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  • Search: person:"Iasio, Giovanni Di"
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Year of publication
Subject
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Financial supervision 7 Finanzmarktaufsicht 7 Financial market 6 Finanzmarkt 6 Bank regulation 5 Bankenregulierung 5 Bank risk 4 Bankrisiko 4 Coronavirus 4 Financial crisis 4 Finanzkrise 4 Simulation 4 Stress test 4 Stresstest 4 Systemic risk 4 Systemrisiko 4 Welt 4 World 4 Bank liquidity 3 Bankenkrise 3 Bankenliquidität 3 Banking crisis 3 Financial intermediation 3 Financial system 3 Finanzintermediation 3 Finanzsystem 3 Investment Fund 3 Investmentfonds 3 Microfoundations 3 Mikrofundierung 3 Theorie 3 Theory 3 Agency theory 2 Anreiz 2 Bankenaufsicht 2 Banking supervision 2 Basel Accord 2 Basler Akkord 2 Business cycle 2 Credit risk 2
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Online availability
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Free 19
Type of publication
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Book / Working Paper 19 Article 1
Type of publication (narrower categories)
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Graue Literatur 7 Non-commercial literature 7 Arbeitspapier 6 Working Paper 6 Aufsatz im Buch 1 Book section 1
Language
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English 16 Undetermined 4
Author
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Di Iasio, Giovanni 16 Kryczka, Dominika 6 Nicoletti, Giulio 5 Quagliariello, Mario 4 Vause, Nicholas 4 Bargigli, Leonardo 3 Iasio, Giovanni di 3 Infante, Luigi 3 Kordel, Simon 3 Lillo, Fabrizio 3 Pierobon, Federico 3 Alogoskoufis, Spyridon 2 Alogoskoufis, Spyros 2 Dimitrov, Ivan 2 Groß, Johannes 2 Hansen, Ib 2 Kaufmann, Christoph 2 Kleemann, Michael 2 Pozsar, Zoltan 2 Sannà, Francesco 2 Sarychev, Andrei 2 Siņenko, Nadežda 2 Volk, Matjaz 2 Wicknig, Florian 2 Balatti, Mirco 1 Bartiloro, Laura 1 Budnik, Katarzyna Barbara 1 Budnik-Gałązka, Katarzyna 1 Cera, Katharina 1 Covi, Giovanni 1 Giuzio, Margherita 1 Iasio, Giovanni Di 1 Kördel, Simon 1 Mirza, Harun 1 Moccero, Diego 1 Mozzanica, Mirco Balatti 1 Palligkinis, Spyros 1 Pancaro, Cosimo 1 Reichenbachas, Tomas 1
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Institution
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arXiv.org 2 Banca d'Italia 1 Dipartimento di Scienze per l'Economia e l'Impresa, Università degli Studi di Firenze 1
Published in...
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ECB Working Paper 3 Working paper series / European Central Bank 3 Papers / arXiv.org 2 Bank of Italy Occasional Paper 1 Bank of Italy Temi di Discussione (Working Paper) 1 ECB Occasional Paper 1 ESRB: Working Paper Series 1 ISBN 978-92-899-3691-0 1 Occasional paper series / European Central Bank 1 Questioni di economia e finanza 1 Systemic Risk, Basel III, Financial Stability and Regulation 2011 1 Temi di discussione (Economic working papers) 1 Temi di discussione / Banca d'Italia 1 The financial systems of industrial countries : evidence from financial accounts 1 Working Papers - Economics 1 Working paper series 1
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Source
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ECONIS (ZBW) 16 RePEc 4
Showing 1 - 10 of 20
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Macroprudential regulation of investment funds
Di Iasio, Giovanni; Kaufmann, Christoph; Wicknig, Florian - 2022
The investment fund sector, the largest component of the non-bank financial system, is growing rapidly and the economy is becoming more reliant on investment fund financial intermediation. This paper builds a dynamic stochastic general equilibrium model with banks and investment funds. Banks...
Persistent link: https://www.econbiz.de/10013329424
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A model of system-wide stress simulation : market-based finance and the Covid-19 event
Di Iasio, Giovanni; Alogoskoufis, Spyridon; Kordel, Simon; … - 2022
Persistent link: https://www.econbiz.de/10013263580
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A model of system-wide stress simulation : market-based finance and the Covid-19 event
Di Iasio, Giovanni; Alogoskoufis, Spyros; Kordel, Simon; … - 2022
We build a model to simulate how the euro-area market-based financial system may function under stressed conditions, such as the COVID-19 turmoil. The core of the model is a set of representative agents reflecting key economic sectors, which interact in asset, funding and derivatives markets and...
Persistent link: https://www.econbiz.de/10013288969
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Cover Image
Macroprudential Regulation of Investment Funds
Di Iasio, Giovanni; Kaufmann, Christoph; Wicknig, Florian - 2022
The investment fund sector, the largest component of the non-bank financial system, is growing rapidly and the economy is becoming more reliant on investment fund financial intermediation. This paper builds a dynamic stochastic general equilibrium model with banks and investment funds. Banks...
Persistent link: https://www.econbiz.de/10013403692
Saved in:
Cover Image
A Model of System-Wide Stress Simulation : Market-Based Finance and the COVID-19 Event
Di Iasio, Giovanni; Alogoskoufis, Spyros; Kordel, Simon; … - 2022
We build a model to simulate how the euro area market-based financial system may function under stress. The core of the model is a set of representative agents reflecting key economic sectors, which interact in asset, funding, and derivatives markets and face solvency and liquidity constraints...
Persistent link: https://www.econbiz.de/10013405132
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Cover Image
A model of system-wide stress simulation : market-based finance and the Covid-19 event
Di Iasio, Giovanni; Alogoskoufis, Spyridon; Kördel, Simon - 2022
We build a model to simulate how the euro area market-based financial system may function under stress. The core of the model is a set of representative agents re ecting key economic sectors, which interact in asset, funding, and derivatives markets and face solvency and liquidity constraints on...
Persistent link: https://www.econbiz.de/10013265940
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Crises in the Modern Financial Ecosystem
Di Iasio, Giovanni; Pozsar, Zoltan - 2021
We build a moral hazard model to study incentives of financial intermediaries (shortly, bankers) facing a leverage-insurance trade-off in their investment choice. We demonstrate that the choice is affected by two recent transformations of the financial ecosystem bankers inhabit: (i) the rise of...
Persistent link: https://www.econbiz.de/10013248973
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Market Failures in Market-Based Finance
Di Iasio, Giovanni; Kryczka, Dominika - 2021
We build a three-period model to investigate market failures in the market-based financial system. Institutional investors (IIs), such as insurance companies and pension funds, have liabilities offering guaranteed returns and operate under a risk-sensitive solvency constraint. They seek to...
Persistent link: https://www.econbiz.de/10013229281
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Market failures in market-based finance
Di Iasio, Giovanni; Kryczka, Dominika - 2021
We build a three-period model to investigate market failures in the market-based financial system. Institutional investors (IIs), such as insurance companies and pension funds, have liabilities offering guaranteed returns and operate under a risk-sensitive solvency constraint. They seek to...
Persistent link: https://www.econbiz.de/10012511085
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Macroprudential Stress Test of the Euro Area Banking System
Budnik, Katarzyna Barbara; Balatti, Mirco; Covi, Giovanni; … - 2021
This paper presents an approach to a macroprudential stress test for the euro area banking system, comprising the 91 largest euro area credit institutions across 19 countries. The approach involves modelling banks’ reactions to changing economic conditions. It also examines the effects of...
Persistent link: https://www.econbiz.de/10013315366
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