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Kalin Ognianov Nikolov

Personal Details

First Name:Kalin
Middle Name:Ognianov
Last Name:Nikolov
Suffix:
RePEc Short-ID:pni175
[This author has chosen not to make the email address public]
https://sites.google.com/site/kalinognianovnikolov/research
Terminal Degree:2010 London School of Economics (LSE) (from RePEc Genealogy)

Affiliation

European Central Bank

Frankfurt am Main, Germany
http://www.ecb.europa.eu/
RePEc:edi:emieude (more details at EDIRC)

Research output

as
Jump to: Working papers Articles Chapters

Working papers

  1. Olivier de Bandt & Bora Durdu & Hibiki Ichiue & Yasin Mimir & Jolan Mohimont & Kalin Nikolov & Sigrid Roehrs & Jean-Guillaume Sahuc & Valério Scalone & Michael Straughan, 2024. "Assessing the Impact of Basel III: Review of Transmission Channels and Insights from Policy Models," Post-Print hal-04459638, HAL.
  2. Olivier de Bandt & Bora Durdu & Hibiki Ichiue & Yasin Mimir & Jolan Mohimont & Kalin Nikolov & Sigrid Roehrs & Jean-Guillaume Sahuc & Valerio Scalone & Michael Straughan, 2022. "Assessing the Impact of Basel III: Evidence from Structural Macroeconomic Models," Working papers 864, Banque de France.
  3. policy, Work stream on macroprudential & Albertazzi, Ugo & Martin, Alberto & Assouan, Emmanuelle & Tristani, Oreste & Galati, Gabriele & Vlassopoulos, Thomas, 2021. "The role of financial stability considerations in monetary policy and the interaction with macroprudential policy in the euro area," Occasional Paper Series 272, European Central Bank.
  4. Cecion, Martina & Coenen, Günter & Gerke, Rafael & Le Bihan, Hervé & Motto, Roberto & Aguilar, Pablo & Ajevskis, Viktors & Giesen, Sebastian & Albertazzi, Ugo & Gilbert, Niels & Al-Haschimi, Alexander, 2021. "The ECB’s price stability framework: past experience, and current and future challenges," Occasional Paper Series 269, European Central Bank.
  5. Cozzi, Gabriele & Darracq Pariès, Matthieu & Karadi, Peter & Körner, Jenny & Kok, Christoffer & Mazelis, Falk & Nikolov, Kalin & Rancoita, Elena & Van der Ghote, Alejandro & Weber, Julien, 2020. "Macroprudential policy measures: macroeconomic impact and interaction with monetary policy," Working Paper Series 2376, European Central Bank.
  6. Suarez, Javier & Mendicino, Caterina & Nikolov, Kalin & Rubio-Ramírez, Juan Francisco & Supera, Dominik, 2020. "Twin Defaults and Bank Capital Requirements," CEPR Discussion Papers 14427, C.E.P.R. Discussion Papers.
  7. Nobuhiro Kiyotaki & Alexander Michaelides & Kalin Nikolov, 2020. "Housing, Distribution and Welfare," Working Papers 2020-52, Princeton University. Economics Department..
  8. Caterina Mendicino & Kalin Nikolov & Juan Rubio-Ramirez & Javier Suarez & Dominik Supera, 2020. "Twin Default Crises," Working Papers wp2020_2006, CEMFI.
  9. Hoerova, Marie & Mendicino, Caterina & Nikolov, Kalin & Schepens, Glenn & Heuvel, Skander Van den, 2018. "Benefits and costs of liquidity regulation," Working Paper Series 2169, European Central Bank.
  10. Caterina Mendicino & Kalin Nikolov & Javier Suarez & Dominik Supera, 2018. "Bank Capital in the Short and in the Long Run," Working Papers wp2018_1807, CEMFI.
  11. Nikolov, Kalin & Cooper, Russell, 2018. "Government debt and banking fragility: the spreading of strategic uncertainty," Working Paper Series 2195, European Central Bank.
