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Publications on Financial stability

25/11/2020
Developments in the sovereign-bank nexus in the euro area: the role of direct sovereign exposuresFinancial Stability Review Issue 2, 2020
25/11/2020
A macroprudential perspective on replenishing capital buffersFinancial Stability Review Issue 2, 2020
25/11/2020
Interconnectedness of derivatives markets and money market funds through insurance corporations and pension fundsFinancial Stability Review Issue 2, 2020
25/11/2020
Selecting adverse economic scenarios for the quantitative assessment of euro area banking system resilienceFinancial Stability Review Issue 2, 2020
25/11/2020
Causes and implications of variation in euro area banks’ recent loan loss provisioningFinancial Stability Review Issue 2, 2020
25/11/2020
Prospects for euro area bank lending margins in an extended low-for-longer interest rate environmentFinancial Stability Review Issue 2, 2020
24/11/2020
Financial stability considerations arising from the interaction of coronavirus-related policy measuresFinancial Stability Review Issue 2, 2020
24/11/2020
The performance and resilience of green finance instruments: ESG funds and green bondsFinancial Stability Review Issue 2, 2020
23/11/2020
Assessing corporate vulnerabilities in the euro areaFinancial Stability Review Issue 2, 2020
10/11/2020
European financial integration during the COVID-19 crisisEconomic Bulletin Issue 7, 2020
04/11/2020
Survey on credit terms and conditions in euro-dominated securities financing and OTC derivatives markets (SESFOD) - September 2020
21/08/2020
Survey on credit terms and conditions in euro-denominated securities financing and OTC derivatives markets (SESFOD) - June 2020
26/05/2020
Macroeconomic impact of financial policy measures and synergies with other policy responsesFinancial Stability Review Issue 1, 2020
26/05/2020
The role of bank and non-bank interconnections in amplifying recent financial contagionFinancial Stability Review Issue 1, 2020
26/05/2020
Potential impact of government loan guarantee schemes on bank lossesFinancial Stability Review Issue 1, 2020
26/05/2020
Euro area banks’ sensitivity to corporate decarbonisationFinancial Stability Review Issue 1, 2020
26/05/2020
Financial stability implications of private equityFinancial Stability Review Issue 1, 2020
26/05/2020
Derivatives-related liquidity risk facing investment fundsFinancial Stability Review Issue 1, 2020
26/05/2020
Trends in residential real estate lending standards and implications for financial stabilityFinancial Stability Review Issue 1, 2020
26/05/2020
Financial Stability Review, May 2020
25/05/2020
Dividend payouts and share buybacks of global banksFinancial Stability Review Issue 1, 2020
25/05/2020
Recent stress in money market funds has exposed potential risks for the wider financial systemFinancial Stability Review Issue 1, 2020
25/05/2020
Volatility-targeting strategies and the market sell-offFinancial Stability Review Issue 1, 2020
19/05/2020
Survey on credit terms and conditions in euro-denominated securities financing and OTC derivatives markets (SESFOD) – March 2020
05/05/2020
A regulatory and financial stability perspective on global stablecoins
28/04/2020
Framework to assess cross-border spillover effects of macroprudential policies, April 2020
03/03/2020
Financial Integration and Structure in the Euro Area, March 2020
03/03/2020
Is the home bias biased? New evidence from the investment fund sectorFinancial Integration and Structure in the Euro Area 2020
03/03/2020
Implications of Brexit for the EU financial landscapeFinancial Integration and Structure in the Euro Area 2020
11/02/2020
Survey on credit terms and conditions in euro-denominated securities financing and OTC derivatives markets (SESFOD) – December 2019
06/02/2020
Bond market liquidity and swap market efficiency – what role does the repo market play?Economic Bulletin Issue 1, 2020
20/11/2019
Financial Stability Review, November 2019
20/11/2019
Macroprudential policy and powers within the EurosystemFinancial Stability Review Issue 2, 2019
20/11/2019
Portfolio rebalancing by euro area investment funds following outflowsFinancial Stability Review Issue 2, 2019
20/11/2019
Investment funds and the transmission of the global financial cycle to the euro areaFinancial Stability Review Issue 2, 2019
20/11/2019
The ECB’s new euro area banking sector macro-micro modelFinancial Stability Review Issue 2, 2019
20/11/2019
Climate risk-related disclosures of banks and insurers and their market impactFinancial Stability Review Issue 2, 2019
20/11/2019
Valuations in corporate bond and equity marketsFinancial Stability Review Issue 2, 2019
20/11/2019
Explaining cross-border transactions in euro area commercial real estate marketsFinancial Stability Review Issue 2, 2019
20/11/2019
Assessing the systemic footprint of euro area banksFinancial Stability Review Issue 2, 2019
18/11/2019
Euro area bank profitability: where can consolidation help?Financial Stability Review Issue 2, 2019
18/11/2019
Implications of bank misconduct costs for bank equity returns and valuationsFinancial Stability Review Issue 2, 2019
07/11/2019
Survey on credit terms and conditions in euro-denominated securities financing and OTC derivatives markets (SESFOD) – September 2019
16/09/2019
The macroeconomic impact of changes in economic bank capital buffers
16/09/2019
Thinking beyond borders: how important are reciprocity arrangements for the use of sectoral capital buffers?
