? UNSPECIFIED. (Submitted)
Lannoo, Karel and Parlour, Richard (2021) Anti-Money Laundering in the EU: Time to get serious. CEPS Task Force Report 28 Jan 2021. UNSPECIFIED.
Lannoo, Karel. (2019) Stock take of the SRB’s activities over the past years: What to improve and focus on? Banking Union Scrutiny. In-depth analysis requested by the ECON Commission. CEPS Special Report, March 2019. UNSPECIFIED.
Lechtenfeld, Robin and Thomadakis, Apostolos (2017) 2017 ECMI Statistical Package. CEPS Special Report No. 12 / December 2017. UNSPECIFIED.
Lechtenfeld, Robin and Thomadakis, Apostolos (2017) Recent Developments in European Capital Markets – Key findings from the 2017 ECMI Statistical Package. CEPS Research Report No. 2017/12, December 2017. UNSPECIFIED.
Lehmann, Alexander (2018) Cash outflows in crisis scenarios: do liquidity requirements and reporting obligations give the SRB sufficient time to react? Banking Union Scrutiny. Bruegel Special Report, March 28, 2018. UNSPECIFIED.
Lehmann, Alexander (2019) Impediments to resolvability of Banks. Banking Union Scrutiny. PE 634.360 2019. UNSPECIFIED.
McQuinn, Kieran and Morley, Ciara (2015) Standard Variable Rate (SVR) Pass-Through in the Irish Mortgage Market: An Updated Assessment. ESRI Research Notes 2015/2/3. UNSPECIFIED.
Merler, Silvia (2017) Critical functions and public interest in banking services: Need for clarification? Banking Union Scrutiny. Bruegel Report, November 2017. UNSPECIFIED.
Micossi, Stefano. and Bruzzone, Ginevra and Cassella, Miriam (2016) Fine-tuning the use of bail-in to promote a stronger EU financial system. CEPS Special Report No. 136/April 2016. UNSPECIFIED.
Milne, Alistair and Parboteeah, Paul (2016) The Business Models and Economics of Peer-to-Peer lending. ECRI Research Report No 17, May 2016. UNSPECIFIED.
Musmeci, Roberto (2019) Lending to European Households and Non-Financial Corporations: Growth and Trends Key findings from the ECRI Statistical Package 2019. ECRI Statistics, October 2019. UNSPECIFIED.
O'Toole, Conor and Casey, Eddie (2014) Bank-lending Constraints, Trade Credit and Alternative External Finance since the Financial Crisis: Evidence from European SMEs. ESRI Research Bulletin 2014/02/03. UNSPECIFIED.
O'Toole, Conor M. and Ryan, Robert and McCann, Fergal (2014) Does Bank Market Power Affect SME Financing Constraints? ESRI Research Bulletin 2014/1/5. UNSPECIFIED.
Oliinyk, Inna and Echikson, William (2018) Europe’s Payments Revolution. Stimulating Payments Innovation while Protecting Consumer Privacy. CEPS Research Report No. 2018/06, September 2018. UNSPECIFIED.
Thomadakis, Apostolos and Amariei, Cosmina (2018) Sustaining Growth through Innovation in Capital Markets. Report of the 2018 ECMI Annual Conference. CEPS ECMI Research Reports, December 2018. UNSPECIFIED.
Valiante, Diego. (2016) Europe’s Untapped Capital Market: Rethinking integration after the great financial crisis. Final report of the European Capital Markets Expert Group. Task Force Report, February 2016. UNSPECIFIED.
