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Theorie 60 Theory 60 Financial crisis 29 Finanzkrise 27 EU countries 25 EU-Staaten 25 Bank 24 Bank regulation 19 Bank lending 18 Bankenkrise 18 Banking crisis 18 Kreditgeschäft 18 Bankenregulierung 17 macroprudential policy 15 Bank risk 14 Bankrisiko 14 Credit risk 13 Eurozone 13 Financial supervision 13 Finanzmarktaufsicht 13 Kreditrisiko 13 systemic risk 13 Euro area 12 Liquidity 12 Welt 12 World 12 Liquidität 11 Systemic risk 11 Business cycle 10 Impact assessment 10 Konjunktur 10 Monetary policy 10 Public bond 10 Wirkungsanalyse 10 Öffentliche Anleihe 10 Business network 9 Geldpolitik 9 Portfolio selection 9 Portfolio-Management 9 Unternehmensnetzwerk 9
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Free 296
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Book / Working Paper 296
Type of publication (narrower categories)
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Working Paper 149
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English 296
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Dunne, Peter G. 10 Thesmar, David 10 Langfield, Sam 8 McCann, Fergal 8 Timmer, Yannick 8 Dávila, Eduardo 7 Giuliana, Raffaele 7 D'Errico, Marco 6 Pagano, Marco 6 Peltonen, Tuomo 6 Robatto, Roberto 6 Segura, Anatoli 6 Suárez, Javier 6 Schoenmaker, Dirk 5 Villacorta, Alonso 5 Walther, Ansgar 5 Aldasoro, Iñaki 4 Anand, Kartik 4 Behn, Markus 4 Bologna, Pierluigi 4 Crosignani, Matteo 4 Faria-e-Castro, Miguel 4 Guagliano, Claudia 4 Hauzenberger, Niko 4 Hałaj, Grzegorz 4 Hodula, Martin 4 Kelly, Robert 4 Killeen, Neill 4 Kirti, Divya 4 Kundu, Shohini 4 Landier, Augustin 4 Mazzacurati, Julien 4 Pancost, N. Aaron 4 Peydró, José-Luis 4 Pfeifer, Lukáš 4 Portes, Richard 4 Simonelli, Saverio 4 Wierts, Peter 4 Zeng, Yao 4 Bianchi, Benedetta 3
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ESRB Working Paper Series 152 ESRB: Working Paper Series 113 ESRB Working Paper 1 ESRB Working Paper Series No 1 ESRB Working Paper Series No 32 1 ESRB Working Paper Series No 68, February 2018 1 ESRB: Working Paper Series 2017/55 1 ESRB: Working Paper Series 2020/110 1 ESRB: Working Paper Series 2020/111 1 ESRB: Working Paper Series 2020/112 1 ESRB: Working Paper Series 2020/113 1 ESRB: Working Paper Series 2021/114 1 ESRB: Working Paper Series 2021/115 1 ESRB: Working Paper Series 2021/116 1 ESRB: Working Paper Series 2021/117 1 ESRB: Working Paper Series 2021/118 1 ESRB: Working Paper Series 2021/119 1 ESRB: Working Paper Series 2021/120 1 ESRB: Working Paper Series 2021/121 1 ESRB: Working Paper Series 2021/122 1 ESRB: Working Paper Series 2021/125 1 ESRB: Working Paper Series 2021/127 1 ESRB: Working Paper Series 2021/128 1 ESRB: Working Paper Series 2021/129 1 ESRB: Working Paper Series 2021/130 1 ESRB: Working Paper Series 2021/131 1 ESRB: Working Paper Series 2021/132 1 ESRB: Working Paper Series 2022/133 1 ESRB: Working Paper Series 2022/134 1 ESRB: Working Paper Series 2022/135 1 ESRB: Working Paper Series 2022/136 1 ESRB: Working Paper Series 2022/137 1 European Systemic Risk Board (ESRB) Working Paper Series 1
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EconStor 149 ECONIS (ZBW) 147
Showing 51 - 60 of 296
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Synthetic leverage and fund risk-taking
Fricke, Daniel - 2021
Mutual fund risk-taking via active portfolio rebalancing varies both in the crosssection and over time. In this paper, I show that the same is true for funds' off- balance sheet risk-taking, even after controlling for on-balance sheet activities. For this purpose, I propose a novel measure of...
