All Stories

  1. Decision Rules for Corporate Investment
  2. Clarifying the Concept of Corporate Sustainability and Providing Convergence for Its Definition
  3. A model of long-term value creation
  4. Greening monetary policy
  5. European banks straddling borders: Risky or rewarding?
  6. The Economics of Banking
  7. Should Denmark and Sweden Join the Banking Union?
  8. Data on cross-border exposures of 61 largest European banks
  9. Investing in companies that create value in the long term
  10. Trans-Tasman cooperation in banking supervision and resolution
  11. Building a Stable European Deposit Insurance Scheme
  12. International cooperation for resolving bank failures
  13. Changes to global banking after the crisis
  14. What Role for Financial Supervisors in Addressing Environmental Risks?
  15. The Global Investment Banks are now all Becoming American: Does that Matter for Europeans?
  16. Cross-Border Insurance in Europe: Challenges for Supervision
  17. Macroprudential Supervision: From Theory to Policy
  18. Regulating the financial cycle: An integrated approach with a leverage ratio
  19. Regulatory capital: Why is it different?
  20. Can European bank bailouts work?
  21. Institutional Structure of Financial Regulation
  22. European Deposit Insurance and Resolution in the Banking Union
  23. Bank Resolution Plans as a catalyst for global financial reform
  24. Systemic risk and diversification across European banks and insurers
  25. Cross-Border Banking in Europe and Financial Stability
  26. Banking supervision and resolution: the European dimension
  27. The financial trilemma
  28. In Banking, Is Small Beautiful?
  29. Financial Supervision in an Integrating Europe: Measuring Cross-Border Externalities*
  30. The Skill Profile of Central Bankers and Supervisors
  31. Preface