Véron, Nicolas (2019) Taking stock of the Single Resolution Board. Banking Union Scrutiny. In-depth analysis requested by the ECON Commmittee. CEPS Special Report, March 2019. UNSPECIFIED.
de Groen, W.P. (2019) Impediments to resolvability. What is the status quo? December 2019. UNSPECIFIED.
de Groen, Willem Pieter (2018) Valuation reports in the context of banking resolution: What are the challenges? Banking Union Scrutiny. CEPS Special Report, July 2018. UNSPECIFIED.
de Groen, Willem Pieter (2017) The provision of critical functions at global, national or regional level. Is there a need for further legal/regulatory clarification if liquidation is the default option for failing banks? CEPS Special Report, 19 December 2017. UNSPECIFIED.
de Groen , Willem Pieter and Kilhoffer , Zachary and Musmeci , Roberto (2018) The Future of EU ATM Markets. Impacts of digitalisation and pricing policies on business models. CEPS Research Report, October 2018. UNSPECIFIED.
Policy Paper
Alcidi, Cinzia. and Busse, Mathias and Gros, Daniel. (2016) Is there a need for additional monetary stimulus? Insights from the original Taylor Rule. CEPS Policy Brief No. 342, April 2016. [Policy Paper]
Alessi, Monica and Núñez Ferrer, Jorge (2018) Suspended in legal limbo: Protecting investment in renewable energy in the EU. CEPS Policy Insights No 2018/03, January 2018. [Policy Paper]
Amariei, Cosmina (2020) Strengthening the EU policy framework for retail investors. ECMI Commentary No 70 22 Oct 2020. [Policy Paper]
Berger, Bennet and Hüttl, Pia and Merler, Silvia (2016) Total assets versus risk weighted assets: does it matter for Mrel? Bruegel Policy Contribution Issue 2016/12. [Policy Paper]
Bosch, Xavier Vanden (2013) La vente de BNPP Fortis : l’Europe ou le symbolisme les chiffres? = The sale of BNPP Fortis: Europe and the symbolism of figures? Egmont Commentary, 20 November 2013. [Policy Paper]
Carpentieri, Loredana and Micossi, Stefano. and Parascandolo, Paola (2019) Overhauling corporate taxation in the digital economy. CEPS Policy Insights No 2019-15/October 2019. [Policy Paper]
Chiacchio, Francesco and Claeys, Grégory and Papadia, Francesco (2018) Should we care about central bank profits? Bruegel Policy Contribution Issue n˚13 | September 2018. [Policy Paper]
Darvas, Zsolt and Pichler, David (2018) Excess liquidity and bank lending risks in the euro area. Bruegel Policy Contribution Issue n˚16 | September 2018. [Policy Paper]
De Grauwe, Paul. (2015) Greece is solvent but illiquid. What should the ECB do? CEPS Commentary, 15 June 2015. [Policy Paper]
De Grauwe, Paul. and Ji, Yuemei (2018) How safe is a safe asset? CEPS Policy Insights No 2018-08/February 2018. [Policy Paper]
De Groen, Willem Pieter (2016) The EBA EU-wide Stress Test 2016: Deciphering the black box. CEPS Policy Brief No. 346, August 2016. [Policy Paper]
De Groen, Willem Pieter (2016) A closer look at Banca Monte dei Paschi: Living on the edge. CEPS Policy Brief No. 345, July 2016. [Policy Paper]
De Groen, Willem Pieter and Gros, Daniel. (2016) European banks under stress (tests): Which remain the most resilient? CEPS Commentary, 11 August 2016. [Policy Paper]
De Groen, Willem Pieter and Gros, Daniel. (2016) The continuing saga of Banca Monte dei Paschi di Siena. CEPS Commentary 28 July 2016. [Policy Paper]
Demarigny, Fabrice and Lannoo, Karel (2018) Navigating the minefield of the ESA review. ECMI Commentary No. 49 / 27 February 2018. [Policy Paper]
