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Content
2024, Volume 2
- 1 Communication for financial crisis prevention: a tale of two decades
by Fell, John & Gardó, Sándor & Klaus, Benjamin & Wendelborn, Jonas & Wredenborg, Stefan
- 2 Low firm productivity: the role of finance and the implications for financial stability
by Andreeva, Desislava & Botelho, Vasco & Ferrante, Alessandro & Gόrnicka, Lucyna & Lenoci, Francesca
2024, Volume 1
- 1 Turbulent times: geopolitical risk and its impact on euro area financial stability
by Dieckelmann, Daniel & Kaufmann, Christoph & Larkou, Chloe & McQuade, Peter & Negri, Caterina & Pancaro, Cosimo & Rößler, Denise
- 2 The rise of artificial intelligence: benefits and risks for financial stability
by Leitner, Georg & Singh, Jaspal & van der Kraaij, Anton & Zsámboki, Balázs
- 3 Private markets, public risk? Financial stability implications of alternative funding sources
by Cera, Katharina & Daly, Pierce & Hermans, Lieven & Molitor, Philippe & Blicke, Oscar Schwartz & Sowiński, Andrzej & Telesca, Elisa
2023, Volume 2
- 1 Assessing risks from euro area banks’ maturity transformation
by Coulier, Lara & Gardó, Sándor & Klaus, Benjamin & Lenoci, Francesca & Pancaro, Cosimo & Reghezza, Alessio & Bräutigam, Marcel & Roulund, Rasmus Pank & Stania, Gernot & Stizi, Nina
- 2 Real estate markets in an environment of high financing costs
by Ryan, Ellen & Jarmulska, Barbara & De Nora, Giorgia & Fontana, Adele & Horan, Aoife & Lang, Jan Hannes & Lo Duca, Marco & Moldovan, Claudiu & Rusnák, Marek
2023, Volume 1
- 1 Gauging the interplay between market liquidity and funding liquidity
by de Vette, Nander & Klaus, Benjamin & Kördel, Simon & Sowiński, Andrzej
- 2 Key linkages between banks and the non-bank financial sector
by Franceschi, Emanuele & Grodzicki, Maciej & Kagerer, Benedikt & Kaufmann, Christoph & Lenoci, Francesca & Mingarelli, Luca & Pancaro, Cosimo & Senner, Richard
- 3 Climate change and sovereign risk
by Emambakhsh, Tina & Fahr, Stephan & Giuzio, Margherita & Pourtalet, Clementine Mc Sweeny & Spaggiari, Martina & Simon, Josep Maria Vendrell
2022, Volume 2
- 1 Financial stability risks from energy derivatives markets
by Furtuna, Oana & Grassi, Alberto & Ianiro, Annalaura & Kallage, Kristina & Koci, Robert & Lenoci, Francesca & Sowiński, Andrzej & Vacirca, Francesco
- 2 Household inequality and financial stability risks: exploring the impact of changes in consumer prices and interest rates
by Dieckelmann, Daniel & Metzler, Julian
- 3 Towards a framework for assessing systemic cyber risk
by Fell, John & de Vette, Nander & Gardó, Sándor & Klaus, Benjamin & Wendelborn, Jonas
2022, Volume 1
- 1 Climate-related risks to financial stability
by Emambakhsh, Tina & Giuzio, Margherita & Mingarelli, Luca & Salakhova, Dilyara & Spaggiari, Martina
- 2 Decrypting financial stability risks in crypto-asset markets
by Hermans, Lieven & Ianiro, Annalaura & Kochanska, Urszula & Törmälehto, Veli-Matti & van der Kraaij, Anton & Simón, Josep M. Vendrell
2021, Volume 2
- B Bank mergers and acquisitions in the euro area: drivers and implications for bank performance
by Figueiras, Isabel & Gardó, Sándor & Grodzicki, Maciej & Klaus, Benjamin & Lebastard, Laura
- 1 Bank capital buffers and lending in the euro area during the pandemic
by Couaillier, Cyril & Lo Duca, Marco & Reghezza, Alessio & Rodriguez d’Acri, Costanza & Scopelliti, Alessandro
- 3 Creditor coordination in resolving non-performing corporate loans
by Fell, John & Cajnko, Miha & Fandl, Maximilian & Grodzicki, Maciej & Mayer, Claudia & O’Brien, Edward & Spaggiari, Martina & Torstensson, Pär
2021, Volume 1
- 1 Corporate zombification: post-pandemic risks in the euro area
by Helmersson, Tobias & Mingarelli, Luca & Mosk, Benjamin & Pietsch, Allegra & Ravanetti, Beatrice & Shakir, Tamarah & Wendelborn, Jonas
- 2 Climate-related risks to financial stability
by Alogoskoufis, Spyros & Carbone, Sante & Coussens, Wouter & Fahr, Stephan & Giuzio, Margherita & Kuik, Friderike & Parisi, Laura & Salakhova, Dilyara & Spaggiari, Martina
2020, Volume 2
- 1 Financial stability considerations arising from the interaction of coronavirus-related policy measures
by Rancoita, Elena & Grodzicki, Maciej & Kok, Christoffer & Metzler, Julian & Prapiestis, Algirdas & Hempell, Hannah S.