Persistent link: https://www.econbiz.de/10012653463
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Measuring the Impact of a Bank Failure on the Real Economy : An EU-Wide Analytical Framework
Vacca, Valerio Paolo; Bichlmeier, Fabian; Biraschi, Paolo; … - 2021
The crisis management framework for banks in the European Union (EU) requires the resolution authorities to identify the existence of a public interest to resolve an ailing bank, rather than to open normal insolvency proceedings (NIPs). The Public Interest Assessment (PIA) determines whether...
Persistent link: https://www.econbiz.de/10013223407
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Resolving Mortgage Distress after COVID-19 : Some Lessons from the Last Crisis
McCann, Fergal; O'Malley, Terry - 2021
Abstract We analyse micro data on Irish mortgages and distressed households’ balance sheets in the last decade to assess the debt resolution process in the Irish mortgage market in the lead up to the COVID-19 shock. We highlight the widespread engagement of Irish borrowers with debt resolution...
Persistent link: https://www.econbiz.de/10013225323
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A Quantitative Analysis of the Countercyclical Capital Buffer
Faria-e-Castro, Miguel - 2021
What are the quantitative macroeconomic effects of the countercyclical capital buffer (CCyB)? I study this question in a nonlinear DSGE model with occasional financial crises, which is calibrated and combined with US data to estimate sequences of structural shocks. Raising capital buffers during...
Persistent link: https://www.econbiz.de/10013225324
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The Impact of Macroprudential Policies on Capital Flows in Cesee
Eller, Markus; Hauzenberger, Niko; Huber, Florian; … - 2021
In line with the recent policy discussion on the use of macroprudential measures to respond to cross-border risks arising from capital flows, this paper tries to quantify to what extent macroprudential policies (MPPs) have been able to stabilize capital flows in Central, Eastern and Southeastern...
Persistent link: https://www.econbiz.de/10013227729
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Investment Funds, Monetary Policy, and the Global Financial Cycle
Kaufmann, Christoph - 2021
This paper studies the role of international investment funds in the transmission of global financial conditions to the euro area using structural Bayesian vector auto regressions. While cross-border banking sector capital flows receded significantly in the aftermath of the global financial...
Persistent link: https://www.econbiz.de/10013227731
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Procyclical Asset Management and Bond Risk Premia
Barbu, Alexandru; Fricke, Christoph; Mönch, Emanuel - 2021
We use unique institutional securities holdings data to examine the trading behaviour of delegated institutional capital and its impact on bond risk premia. We show that institutional fund managers trade strongly procyclically: they actively move into higher yielding, longer duration and lower...
Persistent link: https://www.econbiz.de/10013240205
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Cross-Border Credit Derivatives Linkages
Bianchi, Benedetta - 2021
This paper is a first attempt to include credit derivatives in international macro-financial analysis. We document that gross credit derivatives holdings map to bilateral portfolio investment linkages. On a net basis, our results suggest an asymmetry between sectors and between net buyers and...
Persistent link: https://www.econbiz.de/10013240207
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Financial Crises, Macroprudential Policy and the Reliability of Credit-to-GDP Gaps
Alessandri, Piergiorgio; Bologna, Pierluigi; Galardo, … - 2021
The Basel III regulation explicitly prescribes the use of Hodrick-Prescott filters to estimate credit cycles and calibrate countercyclical capital buffers. However, the filter has been found to suffer from large ex-post revisions, raising concerns on its fitness for policy use. To investigate...
Persistent link: https://www.econbiz.de/10013243791
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Assessing the Costs and Benefits of Capital-Based Macroprudential Policy
Behn, Markus; Groß, Marco; Peltonen, Tuomo - 2021
We develop an integrated Early Warning Global Vector Autoregressive (EW-GVAR) model to quantify the costs and benefits of capital-based macroprudential policy measures. Our findings illustrate that capital-based measures are transmitted both via their impact on the banking system’s resilience...
Persistent link: https://www.econbiz.de/10013248834
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