Demertzis, Maria and Lehmann, Alexander (2017) Tackling Europe’s crisis legacy: a comprehensive strategy for bad loans and debt restructuring. Bruegel Policy Contribution Issue No. 11 2017. [Policy Paper]
Demertzis, Maria and Wolff, Guntram B. (2019) Hybrid and cybersecurity threats and the European Union’s financial system. Bruegel Policy Contribution Issue n˚10 | September 2019. Bruegel. [Policy Paper]
Demertzis, Maria and Wolff, Guntram B. (2016) What impact does the ECB’s quantitative easing policy have on bank profitability? Bruegel Policy Contribution Issue No. 20 | 2016. [Policy Paper]
Demertzis, Maria and Wolff, Guntram B. (2018) The economic potential and risks of crypto assets: is a regulatory framework needed? Bruegel Policy Contribution Issue n˚14 | September 2018. [Policy Paper]
Demertzis, Maria and Wolff, Guntram B. (2016) The effectiveness of the European Central Bank’s Asset Purchase Programme. Bruegel Policy Contribution Issue 2016/10 June 2016. [Policy Paper]
FALLESEN, Ida-Maria Weirsøe (2015) The Challenges of the EU Banking Union - will it succeed in dealing with the next financial crisis? Bruges European Economic Policy (BEEP) Briefings 36/2015. [Policy Paper]
FALLESEN, Ida-Maria Weirsøe (2015) The Challenges of the EU Banking Union - will it succeed in dealing with the next financial crisis? Bruges European Economic Policy Briefings 36/2015. [Policy Paper]
Gandrud, Christopher and Hallerberg, Mark. (2017) How not to create zombie banks: lessons for Italy from Japan. Bruegel Policy Contribution Issue n˚6 | 2017. [Policy Paper]
Garcia Herroro, Alicia and Ribakova, Elina (2020) COVID-19’s reality shock for external-funding dependent emerging economies. Bruegel Policy Contribution Issue n˚10 | May 2020. [Policy Paper]
Geary, R.C. (1980) Some Comments on Statistical Aspects of Central Bank Model. ESRI Memorandum Series No. 142 1980. [Policy Paper]
Goncalves Raposo, Inês and Lehmann, Alexander (2019) Equity finance and capital market integration in Europe. Bruegel Policy Contribution Issue n˚3 | January 2019. [Policy Paper]
Gros, Daniel. (2017) Banks as buyers of last resort for government bonds?. CEPS Policy Insights No 2017/43, November 2017. [Policy Paper]
Gros, Daniel. (2015) Completing the Banking Union: Deposit Insurance. CEPS Policy Brief No. 335, 3 December 2015. [Policy Paper]
Gros, Daniel. (2018) Europe’s doom loop in reverse. CEPS Commentary, 16 January 2018. [Policy Paper]
Gros, Daniel. (2017) The Italian Banking Saga: Symptom of a deeper underlying problem? CEPS Commentary, 7 July 2017. [Policy Paper]
Gros, Daniel. (2017) Target imbalances at record levels: Should we worry? CEPS Policy Insights No 2017/41, November 2017. [Policy Paper]
Gros, Daniel. (2017) Why are central bankers shifting the goalposts? CEPS Commentary, 8 September 201. [Policy Paper]
Gros, Daniel. and De Groen, Willem Pieter (2018) Contributions to the SRF: What risks need to be assessed? CEPS Commentary, 6 December 2018. [Policy Paper]
Guttenberg, Lucas (2019) A missed opportunity – 5 reasons why ESM reform will fail to deliver. Bertelsmann Stiftung Policy Brief 24.04.2019. [Policy Paper]
Hallerberg, Mark. and Gandrud, Christopher and Copelovitch, Mark (2015) Financial regulatory transparency: new data and implications for EU policy. Bruegel Policy Brief 2015/20, December 2015. [Policy Paper]
Hougaard Jensen , Sven and Schoenmaker, Dirk (2020) Should Denmark and Sweden join the banking union? Bruegel Policy Contribution Issue n ̊13 | June 2020. [Policy Paper]
Huber, Kilian and Ponattu, Dominic (2019) Banking Crises, Firms and their International Affiliates in the EU. Bertelsmann Stiftung Policy Paper September 2019. [Policy Paper]
