Search

Add filters:

Use filters to refine the search results.


Results 581-590 of 617.
Year of PublicationTitleAuthor(s)
2022State-owned banks and international shock transmissionBorsuk, Marcin; Kowalewski, Oskar; Pisany, Pawel
2023Using machine learning to measure financial risk in ChinaAl-Haschimi, Alexander; Apostolou, Apostolos; Azqueta-Gavaldon, Andres; Ricci, Martino
2022Government loan guarantees, market liquidity, and lending standardsAhnert, Toni; Kuncl, Martin
2023Inflation heterogeneity at the household levelStrasser, Georg; Messner, Teresa; Rumler, Fabio; Ampudia, Miguel
2020Fiscal multipliers with financial fragmentation risk and interactions with monetary policyDarracq Pariès, Matthieu; Müller, Georg; Papadopoulou, Niki
2023The more the merrier? Macroprudential instrument interactions and effective policy implementationLo Duca, Marco; Bartal, Mehdi; Giedraitçe, Edita; Granlund, Peik; Hallissey, Niamh; Juréca, Pavol; Kouratzoglou, Charalampos; Lennartsdotter, Petra; Lima, Diana; Pirovano, Mara; Prapiestis, Algirdas; Saldias, Martin; Sangaré, Ibrahima; Serra, Diogo; Silva, Fatima; Tereanu, Eugen; Tuomikoski, Kristiina; Vauhkonen, Jukka
2021Inflation expectations and their role in Eurosystem forecastingWork stream on inflation expectations
2020Liquidity in resolution: Estimating possible liquidity gaps for specific banks in resolution and in a systemic crisisAmamou, Raschid; Baumann, Andreas; Chalamandaris, Dimitrios; Parisi, Laura; Torstensson, Pär
2023Euro area banks' market power, lending channel and stability: The effects of negative policy ratesAltunbaðs, Yener; Avignone, Giuseppe; Kok Sørensen, Christoffer; Pancaro, Cosimo
2020Central banks in parliaments: A text analysis of the parliamentary hearings of the Bank of England, the European Central Bank and the Federal ReserveFraccaroli, Nicolò; Giovannini, Alessandro; Jamet, Jean-François