- 2 Prospects for euro area bank lending margins in an extended low-for-longer interest rate environment
by Albertazzi, Ugo & Andreeva, Desislava & Belloni, Marco & Grassi, Alberto & Gross, Christian & Mosthaf, Jonas & Shakir, Tamarah
2020, Volume 1
2019, Volume 2
- 1 Euro area bank profitability: where can consolidation help?
by Andreeva, Desislava & Grodzicki, Maciej & Móré, Csaba & Reghezza, Alessio
- 2 Assessing the systemic footprint of euro area banks
by Adam, Michał & Bochmann, Paul & Grodzicki, Maciej & Mingarelli, Luca & Montagna, Mattia & Rodriguez d’Acri, Costanza & Spaggiari, Martina
2019, Volume 1
- 1 Climate change and financial stability
by Giuzio, Margherita & Krušec, Dejan & Levels, Anouk & Melo, Ana Sofia & Mikkonen, Katri & Radulova, Petya
- 2 Economic shocks and contagion in the euro area banking sector: a new micro-structural approach
by Covi, Giovanni & Montagna, Mattia & Torri, Gabriele
- 3 Macroprudential space and current policy trade-offs in the euro area
by Darracq Pariès, Matthieu & Fahr, Stephan & Kok, Christoffer
2018, Volume 2
- 1 How can euro area banks reach sustainable profitability in the future?
by Andersson, Magnus & Kok, Christoffer & Mirza, Harun & Móré, Csaba & Mosthaf, Jonas
- 2 The resurgence of protectionism: potential implications for global financial stability
by Dizioli, Allan Gloe & van Roye, Björn
- 3 Counterparty and liquidity risks in exchange-traded funds
by Grill, Michael & Lambert, Claudia & Marquardt, Philipp & Watfe, Gibran & Weistroffer, Christian
2018, Volume 1
2017, Volume 2
- 1 Overcoming Non-Performing Loan Market Failures with Transaction Platforms
by Fell, John & Grodzicki, Maciej & Krušec, Dejan & Martin, Reiner & O’Brien, Edward
- 2 Cross-Border Banking in the Euro Area since the Crisis: What is Driving the Great Retrenchment?