  12. Caterina Mendicino & Kalin Nikolov & Javier Suarez, 2017. "Equity versus Bail-in Debt in Banking: An Agency Perspective," Working Papers wp2017_1712, CEMFI.
  13. Kosuke Aoki & Alexander Michaelides & Kalin Nikolov, 2016. "Household Portfolios in a Secular Stagnation World: Evidence from Japan," Bank of Japan Working Paper Series 16-E-4, Bank of Japan.
  14. Caterina Mendicino & Kalin Nikolov & Javier Suarez & Dominik Supera, 2016. "Optimal Dynamic Capital Requirements," Working Papers wp2016_1614, CEMFI.
  15. Kosuke Aoki & Kalin Nikolov, 2015. "Financial Disintermediation and Financial Fragility," CARF F-Series CARF-F-374, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo.
  16. Kosuke Aoki & Tomoyuki Nakajima & Kalin Nikolov, 2014. "Safe Asset Shortages and Asset Price Bubbles," CARF F-Series CARF-F-344, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo.
  17. L. Clerc & A. Derviz & C. Mendicino & S. Moyen & K. Nikolov & L. Stracca & J. Suarez & A. P. Vardoulakis, 2014. "Capital Regulation in a Macroeconomic Model with Three Layers of Default," Working papers 533, Banque de France.
  18. Nikolov, Kalin, 2014. "Collateral amplification under complete markets," Working Paper Series 1716, European Central Bank.
  19. Nikolov, Kalin, 2012. "A model of borrower reputation as intangible collateral," Working Paper Series 1490, European Central Bank.
  20. Kosuke Aoki & Kalin Nikolov, 2011. "Bubbles, Banks, and Financial Stability," CARF F-Series CARF-F-253, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo.
  21. Cogley, Timothy & de Paoli, Bianca & Matthes, Christian & Nikolov, Kalin & Yates, Tony, 2011. "A Bayesian approach to optimal monetary policy with parameter and model uncertainty," Bank of England working papers 414, Bank of England.
  22. Kiyotaki, Nobuhiro & Michaelides, Alexander & Nikolov, Kalin, 2010. "Winners and Losers in Housing Markets," CEPR Discussion Papers 7953, C.E.P.R. Discussion Papers.
  23. Nobuhiro Kiyotaki & Alexander Michaelides & Kalin Nikolov, 2010. "Winners and Losers in House Markets," Working Papers 2010-5, Central Bank of Cyprus.
  24. Nikolov, Kalin, 2010. "Is Private Leverage Excessive?," MPRA Paper 28407, University Library of Munich, Germany, revised Jun 2010.
  25. Kalin Nikolov & Alex Michaelides & Nobuhiro Kiyotaki, 2007. "From Shirtsleeves to Shirtsleeves in a Long Lifetime," 2007 Meeting Papers 357, Society for Economic Dynamics.
  26. Nikolov, Kalin & Aoki, Kosuke, 2005. "Rule-Based Monetary Policy Under Central Banking Learning," CEPR Discussion Papers 5056, C.E.P.R. Discussion Papers.
  27. Kosuke Aoki & Kalin Nikolov, 2004. "Rule-based monetary policy under central bank learning," Bank of England working papers 235, Bank of England.
  28. Bean, Charles & Larsen, Jens D. J. & Nikolov, Kalin, 2002. "Financial frictions and the monetary transmission mechanism: theory, evidence and policy implications," Working Paper Series 113, European Central Bank.
  29. Edward Nelson & Kalin Nikolov, 2002. "Monetary policy and stagflation in the UK," Bank of England working papers 155, Bank of England.
  30. Edward Nelson & Kalin Nikolov, 2001. "UK inflation in the 1970s and 1980s: the role of output gap mismeasurement," Bank of England working papers 148, Bank of England.

