Content
2014
- sp232 What Happened in Cyprus? The Economic Consequences of the Last Communist Government in Europe
by Athanasios Orphanides - sp231 Rescues Violating the German Constitution:The Federal Court Decides on a Theory of Finance
by Adalbert Winkler - sp230 A resolvable bank
by Thomas F. Huertas - sp229 Competition and Credit Control
by C.A.E. Goodhart - sp228 The ECB as Lender of Last Resort:Banks versus Governments
by Adalbert Winkler
2013
- sp227 Lost at Sea:The Euro Needs a Euro Treasury
by Jörg Bibow - sp226 Financial Regulation After the Crisis:How Did We Get Here, and How Do We Get Out?
by Gerard Caprio, Jr. - sp225 U.K. Monetary Policy: Observations on its Theory and Practice
by SGB Henry - sp224 Macro-Modelling, Default and Money
by Charles Goodhart,Dimitrios Tsomocos & Martin Shubik - sp223 Can Regulation, Supervision & Surveillance save EuroLand
by Lief Pagrosky - sp222 Too big to fail in Banking: What does it mean?
by George Kaufman - sp221 Safe to Fail
by Thomas F. Huertas
2012
- sp220 The Optimal Financial Structure
by C.A.E. Goodhart - sp219 The Potential Instruments of Monetary Policy
by C.A.E. Goodhart - sp218 “Theory anchors” explain the 1920s NYSE Bubble
by Ali Kabiri - sp217 What should we do about (Macro) Pru? Macro Prudential Policy and Credit
by Ray Barrell & Dilruba Karim - sp216 Maintaining Confidence
by David Murphy - sp215 Bank Capital Standards: A Critical Review
by Rainer Masera - sp214 A Coasean Approach to Bank Resolution Policy in the Eurozone
by Gregory Connor & Brian O’Kelly - sp213 Banking Union: What Will It Mean for Europe?
by Thomas F. Huertas - sp212 Adjustment Mechanisms in a Currency Area
by C.A.E. Goodhart & D.J. Lee - sp211 Did The Globalization of Finance Undermine Financial Stability?
by Hugo Bänziger - sp210 Towards A Sustainable Business Model - How Financial Institutions Have To Change To Win Back Society'S Trust -
by Hugo Bänziger - sp209 The Insufficiency of Traditional Safety Nets: What Bank Resolution Fund for Europe?
by Maria J. Nieto & Gillian G. Garcia - sp208 A Race to the Top?
by Thomas F. Huertas - sp207 Tackling the “Too Big To Fail” conundrum: Integrating market and regulation
by Renato Maino - sp206 Time to Set Banking Regulation Right
by Jacopo Carmassi & Stefano Micossi - sp205 Legal Aspects of Bank Bail-Ins
by Simon Gleeson
2011
- sp204 The Political Economy of European Monetary Union
by A. R. Nobay - sp203 The Macro-Prudential Authority: Powers, Scope and Accountability
by Charles Goodhart - sp202 Minsky’s Financial Instability Hypothesis and the Leverage Cycle
by Sudipto Bhattacharya & Charles Goodhart & Dimitrios Tsomocos & Alexandros Vardoulakis - sp201 The European Collapse of 2012/13
by Charles Goodhart - sp200 The relationship between the objectives and tools of macroprudential and monetary policy
by David Green - sp199 Fiscal Dominance and the Long-Term Interest Rate
by Philip Turner - sp198 The U.S. political brawl over the causes of the crisis. Some Critical Comments
by Giorgio Szegö
2010
- sp197 The Changing Role of Central Banks
by Charles Goodhart - sp196 Twin Peaks: Experiences in the Netherlands
by Jeroen Kremers & Dirk Schoemaker - sp195 The Road to Better Resolution: From Bail-Out to Bail In
by Thomas Huertas - sp194 The new architecture of financial regulation: Will it prevent another crisis?
by Josef Ackermann - sp193 Some help in understanding Britain's banking crisis, 2007-09
by Roger Alford - sp192 The role of the IMF as a global financial authority
by Rosa Lastra - sp191 Too big to fail- too big to manage
by Michael von Brentano - sp190 British monetary targets 1976 to 1987: a view from the fourth floor of the Bank of England
by Anthony Hotson - sp189 Crash 08 a regulatory debacle to be mended
by Giorgio Szego - sp188 Resolution and contagion
by Thomas Huertas - sp187 Central Bank co-operation and International liquidity in the financial crisis of 2008-09
by William A. Allen & Richhild Moessner
2009
- sp186 Bankruptcy and reorganisation procedures for cross-border banks in the EU: Towards an integrated approach to the reform of the EU safety net
by Gillian G.H.Garcia & Rosa M. Lastra & Maria J. Nieto - sp185 The Value of INterest Rate Forecasts?
