Working paper series
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Authors and Corporations: | |
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Title: | Working paper series/ ESRB, European Systemic Risk Board, European System of Financial Supervision |
Dates of publication: | No 1 (February 2016)- |
published: | |
Subjects: | |
ISSN: | 2467-0677 |
Type of Resource: | Electronic Serial Monograph Series |
Language: | English |
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1
(Pro?)-cyclicality of collateral haircuts and systemic illiquidity (2016)
published 2016
In collection: Working paper seriesE-Book -
2
A dynamic network model to measure exposure diversification in the Austrian interbank market (2020)
published 2020
In collection: Working paper seriesE-Book -
3
A dynamic theory of mutual fund runs and liquidity management (2017)
published 2017
In collection: Working paper seriesE-Book -
4
A macro approach to international bank resolution (2017)
published 2017
In collection: Working paper seriesE-Book -
5
A multi-level network approach to spillovers analysis: an application to the Maltese domestic investment funds sector (2021)
published 2021
In collection: Working paper seriesE-Book -
6
A profit-to-provisioning approach to setting the countercyclical capital buffer: the Czech example (2018)
published 2018
In collection: Working paper seriesE-Book -
7
A quantitative analysis of the countercyclical capital buffer (2021)
published 2021
In collection: Working paper seriesE-Book -
8
Addressing the safety trilemma: a safe sovereign asset for the eurozone (2017)
published 2017
In collection: Working paper seriesE-Book -
9
Analyzing credit risk transmission to the non-financial sector in Europe: a network approach (2019)
published 2019
In collection: Verein für Socialpolitik: Jahrestagung 2019
In collection: Working paper seriesE-Book -
10
Analyzing credit risk transmission to the non-financial sector in Europe: a network approach (2018)
published 2018
In collection: Working paper seriesE-Book -
11
Arbitraging the Basel securitization framework: evidence from German ABS investment (2016)
published 2016
In collection: Working paper seriesE-Book -
12
Are fund managers rewarded for taking cyclical risks? (2022)
published 2022
In collection: Working paper seriesE-Book -
13
Assessing the costs and benefits of capital-based macroprudential policy (2016)
published 2016
In collection: Working paper seriesE-Book -
14
Asset encumbrance, bank funding and fragility (2017)
published 2017
In collection: Working paper seriesE-Book -
15
Bail-in expectations for European banks: actions speak louder than words (2016)
published 2016
In collection: Working paper seriesE-Book -
16
Bank asset quality and monetary policy pass-through (2019)
published 2019
In collection: Working paper seriesE-Book -
17
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18
Bank exposures and sovereign stress transmission (2016)
published 2016
In collection: Working paper seriesE-Book -
19
Bank recapitalizations and lending: a little is not enough (2016)
published 2016
In collection: Working paper seriesE-Book -
20
Bank resolution and public backstop in an asymmetric banking union (2018)
published 2018
In collection: Working paper seriesE-Book