    repec:ecb:ecbdps:20185 is not listed on IDEAS
    repec:ecb:ecbops:2023272 is not listed on IDEAS
  31. Rhys Bidder & Kalin Nikolov & Tony Yates, "undated". "Self-confirming Inflation Persistence," CDMA Conference Paper Series 0908, Centre for Dynamic Macroeconomic Analysis.

Articles

  1. Nobuhiro Kiyotaki & Alexander Michaelides & Kalin Nikolov, 2024. "Housing, Distribution, and Welfare," Journal of Money, Credit and Banking, Blackwell Publishing, vol. 56(5), pages 981-1020, August.
  2. Olivier de Bandt & Bora Durdu & Hibiki Ichiue & Yasin Mimir & Jolan Mohimont & Kalin Nikolov & Sigrid Roehrs & Jean-Guillaume Sahuc & Valerio Scalone & Michael Straughan, 2024. "Assessing the Impact of Basel III: Review of Transmission Channels and Insights from Policy Models," International Journal of Central Banking, International Journal of Central Banking, vol. 20(1), pages 1-52, February.
  3. Matthieu Darracq Paries & Peter Karadi & Christoffer Kok & Kalin Nikolov, 2022. "The Impact of Capital Requirements on the Macroeconomy: Lessons from Four Macroeconomic Models of the Euro Area," International Journal of Central Banking, International Journal of Central Banking, vol. 18(5), pages 1-50, December.
  4. Mendicino, Caterina & Nikolov, Kalin & Ramirez, Juan-Rubio & Suarez, Javier & Supera, Dominik, 2021. "How much capital should banks hold?," Research Bulletin, European Central Bank, vol. 80.
  5. Mendicino, Caterina & Nikolov, Kalin & Suarez, Javier & Supera, Dominik, 2020. "Bank capital in the short and in the long run," Journal of Monetary Economics, Elsevier, vol. 115(C), pages 64-79.
  6. Caterina Mendicino & Kalin Nikolov & Javier Suarez & Dominik Supera, 2018. "Optimal Dynamic Capital Requirements," Journal of Money, Credit and Banking, Blackwell Publishing, vol. 50(6), pages 1271-1297, September.
  7. Russell Cooper & Kalin Nikolov, 2018. "Government Debt And Banking Fragility: The Spreading Of Strategic Uncertainty," International Economic Review, Department of Economics, University of Pennsylvania and Osaka University Institute of Social and Economic Research Association, vol. 59(4), pages 1905-1925, November.
  8. Colciago, A. & Fahr, S. & Hurtado, S. & Mendicino, C. & Nikolov, K. & Supera, D., 2016. "Capital requirements in a model for the SSM area with three layers of default," Macroprudential Bulletin, European Central Bank, vol. 1.
  9. Laurent Clerc & Alexis Derviz & Caterina Mendicino & Stephane Moyen & Kalin Nikolov & Livio Stracca & Javier Suarez & Alexandros P. Vardoulakis, 2015. "Capital Regulation in a Macroeconomic Model with Three Layers of Default," International Journal of Central Banking, International Journal of Central Banking, vol. 11(3), pages 9-63, June.
  10. Frédéric Boissay & Philipp Hartmann & Kalin Nikolov, 2015. "Financial instability in macroeconomics: a set of new structural models," Research Bulletin, European Central Bank, vol. 22, pages 1-11.
  11. Aoki, Kosuke & Nakajima, Tomoyuki & Nikolov, Kalin, 2014. "Safe asset shortages and asset price bubbles," Journal of Mathematical Economics, Elsevier, vol. 53(C), pages 164-174.
  12. Clerc, L. & Nikolov, K. & Derviz, A. & Stracca, L. & Mendicino, C. & Suarez, J. & Moyen, S. & Vardoulakis, A., 2014. "Macroprudential capital tools: assessing their rationale and effectiveness," Financial Stability Review, Banque de France, issue 18, pages 183-194, April.
  13. Nikolov, Kalin, 2014. "Collateral amplification under complete markets," Journal of Economic Dynamics and Control, Elsevier, vol. 45(C), pages 80-93.
  14. Kalin Nikolov & Alexander Popov, 2014. "The sovereign-bank nexus," Research Bulletin, European Central Bank, vol. 20, pages 2-4.
  15. Kalin Nikolov, 2012. "Bubbles, banks and financial stability," Research Bulletin, European Central Bank, vol. 15, pages 2-6.
  16. Nobuhiro Kiyotaki & Alexander Michaelides & Kalin Nikolov, 2011. "Winners and Losers in Housing Markets," Journal of Money, Credit and Banking, Blackwell Publishing, vol. 43, pages 255-296, March.
  17. Cogley, Timothy & De Paoli, Bianca & Matthes, Christian & Nikolov, Kalin & Yates, Tony, 2011. "A Bayesian approach to optimal monetary policy with parameter and model uncertainty," Journal of Economic Dynamics and Control, Elsevier, vol. 35(12), pages 2186-2212.
  18. Nelson, Edward & Nikolov, Kalin, 2004. "Monetary Policy and Stagflation in the UK," Journal of Money, Credit and Banking, Blackwell Publishing, vol. 36(3), pages 293-318, June.
  19. Kosuke Aoki & Kalin Nikolov & Fabio Canova & V. V. Chari, 2004. "Rule-Based Monetary Policy under Central Bank Learning [with Comments]," NBER International Seminar on Macroeconomics, University of Chicago Press, vol. 2004(1), pages 145-195.
  20. Nelson, Edward & Nikolov, Kalin, 2003. "UK inflation in the 1970s and 1980s: the role of output gap mismeasurement," Journal of Economics and Business, Elsevier, vol. 55(4), pages 353-370.

    RePEc:ptu:bdpart:b201405 is not listed on IDEAS

Chapters

  1. Caterina Mendicino & Kalin Nikolov & Dominik Supera, 2017. "Capital Regulation: Lessons from a Macroeconomic Model," World Scientific Book Chapters, in: Douglas D Evanoff & George G Kaufman & Agnese Leonello & Simone Manganelli (ed.), Achieving Financial Stability Challenges to Prudential Regulation, chapter 10, pages 121-131, World Scientific Publishing Co. Pte. Ltd..
  2. Kosuke Aoki & Kalin Nikolov, 2006. "Rule-Based Monetary Policy under Central Bank Learning," NBER Chapters, in: NBER International Seminar on Macroeconomics 2004, pages 145-195, National Bureau of Economic Research, Inc.

More information

Research fields, statistics, top rankings, if available.