Hüttl, Pia and Schoenmaker, Dirk (2016) Fiscal capacity to support large banks. Bruegel Policy Contribution Issue n˚17 | 2016. [Policy Paper]
Hüttl, Pia and Schoenmaker, Dirk (2016) Should the ‘outs’ join the European banking union? Bruegel Policy Contribution Issue 2016/03 February 2016. [Policy Paper]
Kirschenbaum, Joshua and Véron, Nicolas. (2018) A better European Union architecture to fight money laundering. Bruegel Policy Contribution Issue n˚19 | October 2018. [Policy Paper]
Lamandini, Marco (2018) Recovery and Resolution of CCPs: Obsessing over regulatory symmetry? ECMI Commentary No. 56, 9 August 2018. [Policy Paper]
Lamandini, Marco (2018) A supervisory architecture fit for CMU: Aiming at a moving target? ECMI Commentary No. 55, 9 August 2018. [Policy Paper]
Lannoo, Karel and Thomadakis, Apostolos (2020) Europe’s Capital Markets puzzle. ECMI Policy Brief No 28 17 Nov 2020. [Policy Paper]
Lannoo, Karel. (2016) Eliminating the cost of non-Europe in capital markets. ECMI Commentary No. 43, 2 November 2016. [Policy Paper]
Lannoo, Karel. (2018) Funds, fees and performance. ECMI Commentary No. 54 2 July 2018. [Policy Paper]
Lannoo, Karel. (2019) MiFID II is working. CEPS ECMI Commentaries no 59 | February 2019. [Policy Paper]
Lannoo, Karel. (2018) MiFID II will profoundly affect the portfolio management business. ECMI Commentary No. 47/24 January 2018. [Policy Paper]
Lannoo, Karel. (2017) New market conduct rules for financial intermediaries: Will complexity bring transparency? ECMI Policy Brief No. 24, May 2017. [Policy Paper]
Lannoo, Karel. (2018) A Proportional Prudential Regime for Investment Firms. ECMI Commentary, No. 53 / 2 May 2018. [Policy Paper]
Lannoo, Karel. (2017) Pursuing Multiple Objectives with the Banking Reform Package: Who can still follow? CEPS Commentary, 17 March 2017. [Policy Paper]
Lannoo, Karel. (2018) Spotify’s US listing highlights Europe’s failings. ECMI Commentary No. 51 / 3 April 2018. [Policy Paper]
Lannoo, Karel. (2017) Uneven progress in implementing cross-border bank resolution in the EU. CEPS Policy Insights No 2017-26/ July 2017. [Policy Paper]
Lehmann, Alexander (2017) Carving out legacy assets: a successful tool for bank restructuring? Bruegel Policy Contribution Issue n˚9 | 2017. [Policy Paper]
Lehmann, Alexander (2019) Crisis management for euro-area banks in central Europe. Bruegel Policy Contribution Issue #14 November 2019. [Policy Paper]
Lehmann, Alexander (2018) Risk reduction through Europe’s distressed debt market. Bruegel Policy Contribution Issue n˚02 | January 2018. [Policy Paper]
Mack, Sebastian (2020) EU banks’ vulnerabilities: Capital conservation key to withstanding Corona crisis. Bertelsmann Stiftung Policy Brief May 2020. [Policy Paper]
Marazza , Marco (2017) Il bancario “ibrido” nell’economia liquida (nuove proposte dall’autonomia collettiva) = "Hybrid" banking in the liquid economy (new proposals with collective autonomy). WP C.S.D.L.E. “Massimo D’Antona”.IT – 328/2017. [Policy Paper]
Maricut-Akbik, Adina (2018) Holding the Supervisor to Account: The European Parliament and the European Central Bank in Banking Supervision. Bertelsmann Stiftung Policy Paper 19 November 2018. [Policy Paper]
Merler, Silvia (2018) Bank liquidation in the European Union: clarification needed. Bruegel Policy Contribution Issue n˚01 | January 2018. [Policy Paper]
Micossi, Stefano (2020) Sovereign debt management in the euro area as a common action problem. CEPS Policy Insight 14 Oct 2020. [Policy Paper]