16/09/2019
Understanding the specific features of the CCyB and the SCCyB − evidence from the 3D DSGE model
05/08/2019
Services trade liberalisation and global imbalances: a critical review of the empirical evidenceEconomic Bulletin Issue 5, 2019
31/07/2019
Survey on credit terms and conditions in euro-denominated securities financing and OTC derivatives markets (SESFOD) – June 2019
29/05/2019
Insurers’ investment in alternative assetsFinancial Stability Review Issue 1, 2019
29/05/2019
The Eurosystem’s asset purchase programme, risk-taking and portfolio rebalancingFinancial Stability Review Issue 1, 2019
29/05/2019
Gauging systemic risks from hard-to-value assets in euro area banks’ balance sheetsFinancial Stability Review Issue 1, 2019
29/05/2019
Recent developments in and the outlook for global bank ratingsFinancial Stability Review Issue 1, 2019
29/05/2019
Recent developments in banks’ price-to-book ratios and their determinantsFinancial Stability Review Issue 1, 2019
29/05/2019
CLOs: a financial stability perspectiveFinancial Stability Review Issue 1, 2019
29/05/2019
Do corporate fundamentals explain differences in sectoral NPLs?Financial Stability Review Issue 1, 2019
29/05/2019
Assessing the risks to the euro area financial sector from a no-deal Brexit – update following the extension of the UK’s membership of the EUFinancial Stability Review Issue 1, 2019
29/05/2019
Macroprudential space and current policy trade-offs in the euro areaFinancial Stability Review Issue 1, 2019
29/05/2019
Economic shocks and contagion in the euro area banking sector: a new micro-structural approachFinancial Stability Review Issue 1, 2019
29/05/2019
Climate change and financial stabilityFinancial Stability Review Issue 1, 2019
27/03/2019
Is taxpayers’ money better protected now? An assessment of banking regulatory reforms ten years after the global financial crisis
27/03/2019
A bird’s-eye view of the resilience of the European banking system: results from the new macroprudential stress test framework
27/03/2019
Macroprudential analysis of residential real estate markets
27/03/2019
Shelter from the storm: recent countercyclical capital buffer (CCyB) decisions
29/11/2018
Counterparty and liquidity risks in exchange-traded fundsFinancial Stability Review Issue 2, 2018
29/11/2018
How can euro area banks reach sustainable profitability in the future?Financial Stability Review Issue 2, 2018
29/11/2018
Bond funding of euro area banks: progress in the issuance of loss-absorbing instrumentsFinancial Stability Review Issue 2, 2018
29/11/2018
Assessing the risks to the euro area financial sector from a disruptive hard BrexitFinancial Stability Review Issue 2, 2018
29/11/2018
ESTER – the new overnight rate for the euro money marketsFinancial Stability Review Issue 2, 2018
29/11/2018
Recent trends in credit terms and conditions in euro-denominated securities financing and over-the-counter derivatives markets based on information from the SESFOD surveyFinancial Stability Review Issue 2, 2018
29/11/2018
Liquidity conditions in the Italian sovereign bond market since MayFinancial Stability Review Issue 2, 2018
29/11/2018
Assessing global asset price developments through the lens of a structural BVAR modelFinancial Stability Review Issue 2, 2018
29/11/2018
Explaining the slowdown in portfolio flows to EMEsFinancial Stability Review Issue 2, 2018
27/11/2018
The resurgence of protectionism: potential implications for global financial stabilityFinancial Stability Review Issue 2, 2018
02/10/2018
The implications of removing repo assets from the leverage ratio
02/10/2018
Does the G-SIB framework incentivise window-dressing behaviour? Evidence of G-SIBs and reporting banks
02/10/2018
Macroprudential liquidity tools for investment funds - A preliminary discussion
24/05/2018
A new financial stability risk index to predict the near-term risk of recessionFinancial Stability Review Issue 1, 2018
24/05/2018
Predicting the likelihood and severity of financial crises over the medium term with a cyclical systemic risk indicatorFinancial Stability Review Issue 1, 2018
24/05/2018
Assessing the financial stability risks of a possible repricing in the market for subordinated bank bondsFinancial Stability Review Issue 1, 2018
24/05/2018
Recent developments in pricing of non-performing loan portfolio salesFinancial Stability Review Issue 1, 2018
24/05/2018
Cost efficiency of euro area banksFinancial Stability Review Issue 1, 2018
24/05/2018
Leveraged loans: a fast-growing high-yield marketFinancial Stability Review Issue 1, 2018
24/05/2018
Financial stability implications of crypto-assetsFinancial Stability Review Issue 1, 2018
24/05/2018
Regime shifts in stock market volatility: a historical perspective on the US marketFinancial Stability Review Issue 1, 2018
24/05/2018
Listed commercial real estate companies and real estate investment trusts: trends and implications for financial stabilityFinancial Stability Review Issue 1, 2018
24/05/2018
The growing systemic footprint of Chinese banksFinancial Stability Review Issue 1, 2018
24/05/2018
Financial Stability Review, May 2018
24/05/2018
The distribution of interest rate risk in the euro areaFinancial Stability Review Issue 1, 2018
03/05/2018
Financial integration in Europe, May 2018
30/04/2018
Using large exposure data to gauge the systemic importance of SSM significant institutions
30/04/2018
How competition and regulation drive bank and investment fund risk profiles and their market shares
30/04/2018
Targeted review of the macroprudential framework
29/11/2017
Financial Stability Review, November 2017
29/11/2017
Can commodity trading firms create systemic risk via derivatives markets?Financial Stability Review Issue 2, 2017
29/11/2017
How would a repricing in bond markets impact euro area investment funds?Financial Stability Review Issue 2, 2017
29/11/2017