Statistics

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Rankings

This author is among the top 5% authors according to these criteria:
  1. Number of Citations, Weighted by Simple Impact Factor, Discounted by Citation Age
  2. Number of Citations, Weighted by Recursive Impact Factor
  3. Number of Citations, Weighted by Recursive Impact Factor, Discounted by Citation Age
  4. Number of Citations, Weighted by Number of Authors and Recursive Impact Factors, Discounted by Citation Age
  5. Number of Registered Citing Authors
  6. Number of Registered Citing Authors, Weighted by Rank (Max. 1 per Author)
  7. Number of Abstract Views in RePEc Services over the past 12 months
  8. Closeness measure in co-authorship network
  9. Betweenness measure in co-authorship network
  10. Wu-Index

Co-authorship network on CollEc

NEP Fields

NEP is an announcement service for new working papers, with a weekly report in each of many fields. This author has had 47 papers announced in NEP. These are the fields, ordered by number of announcements, along with their dates. If the author is listed in the directory of specialists for this field, a link is also provided.
  1. NEP-MAC: Macroeconomics (35) 2002-04-25 2003-03-14 2004-11-07 2005-06-14 2007-11-10 2010-10-23 2011-02-05 2011-03-26 2011-08-29 2011-10-01 2013-09-26 2014-05-04 2014-05-17 2014-06-14 2015-01-14 2015-02-11 2015-04-11 2015-09-18 2015-10-25 2016-04-09 2016-04-16 2017-02-05 2018-07-23 2018-11-12 2018-11-26 2019-06-10 2020-03-02 2020-06-08 2020-07-20 2021-03-22 2021-09-27 2021-09-27 2022-02-14 2022-02-14 2022-03-28. Author is listed
  2. NEP-CBA: Central Banking (28) 2002-03-04 2004-11-07 2005-06-14 2011-03-26 2011-09-16 2011-10-01 2013-01-07 2015-01-14 2015-02-11 2015-04-11 2015-09-18 2015-10-25 2017-02-05 2017-07-02 2017-10-29 2018-01-22 2018-07-23 2018-11-12 2018-11-19 2018-11-26 2019-06-10 2020-01-27 2020-03-02 2020-06-08 2021-09-27 2021-09-27 2022-02-14 2023-06-19. Author is listed
  3. NEP-BAN: Banking (20) 2011-08-29 2011-09-16 2011-10-01 2013-01-07 2017-02-05 2017-07-02 2017-10-29 2018-01-22 2018-07-23 2018-11-12 2018-11-26 2018-12-10 2019-06-10 2020-01-27 2020-03-02 2020-06-08 2020-07-20 2021-03-22 2022-02-14 2023-06-19. Author is listed
  4. NEP-DGE: Dynamic General Equilibrium (19) 2010-10-23 2011-02-05 2011-08-29 2013-01-07 2014-11-28 2015-01-14 2015-02-11 2015-04-11 2015-09-18 2015-10-25 2017-02-05 2018-01-22 2018-11-12 2019-06-10 2020-06-08 2020-07-20 2021-03-22 2022-02-14 2022-03-28. Author is listed
  5. NEP-RMG: Risk Management (13) 2015-01-14 2015-02-11 2015-04-11 2015-09-18 2015-10-25 2017-02-05 2018-01-22 2020-01-27 2020-06-08 2020-07-20 2021-03-22 2022-02-14 2022-02-14. Author is listed
  6. NEP-MON: Monetary Economics (12) 2002-03-04 2002-06-18 2004-12-21 2005-06-14 2011-03-26 2018-07-23 2020-03-02 2021-09-27 2021-09-27 2022-02-14 2022-02-14 2023-06-19. Author is listed
  7. NEP-FDG: Financial Development and Growth (6) 2018-11-26 2019-06-10 2020-07-20 2021-03-22 2022-02-14 2022-03-28. Author is listed
  8. NEP-EEC: European Economics (4) 2020-03-02 2021-09-27 2021-09-27 2023-06-19
  9. NEP-URE: Urban and Real Estate Economics (3) 2007-11-10 2010-10-23 2022-03-28
  10. NEP-CFN: Corporate Finance (2) 2017-07-02 2018-11-19
  11. NEP-HIS: Business, Economic and Financial History (2) 2022-02-14 2022-02-14
  12. NEP-ISF: Islamic Finance (2) 2021-09-27 2021-09-27
  13. NEP-BEC: Business Economics (1) 2007-11-10
  14. NEP-CSE: Economics of Strategic Management (1) 2013-09-26
  15. NEP-CWA: Central and Western Asia (1) 2022-02-14
  16. NEP-FIN: Finance (1) 2002-06-18
  17. NEP-FMK: Financial Markets (1) 2005-06-14
  18. NEP-IFN: International Finance (1) 2020-06-08
  19. NEP-MFD: Microfinance (1) 2002-03-04
  20. NEP-OPM: Open Economy Macroeconomics (1) 2020-06-08

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