Search

Add filters:

Use filters to refine the search results.


Results 11-20 of 150.
Year of PublicationTitleAuthor(s)
2022Public and private risk sharing: Friends or foes? The interplay between different forms of risk sharingGiovannini, Alessandro; Ioannou, Demosthenes; Stracca, Livio
2022Disclosure of climate change risk in credit ratings: An analytical framework to perform a status-quo assessment of the disclosure of climate change risks in rating methodologies and ratings reports by selected credit rating agenciesBreitenstein, Miriam; Ciummo, Stefania; Walch, Florian
2022Latent fragility: Conditioning banks' joint probability of default on the financial cycleBochmann, Paul; Hiebert, Paul; Schüler, Yves; Segoviano, Miguel
2022Macroprudential regulation of investment fundsDi Iasio, Giovanni; Kaufmann, Christoph; Wicknig, Florian
2022Pandemic lending: Micro and macro effects of model-based regulationFiordelisi, Franco; Fusi, Giulia; Maddaloni, Angela; Marqués Ibáñez, David
2022Euro Area banks' sensitivity to changes in carbon priceBelloni, Marco; Kuik, Friderike; Mingarelli, Luca
2022DSGE Nash: Solving Nash games in macro modelsFerrari, Massimo Minesso; Pagliari, Maria Sole
2022Product quality, measured inflation and monetary policyRodnyansky, Alexander; Van der Ghote, Alejandro; Wales, Daniel
2022The impact of derivatives collateralisation on liquidity risk: Evidence from the investment fund sectorJukonis, Audrius; Letizia, Elisa; Rousová, Linda
2022Voluntary support and ring-fencing in cross-border banksLóránth, Gyöngyi; Segura, Anatoli; Zeng, Jing