Micossi, Stefano. (2016) Banking crisis yet again and how to fix it. CEPS Commentary, 15 February 2016. [Policy Paper]
Micossi, Stefano. (2017) A Blueprint for Completing the Banking Union. CEPS Policy Insights, No 2017/42, November 2017. [Policy Paper]
Micossi, Stefano. and D'Onofrio, Alexandra and Peirce, Fabrizia (2018) On German External Imbalances. CEPS Policy Insights No 2018/13, November 2018. [Policy Paper]
Micossi, Stefano. and Peirce, Fabrizia (2020) Overcoming the gridlock in EMU decision-making. CEPS Policy Insights No 2020-03 / March 2020. [Policy Paper]
Nicolaides, Phedon and O’Connor, Tony (2016) Is the Bank-Sovereign Link Truly Severed? Bruges European Economic Policy Briefings 43/2016. [Policy Paper]
Nieto, María J. (2017) Banks and Environmental Sustainability: Some reflections from the perspective of financial stability. CEPS Policy Brief No. 2017/01, May 2017. [Policy Paper]
Petrov, Sima Kammourieh (2020) Ring-fencing in the Eurozone and the road to the Banking Union. Bertelsmann Stiftung Policy Paper 18 February 2020. [Policy Paper]
Sapir, André and Schoenmaker, Dirk (2017) The time is right for a European Monetary Fund. Bruegel Policy Brief ISSUE 4 | OCTOBER 2017. [Policy Paper]
Sapir, André and Schoenmaker, Dirk and Véron, Nicolas. (2017) Making the best of Brexit for the EU27 financial system. Bruegel Policy Brief Issue 1 / February 2017. [Policy Paper]
Sapir, André and Véron, Nicolas. and Wolff, Guntram B. (2018) Making a reality of Europe’s Capital Markets Union. Bruegel Policy Contribution Issue n˚07 | April 2018. [Policy Paper]
Schoenmaker, Dirk (2016) The impact of the legal and operational structures of euro-area banks on their resolvability. Bruegel Policy Contribution Issue n˚23 | 2016. [Policy Paper]
Schoenmaker, Dirk (2017) A macro approach to international bank resolution. Bruegel Policy Contribution Issue n˚20 | July 2017. [Policy Paper]
Schoenmaker, Dirk and Goodhart, Charles (2016) The United States dominates global investment banking: does it matter for Europe? Bruegel Policy Contribution 2016/06, March 2016. [Policy Paper]
Schoenmaker, Dirk and Véron, Nicolas. (2017) A ‘twin peaks’ vision for Europe. Bruegel Policy Contribution Issue n˚30 | November 2017. [Policy Paper]
Ständer, Philipp (2017) Banking Union: How stable are Europe’s banks? EUROPA Briefing 2017. [Policy Paper]
Thomadakis, Apostolos (2017) Developing EU Capital Markets for SMEs: Mission impossible? ECMI Commentary No. 46 / 4 September 2017. [Policy Paper]
Thomadakis, Apostolos (2018) The European ETF Market: What can be done better? ECMI Commentary No. 53 / 24 April 2018. [Policy Paper]
Thomadakis, Apostolos (2022) Shortening the settlement cycle: Why Europe should not wait too long to introduce T+1. ECMI Commentary no 77 | January 2022. [Policy Paper]
Thomadakis, Apostolos (2016) Towards a better European securitisation market. ECMI Commentary No. 42/3 November 2016. [Policy Paper]
Verhelst, Stijn (2017) ‘I wouldn’t start from here’: the making of European Banking Supervision, and the road ahead. Egmont Paper 90, November 2016. [Policy Paper]
Véron, Nicolas. (2017) Precautionary recapitalisation: time for a review? Bruegel Policy Contribution Issue n˚21 | July 2017. [Policy Paper]
Véron, Nicolas. (2017) The governance and ownership of significant euro-area banks. Bruegel Policy Contribution Issue n˚15 | May 2017. [Policy Paper]
Véron, Nicolas. and Zettelmeyer, Jeromin (2017) A European perspective on overindebtedness. Bruegel Policy Contribution Issue n˚25 | September 2017. [Policy Paper]