Investment strategies of euro area insurers and pension funds: procyclical or countercyclical?Financial Stability Review Issue 2, 2017
29/11/2017
Market perceptions of bank risk in connection with cuts in the deposit facility rate to below zeroFinancial Stability Review Issue 2, 2017
29/11/2017
Bond market liquidity indicators – an overviewFinancial Stability Review Issue 2, 2017
29/11/2017
Update on reference rate reforms in the euro areaFinancial Stability Review Issue 2, 2017
29/11/2017
The prevalence of vulnerable firms in the euro areaFinancial Stability Review Issue 2, 2017
29/11/2017
Overcoming Non-Performing Loan Market Failures with Transaction PlatformsFinancial Stability Review Issue 2, 2017
29/11/2017
Cross-Border Banking in the Euro Area since the Crisis: What is Driving the Great Retrenchment?Financial Stability Review Issue 2, 2017
29/11/2017
Recent Developments in Euro Area Repo Markets, Regulatory Reforms and their Impact on Repo Market FunctioningFinancial Stability Review Issue 2, 2017
29/11/2017
Higher Future Financial Market Volatility: Potential Triggers and AmplifiersFinancial Stability Review Issue 2, 2017
23/10/2017
Report on financial structures, October 2017
24/05/2017
Who would pay more for a European deposit insurance scheme: small, medium or large banks?Financial Stability Review Issue 1, 2017
24/05/2017
Exchange-traded funds in the euro area – recent trends and vulnerabilitiesFinancial Stability Review Issue 1, 2017
24/05/2017
The growing role of non-bank lending to households – a case study on the NetherlandsFinancial Stability Review Issue 1, 2017
24/05/2017
A comparison of market-based indicators of banking system stressFinancial Stability Review Issue 1, 2017
24/05/2017
Assessing the accuracy of euro area bank analysts’ earnings forecastsFinancial Stability Review Issue 1, 2017
24/05/2017
Interpretations of the recent increases in TARGET2 balancesFinancial Stability Review Issue 1, 2017
24/05/2017
Residential real estate prices in capital cities: a review of trendsFinancial Stability Review Issue 1, 2017
24/05/2017
Financial vulnerability of euro area householdsFinancial Stability Review Issue 1, 2017
24/05/2017
Preparing for Brexit to secure the smooth provision of financial services to the euro area economyFinancial Stability Review Issue 1, 2017
24/05/2017
Assessing the Decoupling of Economic Policy Uncertainty and Financial ConditionsFinancial Stability Review Issue 1, 2017
24/05/2017
Measuring Credit Gaps for Macroprudential PolicyFinancial Stability Review Issue 1, 2017
24/05/2017
Resolving Non-Performing Loans: A Role for Securitisation and Other Financial Structures?Financial Stability Review Issue 1, 2017
24/05/2017
Financial Stability Review, May 2017
22/05/2017
Assessing the decoupling of economic policy uncertainty and financial conditions (Special Feature of the Financial Stability Review, May 2017)
19/05/2017
Financial integration in Europe, May 2017
23/03/2017
EME financial market developments after the 2016 US presidential election compared with developments after the 2013 tapering talk episodeEconomic Bulletin Issue 2, 2017
22/02/2017
STAMP€: Stress-Test Analytics for Macroprudential Purposes in the euro area
02/02/2017
Economic growth in the euro area is broadeningEconomic Bulletin Issue 1, 2017
22/12/2016
Impact of the November 2016 OPEC agreement on the oil marketEconomic Bulletin Issue 8, 2016
12/12/2016
ECB contribution to the European Commission’s consultation on the review of the EU macroprudential policy framework
24/11/2016
The evolution of sectoral holdings of bail-inable bank debtFinancial Stability Review Issue 2, 2016
24/11/2016
Assessing the spillover potential between banks, shadow banks and insurance companies in EuropeFinancial Stability Review Issue 2, 2016
24/11/2016
The potential for spillovers from emerging markets to euro area banksFinancial Stability Review Issue 2, 2016
24/11/2016
The ECB’s monetary policy and bank profitabilityFinancial Stability Review Issue 2, 2016
24/11/2016
Have global uncertainty shocks become less persistent?Financial Stability Review Issue 2, 2016
24/11/2016
Monitoring euro area residential real estate markets from a macroprudential perspectiveFinancial Stability Review Issue 2, 2016
24/11/2016
Is euro area financial stress becoming more global?Financial Stability Review Issue 2, 2016
24/11/2016
Towards a Framework for Calibrating Macroprudential Leverage Limits for Alternative Investment FundsFinancial Stability Review Issue 2, 2016
24/11/2016
Addressing Market Failures in the Resolution of Non-Performing Loans in the Euro AreaFinancial Stability Review Issue 2, 2016
24/11/2016
Adapting Bank Business Models: Financial Stability Implications of Greater Reliance on Fee and Commission IncomeFinancial Stability Review Issue 2, 2016
24/11/2016
Financial Stability Review, November 2016
22/11/2016
Addressing market failures in the resolution of nonperforming loans in the euro area (Special Feature of the Financial Stability Review, November 2016)
03/11/2016
Economic developments in the aftermath of the UK referendum on EU membershipEconomic Bulletin Issue 7, 2016
27/10/2016
Report on financial structures
24/05/2016
Latest indicators of euro area bank asset qualityFinancial Stability Review Issue 1, 2016
24/05/2016
Financial stability vulnerabilities stemming from cyber risks within financial market infrastructuresFinancial Stability Review Issue 1, 2016
24/05/2016
Financial stability implications of structural changes in market microstructures – algorithmic and high-frequency tradingFinancial Stability Review Issue 1, 2016
24/05/2016
Euro area corporate default probabilities by sector of activity and firm sizeFinancial Stability Review Issue 1, 2016
24/05/2016
Private credit overhang in emerging economies and risks to euro area financial stabilityFinancial Stability Review Issue 1, 2016
24/05/2016
A Case for Macroprudential Margins and HaircutsFinancial Stability Review Issue 1, 2016
