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Content
2021
2020
2019
- 14066 MiFID II is working
by Lannoo, Karel
- 14029 Keeping up with Innovation: Designing a European Sandbox for Fintech
by Ringe, Wolf-Georg & Ruof, Christopher
- 500 Rebranding Capital Markets Union: A market finance action plan
by Lannoo, Karel & Thomadakis, Apostolos
- 498 Credit Rating Dynamics: Evidence from a Natural Experiment
by Abidi, Nordine & Falagiarda, Matteo & Miquel-Flores, Ixart
- 497 Sustainability in practice: ratings, research and proprietary models
by Amariei, Cosmina
- 496 MiFID II critics are not seeing the big picture
by Lannoo, Karel
- 494 Ceci n’est pas un PEPP
by Lannoo, Karel
2018
- 14015 Recent Developments in European Capital Markets: Key findings from the 2018 ECMI Statistical Package
by Gleisner, Love & Thomadakis, Apostolos
- 13971 Sustaining Growth through Innovation in Capital Markets
by Amariei, Cosmina & Thomadakis, Apostolos
- 13956 How do sovereign credit ratings help to financially develop low-developed countries?
by Luitel, Prabesh & Vanpée, Rosanne
- 13926 International capital flows at the security level – evidence from the ECB’s asset purchase programme
by Bergant, Katharina & Fidora, Michael & Schmitz, Martin
- 13893 The PEPP could become the new UCITS
by Lannoo, Karel
- 13809 A supervisory architecture fit for CMU: Aiming at a moving target?
by Lamandini, Marco
- 13808 Recovery and Resolution of CCPs: Obsessing over regulatory symmetry?
by Lamandini, Marco
- 13799 Enabling Sustainable Savings and Investment Channels in Europe: Opportunities and Challenges
by Amariei, Cosmina
- 13767 Funds, fees and performance
by Lannoo, Karel
- 13631 A Proportional Prudential Regime for Investment Firms
by Lannoo, Karel
- 13604 The European ETF Market: What can be done better?
by Thomadakis, Apostolos
- 13584 Fostering Institutional Investment in Europe’s Capital Markets: Reality vs. Expectations
by Amariei, Cosmina
- 13566 Spotify’s US listing highlights Europe’s failings
by Lannoo, Karel
- 13518 The fight over clearing euro derivatives
by Lannoo, Karel
- 13483 Over-the-counter interest rate derivatives: The clock is ticking for the UK and the EU
by Thomadakis, Apostolos
- 13478 Navigating the minefield of the ESA review
by Demarigny, Fabrice & Lannoo, Karel
- 13478 Navigating the minefield of the ESA review
by Demarigny, Fabrice & Lannoo, Karel
- 13466 Towards Variable Union in Europe's Capital Markets
by Amariei, Cosmina & Thomadakis, Apostolos
- 13381 MiFID II will profoundly affect the portfolio management business
by Lannoo, Karel
- 13381 MiFID II will profoundly affect the portfolio management business
by Lannoo, Karel
2017
- 13327 Recent Developments in European Capital Markets – Key findings from the 2017 ECMI Statistical Package
by Lechtenfeld, Robin & Thomadakis, Apostolos
- 13150 Derivatives Clearing and Brexit: A comment on the proposed EMIR revisions
by Lannoo, Karel
- 13050 Capital Markets, Debt Finance and the EU Capital Markets Union: A law and finance critique
by Bavoso, Vincenzo
- 12961 Developing EU Capital Markets for SMEs: Mission impossible?
by Thomadakis, Apostolos
- 12783 At last, a Pan-European Pension Product!
by Lannoo, Karel
- 12747 Cyclical Investment Behaviour across Financial Institutions
by Timmer, Yannick
- 12624 The Transmission Mechanism of Credit Support Policies in the Euro Area
by Boeckx, Jef & De Sola Perea, Maite & Peersman, Gert
- 12565 New market conduct rules for financial intermediaries: Will complexity bring transparency?
by Lannoo, Karel
- 12333 How close are we to a Capital Markets Union?
by Thomadakis, Apostolos
- 12269 Brexit and the Asset Management Industry
by Lannoo, Karel
- 12247 Recent Developments in European Capital Markets – Key findings from the 2016 ECMI Statistical Package
by Musmeci, Roberto & Thomadakis, Apostolos
- 12166 CoCo Design, Risk Shifting Incentives and Financial Fragility
by Chan, Stephanie & Wijnbergen, Sweder
2016
2015
2014
2013
2012
2011
2010
2009
- 1712 Macro-Prudential Regulation
by Persaud, Avinash
- 1683 Bringing hedge funds into the regulatory mainstream
by Lannoo, Karel
- 1673 Integrating Europe's Back Office: 10 years of turning in circles
by Lannoo, Karel & Valiante, Diego
- 1671 Short Selling: A known unknown
by Cinquegrana, Piero
- 1623 Why should we believe the market this time?
by De Grauwe, Paul
- 1619 The Reform of the Credit Rating Agencies: A Comparative Perspective
by Cinquegrana, Piero
- 1617 Good banks, bad banks and the like
by Lannoo, Karel
- 1596 Fairness Opinions and Capital Markets: Evidence from Germany, Switzerland and Austria
by Lobe, Sebasian & Schenk, Nils-Christian
2008
2007
2006
- 1279 Trapped in delusions: democracy, fairness and one-share-one-vote
by Khatchaturyan, Arman
- 1278 Time for a risk-based approach to UCITS
by Casey, Jean Pierre
- 1277 So no C&S Directive, but an ECB run settlement system?
by Lannoo, Karel
- 1276 Spring market volatility: More than just white noise
by Casey, Jean Pierre & Gottlieb, Charles
- 1254 Bond market transparency: To regulate or not to regulate
by Casey, Jean Pierre
- 1235 The MiFID Revolution
by Casey, Jean Pierre & Lannoo, Karel
- 1214 Eligible assets, investment strategies and investor protection in light of modern portfolio theory: Towards a risk-based approach for UCITS
by Casey, Jean Pierre
- 1207 A Survey of the European IPO Market
by Gajewski, Jean-François & Gresse, Carole
- 1203 The One-Share-One-Vote Controversy in the EU
by Khachaturyan, Arman