Working Paper
Agur, Itai and Demertzis, Maria (2018) Will macroprudential policy counteract monetary policy’s effects on financial stability? Bruegel Working Paper Issue 01 / 2018. [Working Paper]
Arbak, Emrah (2017) Identifying the provisioning policies of Belgian banks. National Bank of Belgium Working Paper No. 326. [Working Paper]
Bakkar, Yassine and De Jonghe, Olivier and Tarazi, Amine (2019) Does banks’ systemic importance affect their capital structure and balance sheet adjustment processes? National Bank of Belgium, Working Paper No. 369. [Working Paper]
Bavoso, Vincenzo (2017) Capital Markets, Debt Finance and the EU Capital Markets Union: A law and finance critique. ECMI Working Paper No. 5 / October 2017. [Working Paper]
Bedayo, Mikel (2016) Creating associations to substitute banks’direct credit. Evidence from Belgium. National Bank of Belgium Working Paper No. 315. [Working Paper]
Belke, Ansgar and Gros, Daniel. (2019) QE in the euro area: has the PSPP benefited peripheral bonds? CEPS Working Document, March 2019. [Working Paper]
Bignon, Vincent and Vuillemey, Guillaume (2017) The Failure of a Clearinghouse: Empirical Evidence. ECMI Working Paper No. 6 / December 2017. [Working Paper]
Boeckx, Jef and de Sola Perea, Maite and Peersman, Gert (2016) The transmission mechanism of credit support policies in the Euro Area. National Bank of Belgium Working Paper No. 302. [Working Paper]
Bouyon, Sylvain (2017) Recent Trends and Developments in European Mortgage Markets. ECRI Commentary No. 21, 30 May 2017. [Working Paper]
Bouyon, Sylvain and Lannoo, Karel. (2015) Relaunching the European Retail Finance Market: Comments on the Commission's Green Paper. ECRI Commentary No. 20, 15 December 2015. [Working Paper]
De Jonghe, Olivier and Dewachter, Hans and Mulier, Klaas and Ongena, Steven and Schepens, Glenn (2018) Some borrowers are more equal than others: Bank funding shocks and credit reallocation. National Bank of Belgium, Working Paper No. 361. [Working Paper]
De Jonghe, Olivier and Dewachter, Hans and Ongena, Steven (2016) Bank capital (requirements) and credit supply: Evidence from pillar 2 decisions. National Bank of Belgium Working Paper No. 303. [Working Paper]
Demertzis, Maria and Zenios, Stavros (2018) State contingent debt as insurance for euro-area sovereigns. Bruegel Working Paper Issue 03/26 April 2018. [Working Paper]
Dewachter, Hans and Iania, Leonardo and Lemke, Wolfgang and Lyrio, Marco (2018) A macro-financial analysis of the corporate bond market. National Bank of Belgium, Working Paper No. 360. [Working Paper]
Du Caju, Philip (2017) Pockets of risk in the Belgian mortgage market: Evidence from the Household Finance and Consumption Survey (HFCS). National Bank of Belgium Working Paper No. 332. [Working Paper]
D’Errico, Marco and Roukny, Tarik (2020) Compressing over-the counter markets. ECMI Working Paper No 11 12 Nov 2020. [Working Paper]
Estella, Antonio (2015) European Union Bailouts and Credibility. Jean Monnet/Robert Schuman Paper Series Vol. 15 No. 4, October 2015. [Working Paper]
Ferrari, Stijn and Pirovano, Mara (2016) Does one size fit all at all times ? The role of country specificities and state dependencies in predicting banking crises. National Bank of Belgium Working Paper No. 297. [Working Paper]
Ferrari, Stijn and Pirovano, Mara and Rovira Kaltwasser, Pablo (2016) The impact of sectoral macroprudential capital requirements on mortgage loan pricing: Evidence from the Belgian risk weight add-on. National Bank of Belgium Working Paper No. 306. [Working Paper]