24/05/2016
Systemic Implications of the European Bail-In Tool: a Multi-Layered Network AnalysisFinancial Stability Review Issue 1, 2016
24/05/2016
Recent Trends in Euro Area Banks' Business Models and Implications for Banking Sector StabilityFinancial Stability Review Issue 1, 2016
24/05/2016
Financial Stability Review, May 2016
23/05/2016
Recent trends in euro area banks' business models and implications for banking sector stability (Special Feature of the Financial Stability Report, May 2016)
25/04/2016
Financial integration in Europe, April 2016
04/02/2016
Eurosystem contribution to the European Commission's call for evidence on the EU regulatory framework for financial services
12/01/2016
Research Bulletin No. 23
10/12/2015
The impact of the CRR and CRD IV on bank financing - Eurosystem response to the DG FISMA consultation paper
25/11/2015
Debt securities holdings of the financial sector in the current low-yield environmentFinancial Stability Review Issue 2, 2015
25/11/2015
The information in systemic risk rankingsFinancial Stability Review Issue 7, 2015
25/11/2015
Dark pools and market liquidityFinancial Stability Review Issue 2, 2015
25/11/2015
A model-based valuation metric for residential property marketsFinancial Stability Review Issue 2, 2015
25/11/2015
The relationship between business and financial cyclesFinancial Stability Review Issue 2, 2015
25/11/2015
Understanding the links between China and the euro areaFinancial Stability Review Issue 2, 2015
25/11/2015
The Impact of the Basel III Leverage Ratio on Risk-Taking and Bank StabilityFinancial Stability Review Issue 2, 2015
25/11/2015
Systemic Risk, Contagion and Financial NetworksFinancial Stability Review Issue 2, 2015
25/11/2015
Quantifying the Policy Mix in a Monetary Union with National Macroprudential PoliciesFinancial Stability Review Issue 2, 2015
25/11/2015
Financial Stability Review, November 2015
23/11/2015
The impact of the Basel III leverage ratio on risk-taking and bank stability
29/10/2015
Report on financial structures
24/07/2015
Research Bulletin No. 22
28/05/2015
Measuring the propagation of macro-financial shocks at the level of individual euro area financial institutionsFinancial Stability Review Issue 1, 2015
28/05/2015
Synthetic leverage in the investment fund sectorFinancial Stability Review Issue 1, 2015
28/05/2015
Evaluating the drivers of forbearance and underprovisioningFinancial Stability Review Issue 1, 2015
28/05/2015
Measuring the cost of bank equity in the euro areaFinancial Stability Review Issue 1, 2015
28/05/2015
Commonality of bid-ask spreads in euro area bond marketsFinancial Stability Review Issue 1, 2015
28/05/2015
Statistical valuation metrics for residential property marketsFinancial Stability Review Issue 1, 2015
28/05/2015
Lower oil prices and their implications for financial stability in the euro areaFinancial Stability Review Issue 1, 2015
28/05/2015
Accommodative monetary policy and euro area financial stabilityFinancial Stability Review Issue 1, 2015
28/05/2015
A Framework for Analysing and Assessing Cross-Border Spillovers from Macroprudential PoliciesFinancial Stability Review Issue 1, 2015
28/05/2015
Bank Profitability Challenges in Euro Area Banks: the Role of Cyclical and Structural FactorsFinancial Stability Review Issue 1, 2015
28/05/2015
Resolving the Legacy of Non-Performing Exposures in Euro Area BanksFinancial Stability Review Issue 1, 2015
28/05/2015
Financial Stability Review, May 2015
27/04/2015
Financial integration in Europe, April 2015
27/11/2014
Regulatory initiatives to enhance overall loss-absorption capacityFinancial Stability Review Issue 2, 2014
27/11/2014
the ECB’s comprehensive assessment exerciseFinancial Stability Review Issue 1, 2014
27/11/2014
Structural and systemic risk features of euro area investment fundsFinancial Stability Review Issue 2, 2014
27/11/2014
Does the growing importance of emerging market banks pose a systemic risk?Financial Stability Review Issue 2, 2014
27/11/2014
Fire-Sale Externalities in the Euro Area Banking SectorFinancial Stability Review Issue 2, 2014
27/11/2014
Capturing the Financial Cycle in Euro Area CountriesFinancial Stability Review Issue 2, 2014
27/11/2014
Initial Considerations regarding a Macro-Prudential Instrument based on the Net Stable Funding RatioFinancial Stability Review Issue 2, 2014
27/11/2014
Financial Stability Review, November 2014
13/11/2014
Early warning indicators for fiscal stress in European budgetary surveillanceEconomic Bulletin Issue 11, 2014
13/11/2014
The financial vulnerability of euro area households - evidence from the Eurosystem's Household Finance and Consumption SurveyEconomic Bulletin Issue 11, 2014
13/10/2014
Banking structures report, October 2014
28/05/2014
Revival of “qualifying” securitisation, main hurdles and regulatory frameworkFinancial Stability Review Issue 1, 2014
28/05/2014
Forthcoming implementation of the Bail-in toolFinancial Stability Review Issue 1, 2014
28/05/2014
Developments in markets for contingent capital instrumentsFinancial Stability Review Issue 1, 2014
28/05/2014
To what extent has banks’ reduction in assets been a de-risking of balance sheets?Financial Stability Review Issue 1, 2014
28/05/2014
Recent balance sheet strengthening by euro area banksFinancial Stability Review Issue 1, 2014
28/05/2014
Provisioning and expected loss at European banksFinancial Stability Review Issue 1, 2014
28/05/2014
Distinguishing risk aversion from uncertaintyFinancial Stability Review Issue 1, 2014
28/05/2014
Co-movements in euro area bond market indicesFinancial Stability Review Issue 1, 2014
28/05/2014
Financial stability implications of the crisis in UkraineFinancial Stability Review Issue 1, 2014
28/05/2014
Global corporate bond issuance and quantitative easingFinancial Stability Review Issue 1, 2014
28/05/2014
