Effectiveness and Channels of Macroprudential Instruments
Rebalancing in the Euro Area and Cyclicality of Current Account Adjustments
From Fragmentation to Financial Integration in Europe
A Banking Union for the Euro Area
Optimal Prudential Regulation of Banks and the Political Economy of Supervision
Incorporating Macro-Financial Linkages into Forecasts Using Financial Conditions Indices: The Case of France
Corporate Sector Vulnerabilities and High Levels of Interest Rates
The Global Bank Stress Test
Where Have All the Profits Gone? European Bank Profitability Over the Financial Cycle
International Capital Flows and Development
Bankingon the Principles
External Imbalances in the Euro Area
What Drives Mortgage Default Risk in Europe and the U.S.?
Global Corporate Stress Tests—Impact of the COVID-19 Pandemic and Policy Responses
Growth and Structural Reforms
External Imbalances in the Euro Area