by C.A.E Goodhart & Wen Bin Lim
2008
- sp184 A Pragmatic Approach to the Phased Consolidation of Financial Regulation in the United States
by Howell Jackson - sp183 Cycles, Contagion and Crises
by Nikolaj Schmidt & Ashley Taylor & Charles Goodhart & Amil Dasgupta - sp182 The case for central bank liquidity provision as a public-private partnership
by Brandon Davies - sp181 How, if at all, should Credit Ratings Agencies (CRAs) be Regulated?
by Charles Goodhart - sp180 Should Monetary Policy Respond to Asset Price Bubbles? Revisiting the Debate
by Sushil Wadhwani - sp179 Liquidity and Money Market Operations
by Charles Goodhart - sp178 Risk, Uncertainty and Financial Stability
by Charles Goodhart - sp177 The Regulatory Response to the Financial Crisis
by Charles Goodhart
2007
- sp176 The Emergence of Cross-Border Insurance Groups within Europe with Centralised Risk Management
by Otto Winkels & Dirk Schoenmaker & Sander Osterloo - sp175 Liquidity Risk Management
by Charles Goodhart - sp173 Analysis of Financial Stability
by Charles Goodhart & Dimitrios Tsomocos - sp172 Whatever became of the Monetary Aggregates?
by Charles Goodhart - sp171 Prompt Corrective Action & Cross-Border Supervisory Issues in Europe
by Clas Wihlborg & Larry Wall & Maria. J Nieto & Thomas F. Huertas & Gillian G.H. Garcia & George G.Kaufman & David G. Mayes & Robert A.Eisenbeis & Rosa M. Lastra - sp170 Did NASDAQ market makers successfully collude to increase spreads? A reexamination of evidence from stocks that moved from NASDAQ to the New York or American Stock Exchanges
by John H. Harland & George J. Benston
2006
- sp169 Is Forbearance always Bad? How can we test whether its use lessened the incidence of crises?
by Charles Goodhart - sp168 Current State of Cross-Border Banking
by Christiaan van Laecke & Dirk Schoenmaker - sp167 Searching for a Metric for Financial Stability
by Lea Zicchino & Dimitrios Tsomocos & Miguel Segoviano & Charles Goodhart & Oriol Aspachs Bracon - sp165 Precondition for a Successful Implementation of Supervisors' Primpt Corrective Action: Is There a Case for a Banking Standard in the EU?
by Larry Wall & Maria Nieto - sp164 Burden Sharing in a Banking Crisis in Europe
by Dirk Schoenmaker & Charles Goodhart
2005
- sp163 China’s Banking Reform: Problems and Potential Solutions
by Xiaosong Zeng & Charles Goodhart - sp162 The Future of Central Banking
by Charles Goodhart - sp161 Politics and the Creation of a European SEC:The Optimal UK Strategy – Constructive Inconsistency
by Ruben Lee - sp160 Defining and Achieving Financial Stability
by William A. Allen & Geoffrey Wood - sp159 How Do We Achieve Regulatory Convergence In Practice?
by Callum McCarthy
2004
- sp158 Per Jacobsson Lecture: Some New Directions for Financial Stability?
by Charles Goodhart - sp156 Financial Supervision in an Integrating Europe: Measuring Cross-Border Externalities
by Sander Osterloo & Dirk Schoenmaker - sp155 A speech by Sir Howard Davies 'Creating a Single Financial Market in Europe: What Do We Mean?'
by Sir Howard Davies - sp154 A speech by Sir Andrew Large 'Financial Stability Oversight, Past & Present'
by Sir Andrew Large
2003
- sp153 Central Banks and Supreme Courts
by Charles Goodhart & Ellen Meade - sp152 The Challenge of European Integration for Prudential Policy
by Laurence Scialom & Michel Aglietta - sp151 FCIs and Economic Activity :Some International Evidence
by Charles Goodhart & Boris Hofmann - sp150 The IS Curve and the Transmission of Monetary Policy: Is there a Puzzle?
by Charles Goodhart & Boris Hofmann - sp149 The Governance Structure for Financial Regulation and Supervision in Europe
by Rosa M. Lastra & Dr Rosa Lastra
2002
- sp144 Market Regulation in a Dynamic Environment
by Stephen Wells & Charles Sutcliffe & John Board - sp143 Financial Supervision: Which Model for Europe?