Financial stability challenges posed by very low rates of consumer price inflationFinancial Stability Review Issue 1, 2014
28/05/2014
Recent Experience of European Countries with Macro-Prudential PolicyFinancial Stability Review Issue 1, 2014
28/05/2014
Identifying Excessive Credit Growth and LeverageFinancial Stability Review Issue 1, 2014
28/05/2014
Micro- versus Macro-Prudential Supervision: Potential Differences, Tensions and ComplementaritiesFinancial Stability Review Issue 1, 2014
28/05/2014
Risks from Euro Area Banks’ Emerging Market ExposuresFinancial Stability Review Issue 1, 2014
28/05/2014
Financial Stability Review, May 2014
28/04/2014
Financial Integration in Europe, April 2014
11/04/2014
The impaired EU securitisation market: causes, roadblocks and how to deal with them
27/11/2013
Recent evidence on taxing financial transactionsFinancial Stability Review Issue 2, 2013
27/11/2013
Macro-prudential aspects of the SSM regulationFinancial Stability Review Issue 2, 2013
27/11/2013
Euro area banks and leverage ratio requirementsFinancial Stability Review Issue 2, 2013
27/11/2013
The dynamics of fee and commission income in euro area banksFinancial Stability Review Issue 2, 2013
27/11/2013
A new bank sample for the ECB’s financial stability reviewFinancial Stability Review Issue 2, 2013
27/11/2013
Changing expectations of us monetary policy and global asset prices: what can we learn from the 1994 episode?Financial Stability Review Issue 2, 2013
27/11/2013
House price cycles across EuropeFinancial Stability Review Issue 2, 2013
27/11/2013
Financial fragility of euro area householdsFinancial Stability Review Issue 2, 2013
27/11/2013
Gauging the macroeconomic impacts of changing financial conditions in emerging market economiesFinancial Stability Review Issue 2, 2013
27/11/2013
Preparatory Work for Banking Supervision at the ECBFinancial Stability Review Issue 2, 2013
27/11/2013
Predicting Financial Vulnerabilities to Guide the Set-Up of Counter-Cyclical Capital BuffersFinancial Stability Review Issue 2, 2013
27/11/2013
Gauging the Effectiveness of Cross-Sectional Macro-Prudential Tools through the Lens of Interbank NetworksFinancial Stability Review Issue 2, 2013
27/11/2013
Financial Stability Review, November 2013
04/11/2013
Banking structures report, November 2013
08/08/2013
A macro stress-testing framework for bank solvency analysisEconomic Bulletin Issue 8, 2013
11/07/2013
Is there a risk of a creeping rise in trade protectionism?Economic Bulletin Issue 7, 2013
29/05/2013
Modelling the joint dynamics of banking, sovereign, macro and corporate riskFinancial Stability Review Issue 1, 2013
29/05/2013
Financial stability and bancassurance groups – lessons from the euro area experience during the financial crisisFinancial Stability Review Issue 1, 2013
29/05/2013
Measuring systemic risk contributions of European banksFinancial Stability Review Issue 1, 2013
29/05/2013
Deleveraging by euro area banksFinancial Stability Review Issue 1, 2013
29/05/2013
Evaluating differences in banks’ credit risk weightsFinancial Stability Review Issue 1, 2013
29/05/2013
The network structure of the credit default swap market and its determinantsFinancial Stability Review Issue 1, 2013
29/05/2013
Financial stability implications of reference rates and key requirements for the next generation of benchmarksFinancial Stability Review Issue 1, 2013
29/05/2013
Developments in Cyprus and their impact on financial stability in the euro areaFinancial Stability Review Issue 1, 2013
29/05/2013
Exploring the Nexus between Macro-Prudential Policies and Monetary Policy MeasuresFinancial Stability Review Issue 1, 2013
29/05/2013
Asset Support Schemes in the Euro AreaFinancial Stability Review Issue 1, 2013
29/05/2013
New ECB Survey on Credit Terms and Conditions in Euro-denominated Securities Financing and Over-the-Counter Derivatives Markets (SESFOD)Financial Stability Review Issue 1, 2013
29/05/2013
Financial Stability Review, May 2013
25/04/2013
Financial integration in Europe, April 2013
14/02/2013
Enhancing the monitoring of shadow bankingEconomic Bulletin Issue 2, 2013
17/12/2012
Research Bulletin No. 17
14/12/2012
Central clearing for derivativesFinancial Stability Review Issue 2, 2012
14/12/2012
Gauging the potential for sovereign and banking sector spillovers in the euro areaFinancial Stability Review Issue 2, 2012
14/12/2012
Developments in the price-to-book ratios of large and complex banking groupsFinancial Stability Review Issue 2, 2012
14/12/2012
Main findings of the euro money market survey 2012Financial Stability Review Issue 2, 2012
14/12/2012
The financial crisis and external financing of euro area non-financial corporationsFinancial Stability Review Issue 2, 2012
14/12/2012
Recent trends in global portfolio flows amid sovereign tensions in the euro areaFinancial Stability Review Issue 2, 2012
14/12/2012
Predicting Bank Distress and Identifying Interdependencies among European BanksFinancial Stability Review Issue 2, 2012
14/12/2012
The Impact of Bank Funding Market Fragmentation on Credit Intermediation during the Sovereign Debt CrisisFinancial Stability Review Issue 2, 2012
14/12/2012
Towards a Banking UnionFinancial Stability Review Issue 2, 2012
14/12/2012
Financial Stability Review, December 2012
14/11/2012
European Commission's public consultation on the regulation of indices - Eurosystem's response
30/10/2012
Report on the first two years of the Macro-Prudential Research Network
19/07/2012
Research Bulletin No. 16
12/07/2012
Assessing the anchoring of longer-term inflation expectationsEconomic Bulletin Issue 7, 2012
06/07/2012
Commission's green paper on shadow banking. The Eurosystem's reply
12/06/2012
Systemic risk measure – A portfolio probabilistic perspective on measuring default riskFinancial Stability Review Issue 1, 2012
12/06/2012
Asset encumbrance at euro area large and complex banking groupsFinancial Stability Review Issue 1, 2012