by Schmitz, Martin & Tirpák, Marcel
- 3 Recent Developments in Euro Area Repo Markets, Regulatory Reforms and their Impact on Repo Market Functioning
by Grill, Michael & Jakovicka, Julija & Lambert, Claudia & Nicoloso, Pascal & Steininger, Lea & Wedow, Michael
- 4 Higher Future Financial Market Volatility: Potential Triggers and Amplifiers
by Andersson, Magnus & Hermans, Lieven & Kostka, Thomas
2017, Volume 1
2016, Volume 2
- 1 Towards a Framework for Calibrating Macroprudential Leverage Limits for Alternative Investment Funds
by van der Veer, Koen & Levels, Anouk & Chaudron, Raymond & Grill, Michael & Petrescu, Monica & Weistroffer, Christian & Molestina Vivar, Luis
- 2 Addressing Market Failures in the Resolution of Non-Performing Loans in the Euro Area
by Fell, John & Grodzicki, Maciej & Martin, Reiner & O’Brien, Edward
- 3 Adapting Bank Business Models: Financial Stability Implications of Greater Reliance on Fee and Commission Income
by Kok, Christoffer & Mirza, Harun & Móré, Csaba & Pancaro, Cosimo
2016, Volume 1
- 1 A Case for Macroprudential Margins and Haircuts
by Battistini, Niccolò & Grill, Michael & Marmara, Pierre & van der Veer, Koen
- 2 Systemic Implications of the European Bail-In Tool: a Multi-Layered Network Analysis
by Hałaj, Grzegorz & Hüser, Anne-Caroline & Kok, Christoffer & Perales, Cristian & van der Kraaij, Anton
- 3 Recent Trends in Euro Area Banks' Business Models and Implications for Banking Sector Stability
by Kok, Christoffer & Móré, Csaba & Petrescu, Monica
2015, Volume 2
- 1 The Impact of the Basel III Leverage Ratio on Risk-Taking and Bank Stability
by Grill, Michael & Lang, Jan Hannes & Smith, Jonathan
- 2 Euro area insurers and the low interest rate environment
by Berdin, Elia & Kok, Christoffer & Mikkonen, Katri & Pancaro, Cosimo & Simon, Josep Maria Vendrell
- 3 Systemic Risk, Contagion and Financial Networks
by Cappiello, Lorenzo & Montagna, Mattia & Rousová, Linda
- 4 Quantifying the Policy Mix in a Monetary Union with National Macroprudential Policies
by Darracq Pariès, Matthieu & Rancoita, Elena & Kok, Christoffer
2015, Volume 1
- 1 A Framework for Analysing and Assessing Cross-Border Spillovers from Macroprudential Policies
by Fahr, Stephan & Żochowski, Dawid
- 2 Bank Profitability Challenges in Euro Area Banks: the Role of Cyclical and Structural Factors
by Kok, Christoffer & Móré, Csaba & Pancaro, Cosimo
- 3 Resolving the Legacy of Non-Performing Exposures in Euro Area Banks
by Grodzicki, Maciej & Laliotis, Dimitrios & Leber, Miha & Martin, Reiner & O’Brien, Edward & Zboromirski, Piotr
2014, Volume 2
- 1 Fire-Sale Externalities in the Euro Area Banking Sector
by Cappiello, Lorenzo & Supera, Dominik
- 2 Capturing the Financial Cycle in Euro Area Countries
by Hiebert, Paul & Klaus, Benjamin & Peltonen, Tuomas A. & Schüler, Yves S. & Welz, Peter
- 3 Initial Considerations regarding a Macro-Prudential Instrument based on the Net Stable Funding Ratio
by Bicu, Andreea & Bunea, Daniela & Wedow, Michael
2014, Volume 1
- 1 Recent Experience of European Countries with Macro-Prudential Policy
by Kok, Christoffer & Martin, Reiner & Moccero, Diego & Sandström, Maria
- 2 Identifying Excessive Credit Growth and Leverage
by Alessi, Lucia
- 3 Micro- versus Macro-Prudential Supervision: Potential Differences, Tensions and Complementarities
by Boissay, Frédéric & Cappiello, Lorenzo
- 4 Risks from Euro Area Banks’ Emerging Market Exposures
by Beirne, John & Gardó, Sándor & Zboromirski, Piotr
2013, Volume 2
- 1 Preparatory Work for Banking Supervision at the ECB
by Beyer, Andreas & Caviglia, Giacomo & Ebner, Julian & Kerjean, Stéphane & O’Brien, Edward
- 2 Predicting Financial Vulnerabilities to Guide the Set-Up of Counter-Cyclical Capital Buffers
by Peltonen, Tuomas A. & Schudel, Willem
- 3 Gauging the Effectiveness of Cross-Sectional Macro-Prudential Tools through the Lens of Interbank Networks
by Hałaj, Grzegorz & Kok, Christoffer & Montagna, Mattia
2013, Volume 1