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List of Report
Title Author/Affiliation Year of Publication
Report on the implications of Brexit Council of Financial Regulators 2016
Sovereign debt: Do we need an EU solution? Henrik Enderlein, Joachim Fritz-Vannahme, Anna auf dem Brinke, Sabine Feige, Katharina Gnath, Jörg Haas, Heidi Marleen Kuhlmann, Max Emanuel Mannweiler, Katharina Späth, Philipp Ständer - Bertelsmann Stiftung & Jacques Delors Institut Project Team 2019
20 Years of European Economic and Monetary Union: Selected takeaways from the ECB’s Sintra Forum Philipp Hartmann, Glenn Schepens - ECB 2019
Call for papers for the 2nd Biennial Bank of Italy and Bocconi University conference on ‘Financial stability and Regulation’ - Rome, March 19-20, 2020 (deadline for submission October 31, 2019) Bank of Italy and Bocconi University 2019
The determinants of Currency Risk Premium in Emerging Market Countries Yiğit Onay, Halil İbrahim Korkmaz - The CBRT Blog 2018
How sensitive are credit default swap premia to the global risk factor? Oğuzhan Çepni, Doruk Küçüksaraç, Muhammed Hasan Yılmaz - The CBRT Blog 2019
The economic and financial outlook of the euro area: halfway down “the long and winding road” Ignazio Visco - Bank of Italy 2019
Sustainability in indebtedness: a proposal for a Treaty-Based framework in Sovereign Debt Restructuring Maximo Paulino T. Sison III - University of the Philippines 2019
A new development on the CAC v. No-CAC question in Euro Area Sovereign Bonds Mitu Gulati, Mark Weidemaier - Duke University University of North Carolina 2019
Financial Stability Review - May 2019 European Central Bank - European Central Bank 2019

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