12/06/2012
What does stock lending data tell us about investors’ sentiment towards euro area large and complex banking groups?Financial Stability Review Issue 1, 2012
12/06/2012
The impact of the longer-term refinancing operations on money market optionsFinancial Stability Review Issue 1, 2012
12/06/2012
Assessing stress in interbank money markets and the role of unconventional monetary policy measuresFinancial Stability Review Issue 1, 2012
12/06/2012
Is disintermediation by euro area corpo rates with respect to their external financing possible if banks reduce the supply of loans?Financial Stability Review Issue 1, 2012
12/06/2012
Extracting fiscal risk signals from sovereign credit default swap spreadsFinancial Stability Review Issue 1, 2012
12/06/2012
Measuring international financial spilloversFinancial Stability Review Issue 1, 2012
12/06/2012
EU Bank Deleveraging – Driving Forces and StrategiesFinancial Stability Review Issue 1, 2012
12/06/2012
Liquidity Regulation as a Prudential Tool: A Research PerspectiveFinancial Stability Review Issue 1, 2012
12/06/2012
Evaluating Interconnectedness in the Financial System on the Basis of Actual and Simulated NetworksFinancial Stability Review Issue 1, 2012
12/06/2012
Financial Stability Review, June 2012
10/05/2012
Comparing the recent financial crisis in the United States and the euro area with the experience of Japan in the 1990sEconomic Bulletin Issue 5, 2012
10/05/2012
A fiscal compact for a stronger Economic and Monetary UnionEconomic Bulletin Issue 5, 2012
26/04/2012
Changes in bank financing patterns
26/04/2012
Financial integration in Europe, April 2012
12/04/2012
Analysing government debt sustainability in the euro areaEconomic Bulletin Issue 4, 2012
13/03/2012
The great financial crisis: Lessons for financial stability and monetary policy. An ECB colloquium held in honour of Lucas Papademos, 20-21 May 2010
17/02/2012
Research Bulletin No. 15
16/02/2012
Corporate indebtedness in the euro areaEconomic Bulletin Issue 2, 2012
19/12/2011
Beyond the stress testing of individual banks: how shock propagation throughout the economy may multiply initial lossesFinancial Stability Review Issue 2, 2011
19/12/2011
Credit risk protection by insurance companiesFinancial Stability Review Issue 2, 2011
19/12/2011
A reflection on recent developments in the operational risk management frameworks in the banking industryFinancial Stability Review Issue 2, 2011
19/12/2011
How do bank risk and sovereign risk interact? A CDS market-based analysisFinancial Stability Review Issue 2, 2011
19/12/2011
The euro area government debt securities lending marketFinancial Stability Review Issue 2, 2011
19/12/2011
A credit default swap-based measure of government bond market impairments in the euro areaFinancial Stability Review Issue 2, 2011
19/12/2011
The EUR/USD basis swap as an indicator of stress in money marketsFinancial Stability Review Issue 2, 2011
19/12/2011
Public debt sustainability: expanding the toolboxFinancial Stability Review Issue 2, 2011
19/12/2011
Indicators for detecting possible value misalignments in commercial property marketsFinancial Stability Review Issue 2, 2011
19/12/2011
Firms’ liquidity management during periods of financial stressFinancial Stability Review Issue 2, 2011
19/12/2011
Financialisation of commoditiesFinancial Stability Review Issue 2, 2011
19/12/2011
Assessing equity and property prices in selected large emerging market economiesFinancial Stability Review Issue 2, 2011
19/12/2011
What are the consequences of the downgrade of the united states’ sovereign debt?Financial Stability Review Issue 2, 2011
19/12/2011
Downside risks to real activity in the united states: the role of disagreement in expectations in determining macroeconomic vulnerabilityFinancial Stability Review Issue 1, 2011
19/12/2011
Common Equity Capital, Banks' Riskiness and Required Return on EquityFinancial Stability Review Issue 2, 2011
19/12/2011
Empirical Determinants of Non-Performing LoansFinancial Stability Review Issue 2, 2011
19/12/2011
Global Liquidity: Measurement and Financial Stability ImplicationsFinancial Stability Review Issue 2, 2011
19/12/2011
Mapping the State of Financial StabilityFinancial Stability Review Issue 2, 2011
19/12/2011
The Impact of Different Bank Characteristics on Risk and PerformanceFinancial Stability Review Issue 2, 2011
19/12/2011
Financial Stability Review, December 2011
14/07/2011
The new EU framework for financial crisis management and resolutionEconomic Bulletin Issue 7, 2011
15/06/2011
Lending by insurersFinancial Stability Review Issue 1, 2011
15/06/2011
Bank capital ratios and the cost of market fundingFinancial Stability Review Issue 1, 2011
15/06/2011
Exchange-traded fundsFinancial Stability Review Issue 1, 2011
15/06/2011
Tracking bond and stock market uncertainty using option pricesFinancial Stability Review Issue 1, 2011
15/06/2011
Common trends in euro area sovereign credit default swap premiaFinancial Stability Review Issue 1, 2011
15/06/2011
Government financial assets and net government debt in the euro areaFinancial Stability Review Issue 1, 2011
15/06/2011
Tools for detecting a possible misalignment of residential property prices from fundamentalsFinancial Stability Review Issue 1, 2011
15/06/2011
What do option risk-neutral density estimates tell us about the euro/dollar exchange rate?Financial Stability Review Issue 1, 2011
15/06/2011
Is the narrowing of global imbalances since the financial crisis cyclical or permanent?Financial Stability Review Issue 1, 2011
15/06/2011
Portfolio Flows to Emerging Market Economies: Determinants and Domestic ImpactFinancial Stability Review Issue 1, 2011
15/06/2011
Financing Obstacles Faced by Euro Area Small and Medium-sized Enterprises During the Financial CrisisFinancial Stability Review Issue 1, 2011
15/06/2011
Systemic Risk MethodologiesFinancial Stability Review Issue 1, 2011