by Peter Wierts & Dirk Schoenmaker - sp141 Money Laundering: A View from North America
by John Moscow - sp140 Competition and Stability: What's Special about Banking?
by Philipp Hartmann & Elena Carletti - sp139 Banking Regulation and Supervision in Japan
by Maximilian J.B Hall - sp136 Securities and Banking: Bridges and Walls
by Tommaso Padoa-Schioppa - sp135 Revisiting the Rationale for a Single National Financial Services Regulator
by Clive Briault
2001
- sp132 The ECB and the Euro Monetary Policy for a New Currency
by Professor Otmar Issing - sp131 Operational Risk
by Charles Goodhart - sp130 An Academic Response to Basel II
by Con Keating & Hyun Song Shin & Charles Goodhart & Jon Danielsson - sp129 Two years into the Euro: The Next Step for Europe
by Stefan Colligon - sp128 On Physics and Finance
by Jean-Pierre Zigrand
2000
- sp127 The Organisational Structure of Banking Supervision
by Charles Goodhart - sp126 The Emperor has no Clothes: Limits to Risk Modelling
by Jon Danielsson - sp125 Can Central Banking Survive the IT Revolution?
by Charles Goodhart - sp124 Monetary Transmission Lags and the Formulation of the Policy Decision on Interest Rates
by Charles Goodhart - sp123 Financial Stability in the Euro Area: Some Lessons from US Financial History
by E.P. Davis
1999
- sp122 Observing the Observers: Monetary Policy Calls of British Newspapers Under the MPC Regime
by Boris Hofmann - sp120 Myths About the Lender of Last Resort
by Charles Goodhart - sp118 Recent Developments in Central Banking: Some Special Features of the Monetary Policy Committee and of the European System of Central Banks
by Charles Goodhart - sp116 Managing Government Default Risk in Federal States
by Jan J.G. Lemmen - sp115 The Vulnerability of Banks to Government default risk in the EMU
by Ivo J. M. Arnold & Jan J.G. Lemmen - sp109 Life Without the Stability Pact
by Jan J.G. Lemmen - sp108 Financial Crises: Plus ça change, plus cest la même chose
by P.J.R. Delargy
1998
- sp107 Pension Fund Reform and European Financial Markets
by E.P. Davis - sp106 Central Bankers and Uncertainty
by Charles Goodhart - sp105 Excess Capacity in EU and US Banking Sectors - Conceptual, Measurement and Policy Issues
by E.P. Davis & Sinikka Salo - sp100 The Cost of Conservatism: Extreme Returns, Value-at Risk, and the Basle Multiplicaiton Factor
by Philipp Hartmann & Jon Danielsson - sp99 The Inflation Target Five Years On
by Mervyn Allister King
1997
1996
- sp92 The Equivalence of Screen Based Continuous-Auction and Dealer Markets
by Ian Tonks - sp91 The Future of the Euro as an International Currency: a Transactions Perspective
by Philipp Hartmann - sp89 The Role of Institutional Investors in the Evolution of Financial Structure and Behaviour
by E.P. Davis - sp88 An Incentive Structure for Financial Regulation
by Charles Goodhart
1995
- sp77 Capital Adequacy and Foreign Exchange Risk Regulation - Recent Developments in Industrial Countries
by Philipp Hartmann - sp76 Financial Fragility in the Early 1990s - What Can Be Learnt from International Experience?
by E.P. Davis - sp75 Institutional Investors, Unstable Financial Markets and Monetary Policy
by E.P. Davis - sp74 Financial Globalisation, Derivatives, Volatility and the Challenge for the Policies of Central Banks
by Charles Goodhart - sp73 European Monetary Integration
by Charles Goodhart
1994
- sp63 European Monetary Union: A Progress Report
by Charles Goodhart - sp62 An International Comparison of the Financing of Occupational Pensions
by E.P. Davis - sp61 Strategy and Tactics of Monetary Policy: Examples from Europe and the Antipodes
by José Viñals & Charles Goodhart
1993
- sp59 Problems of Banking Regulation: An EC Perspective
by E.P. Davis - sp57 Central Bank Independence
by Charles Goodhart
1992
- sp52 Institutional Separation between Supervisory and Monetary Agencies
by Dirk Schoenmaker - sp51 Banking and Industry in Japan
by Michio Morishima