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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
Sovereign concentration charges: a new regime for Banks’ Sovereign Exposures | Nicolas Véron - Bruegel & Peterson Institute for International Economics | International and Macroprudential Regulations | 2017 |
Rethinking financial stability | David Aikman, Andrew G Haldane, Marc Hinterschweiger and Sujit Kapadia - Bank of England and European Central Bank | International and Macroprudential Regulations | 2018 |
Regulatory Cycles: Revisiting the Political Economy of Financial Crises | Jihad Dagher - IMF | International and Macroprudential Regulations | 2018 |
Cross-border spillover effects of the g20 financial regulatory reforms : results from a pilot survey | Clive Briault, Erik Feyen, Ines Gonzalez Del Mazo, Brian Kwok Chung Yee, Jan Rademacher, Ilias Skamnelos - World Bank Group | International and Macroprudential Regulations | 2018 |
How Neutral is the Law of Sovereign Debt Restructuring? | Giuseppe Bianco - University of Oslo | International and Macroprudential Regulations | 2017 |
Implementation and effects of the G20 financial regulatory reforms | FSB Financial Stability Board | International and Macroprudential Regulations | 2017 |
The economics and regulation of secondary trading markets | Ryan Davies, Erik R. Sirri - Babson College, USA | International and Macroprudential Regulations | 2017 |
Implementation of MiFID II: Part 1 – CP9/16 | Bank of England - Prudential Regulation Authority (PRA) | International and Macroprudential Regulations | 2016 |
The Involvement of Public Creditors in Sovereign Debt Relief under EU Law | Armin Steinbach - Oxford University | International and Macroprudential Regulations | 2016 |
ESRB report on the regulatory treatment of sovereign exposures | Risk Board European Sistemic - ESRB | International and Macroprudential Regulations | 2015 |
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