15/06/2011
Financial Resolution Arrangements to Strengthen Financial Stability: Bank Levies, Resolution Funds and Deposit Guarantee SchemesFinancial Stability Review Issue 1, 2011
15/06/2011
Financial Stability Review, June 2011
31/05/2011
European Commission’s public consultation on the technical details of a possible EU framework for bank recovery and resolution – ESCB contribution
02/05/2011
Financial integration in Europe, May 2011
23/02/2011
European Commission’s public consultation on the review of the MiFID– Eurosystem contribution
23/02/2011
European Commission’s public consultation on credit rating agencies – Eurosystem reply
21/02/2011
Recent developments in securitisation
17/01/2011
Eurosystem reply to consultation on countercyclical capital buffer
09/12/2010
Using data on MFIS’ statistical revaluations to gauge information on changes in banks’ trading-book valuationsFinancial Stability Review Issue 2, 2010
09/12/2010
Evolution of euro area banks’ customer funding gapFinancial Stability Review Issue 2, 2010
09/12/2010
Assessment of the risks of EU banks’ exposures to sovereign debt as revealed in the exercise undertaken by the Committee of European Banking Supervisors (CEBS)Financial Stability Review Issue 2, 2010
09/12/2010
Sensitivity of euro area banks’ interest income to changes in short-term market ratesFinancial Stability Review Issue 2, 2010
09/12/2010
Main findings of the euro money market survey 2010Financial Stability Review Issue 2, 2010
09/12/2010
Comparison of the US, UK and EU macro-prudential frameworksFinancial Stability Review Issue 2, 2010
09/12/2010
Government measures to safeguard financial stability in the euro areaFinancial Stability Review Issue 2, 2010
09/12/2010
Have euro area banks been more discriminating against smaller firms in recent years?Financial Stability Review Issue 2, 2010
09/12/2010
US government-sponsored enterprises: outlook and risksFinancial Stability Review Issue 2, 2010
09/12/2010
Stress-Testing Banks in a CrisisFinancial Stability Review Issue 2, 2010
09/12/2010
Basel IIIFinancial Stability Review Issue 2, 2010
09/12/2010
Comparing Macro-Prudential Policy Stances Across CountriesFinancial Stability Review Issue 2, 2010
09/12/2010
Towards Macro-financial Models with Realistic Characterisations of Financial InstabilityFinancial Stability Review Issue 2, 2010
09/12/2010
New Quantitative Measures of Systemic RiskFinancial Stability Review Issue 2, 2010
09/12/2010
Financial Stability Review, December 2010
20/10/2010
Recent developments in supervisory structures in the EU Member States (2007-10)
18/10/2010
The ECB's response to the financial crisisEconomic Bulletin Issue 10, 2010
29/09/2010
Report on EU banking structures
29/09/2010
Beyond RoE: How to measure bank performance. Appendix to the report on EU banking structures
29/09/2010
EU banking sector stability
05/08/2010
Commission public consultation on short selling - Eurosystem reply
23/07/2010
EU stress-test exercise. Key messages on methodological issues
23/07/2010
2010 EU-wide stress testing exercise: Questions & Answers
23/07/2010
EU stress-test exercise. Technical note on the macroeconomic scenarios and reference risk parameters
15/07/2010
The effectiveness of euro area fiscal policiesEconomic Bulletin Issue 7, 2010
31/05/2010
Are low risk-free interest rates good or bad for insurance companies?Financial Stability Review Issue 1, 2010
31/05/2010
Using provisional ECB statistics for insurers and pension funds to analyse their investment risks and linkagesFinancial Stability Review Issue 1, 2010
31/05/2010
Separating banking and securities business: glass-Gteagall revisitedFinancial Stability Review Issue 1, 2010
31/05/2010
Measuring the contribution of individual sectors to systematic risk during the recent financial crisisFinancial Stability Review Issue 1, 2010
31/05/2010
Government measures to support banking systems in the euro areaFinancial Stability Review Issue 1, 2010
31/05/2010
Estimate of potential future write-downs on securities and loans facing the euro area banking sectorFinancial Stability Review Issue 1, 2010
31/05/2010
Are conditions in the market for euro credit portfolio risk back to normal?Financial Stability Review Issue 1, 2010
31/05/2010
Public debt, sovereign risk and corporate financing costs: possible spillover channelsFinancial Stability Review Issue 1, 2010
31/05/2010
Fiscal policies and financial stability: analytical frameworkFinancial Stability Review Issue 1, 2010
31/05/2010
Households’ financial distress and unemploymentFinancial Stability Review Issue 1, 2010
31/05/2010
Financial stability implications of the increase in property sale and leaseback activityFinancial Stability Review Issue 1, 2010
31/05/2010
Macroeconomic and financial system uncertainty during the latest recessionFinancial Stability Review Issue 1, 2010
31/05/2010
Asset sales by hedge funds and conventional open-end investment funds at the height of the crisisFinancial Stability Review Issue 1, 2010
31/05/2010
Risks stemming from the us commercial property sectorFinancial Stability Review Issue 1, 2010
31/05/2010
Asset price booms, credit bubbles and future financial stress – assessing systemic risks in emerging marketsFinancial Stability Review Issue 1, 2010
31/05/2010
Interest rate risk and the federal reserve’s tightening cycle: comparison with the events of 1994Financial Stability Review Issue 1, 2010
31/05/2010
Macro-prudential Policy Objectives and ToolsFinancial Stability Review Issue 1, 2010
31/05/2010
Analytical Models and Tools for the Identification and Assessment of Systemic RisksFinancial Stability Review Issue 1, 2010
31/05/2010
Recent Regulatory Initiatives to Address the Role of Systemically Important Financial InstitutionsFinancial Stability Review Issue 1, 2010
31/05/2010
Financial Networks and Financial StabilityFinancial Stability Review Issue 1, 2010
31/05/2010