Geary, Roy C. (1973) Quarterly Non-Agricultural Stock Statistics: A Pilot Inquiry. Quarterly Economic Commentary, January 1973. [Working Paper]
Gerlach-Kristen, Petra (2013) Euro area CDS spreads in the crisis: The role of open market operations and contagion. ESRI working paper no. 449, February 2013. [Working Paper]
Gerlach-Kristen, Petra and O'Connell, Brian and O'Toole, Conor (2013) How do banking crises affect aggregate consumption? Evidence from international crisis episodes. ESRI WP464. August 2013. [Working Paper]
Hans, Degryse and De Jonghe, Olivier and Jakovljević, Sanja and Mulier, Klaas and Schepens, Glenn (2018) Identifying credit supply shocks with bank-firm data: methods and applications. National Bank of Belgium, Working Paper No. 347. [Working Paper]
Hoebeeck, Annelies and Inghelbrecht, Koen (2017) The impact of the mortgage interest and capital deduction scheme on the Belgian mortgage market. National Bank of Belgium Working Paper No. 327. [Working Paper]
Honohan, Patrick (1994) Interest Rate Policy in Practice, a Review with Some Implications for the Irish Banking System in the EMS. ESRI WP46. March 1994. [Working Paper]
Koulischer, François and Van Roy, Patrick (2017) Using bank loans as collateral in Europe: The role of liquidity and funding purposes. National Bank of Belgium Working Paper No. 318. [Working Paper]
Lamers, Martien and Mergaerts, Frederik and Meuleman, Elien and Vander Vennet, Rudi (2016) The trade-off between monetary policy and bank stability. National Bank of Belgium Working Paper No. 308, October 2016. [Working Paper]
Lewis, Vivien and Villa, Stefania (2016) The interdependence of monetary and macroprudential policy under the zero lower bound. National Bank of Belgium Working Paper No. 310. [Working Paper]
Lunn, Pete (2011) The Role of Decision-Making Biases in Ireland’s Banking Crisis. ESRI WP389. May 2011. [Working Paper]
Maes, Ivo (2018) Review essay: Central banking through the centuries. National Bank of Belgium Working Paper No. 345. [Working Paper]
Maes, Ivo and Gomez Betancourt, Rebeca (2018) Paul van Zeeland and the first decade of the US Federal Reserve System: The analysis from a European central banker who was a student of Kemmerer. National Bank of Belgium Working Paper No. 339. [Working Paper]
Merler, Silvia (2015) Squaring the cycle: capital flows, financial cycles, and macro-prudential policy in the euro area. Bruegel Working Paper 2015/14, November 2015. [Working Paper]
Mourlon-Druol, Emmanuel and Cameron, Aliénor (2022) Mapping banking centres globally since 1970. Bruegel WORKING PAPER | ISSUE 12/2022 | 12 JULY 2022. [Working Paper]
Saka, Orkun (2018) Domestic banks as lightning rods? Home bias during the eurozone crisis. CEPS Working Document No 2018/03, March 2018. [Working Paper]
Schoenmaker, Dirk (2015) Firmer foundations for a stronger European Banking Union. Bruegel Working Paper 2015/13, November 2015. [Working Paper]
Schoenmaker, Dirk and Wierts, Peter (2015) Macroprudential supervision: from theory to policy. Bruegel Working Paper 2015/15, November 2015. [Working Paper]
Van Roy, Patrick and Ferrari, Stijn and Vespro, Cristina (2018) Sensitivity of credit risk stress test results: Modelling issues with an application to Belgium. National Bank of Belgium Working Paper No. 338. [Working Paper]
Véron, Nicolas. (2018) EU financial services policy since 2007: crisis, responses and prospects. Bruegel Working Paper/Issue 06/21 June 2018. [Working Paper]