Addressing risks associated with foreign currency lending in EU member statesFinancial Stability Review Issue 1, 2010
31/05/2010
Financial Stability Review, June 2010
28/04/2010
Memorandum of understanding on the exchange of information among national central credit registers for the purpose of passing it on to reporting institutions
15/04/2010
Prospects for real and financial imbalances and a global rebalancingEconomic Bulletin Issue 4, 2010
15/04/2010
Measures taken by euro area governments in support of the financial sectorEconomic Bulletin Issue 4, 2010
12/04/2010
Financial integration in Europe, April 2010
11/02/2010
Euro area commercial property markets and their impact on banksEconomic Bulletin Issue 2, 2010
08/02/2010
Commission communication to 'An EU framework for cross-border crisis management in the banking sector': Eurosystem's reply to the public consultation
15/01/2010
Structural indicators for the EU banking sector
18/12/2009
ESCB-CESR recommendations for securities settlement systems and central counterparties in the European UnionFinancial Stability Review Issue 2, 2009
18/12/2009
Assessing insurers’ investment risksFinancial Stability Review Issue 2, 2009
18/12/2009
Credit default swaps and counterparty risks for eu banksFinancial Stability Review Issue 2, 2009
18/12/2009
Public measures to support banking systems in the euro areaFinancial Stability Review Issue 2, 2009
18/12/2009
Estimate of potential future write-downs on securities and loans facing the euro area banking sectorFinancial Stability Review Issue 2, 2009
18/12/2009
Developments in the euro area covered bond marketFinancial Stability Review Issue 2, 2009
18/12/2009
Main findings of the euro money market survey 2009Financial Stability Review Issue 2, 2009
18/12/2009
Measuring credit risk in the euro area household sectorFinancial Stability Review Issue 2, 2009
18/12/2009
Property companies in the euro areaFinancial Stability Review Issue 2, 2009
18/12/2009
Access to finance for non-financial corporations in the euro areaFinancial Stability Review Issue 2, 2009
18/12/2009
Deleveraging via a decline in international bank lending during the global turmoilFinancial Stability Review Issue 2, 2009
18/12/2009
Stress tests conducted in EU member states in central and Eastern EuropeFinancial Stability Review Issue 2, 2009
18/12/2009
Housing price cycles in the United StatesFinancial Stability Review Issue 2, 2009
18/12/2009
A global index of financial turbulenceFinancial Stability Review Issue 2, 2009
18/12/2009
Towards the European Systemic Risk BoardFinancial Stability Review Issue 2, 2009
18/12/2009
The Concept of Systemic RiskFinancial Stability Review Issue 2, 2009
18/12/2009
Is Basel II Pro-cyclical? A Selected Review of the LiteratureFinancial Stability Review Issue 2, 2009
18/12/2009
Tools to Detect Asset Price MisalignmentsFinancial Stability Review Issue 2, 2009
18/12/2009
The Importance of Insurance Companies for Financial StabilityFinancial Stability Review Issue 2, 2009
18/12/2009
Financial Stability Review, December 2009
28/08/2009
Credit default swaps and counterparty risk
28/08/2009
EU banking sector stability
13/08/2009
The Eurosystem's stance on the Commission's consultation document on the review of directive 94/19/EC on deposit-guarantee schemes
15/06/2009
Assessing the liquidity risks of insurersFinancial Stability Review Issue 1, 2009
15/06/2009
Assessing the resilience of euro area banks to an adverse macroeconomic scenario in the new eu member states and emerging marketsFinancial Stability Review Issue 1, 2009
15/06/2009
Estimating potential write-downs confronting the euro area banking sector as a result of the financial market turmoilFinancial Stability Review Issue 1, 2009
15/06/2009
Elasticity of banks’ interest income vis-à-vis recent changes in short-term market ratesFinancial Stability Review Issue 1, 2009
15/06/2009
The composition and quality of bank capitalFinancial Stability Review Issue 1, 2009
15/06/2009
Government measures to support banking systems in the euro areaFinancial Stability Review Issue 1, 2009
15/06/2009
The impact of short-selling restrictions on equity marketsFinancial Stability Review Issue 1, 2009
15/06/2009
The bond-CDS basis and the functioning of the corporate bond marketFinancial Stability Review Issue 1, 2009
15/06/2009
Indicators of liquidity in the euro money marketFinancial Stability Review Issue 1, 2009
15/06/2009
Money market intermediation and liquidity insuranceFinancial Stability Review Issue 1, 2008
15/06/2009
Debt servicing ratio and household characteristics in the euro areaFinancial Stability Review Issue 1, 2009
15/06/2009
Corporate defaults: a likely source of further financial system stressFinancial Stability Review Issue 1, 2008
15/06/2009
The current macroeconomic cycle: a comparison with previous banking crisesFinancial Stability Review Issue 1, 2008
15/06/2009
Counterparty credit risk in the credit default swap marketFinancial Stability Review Issue 1, 2009
15/06/2009
Securitisation and the conditions for its restorationFinancial Stability Review Issue 1, 2009
15/06/2009
Links between governments’ and banks’ CDS spreads in the euro area in the periods before and after the failure of Lehman brothersFinancial Stability Review Issue 1, 2009
15/06/2009
Determinants of Bank Lending Standards and the Impact of the Finance TurmoilFinancial Stability Review Issue 1, 2009
15/06/2009
Liquidity Hoarding and Interbank Market SpreadsFinancial Stability Review Issue 1, 2009
15/06/2009
Balance Sheet Contagion and the Transmission of Risk in the Euro Area Financial SystemFinancial Stability Review Issue 1, 2009
15/06/2009
Estimating Probabilities of Hedge Fund LiquidationFinancial Stability Review Issue 1, 2009
15/06/2009
Some Lessons from the Financial Market Turmoil for the Use of Market Indicators in Financial Stability AnalysisFinancial Stability Review Issue 1, 2009
15/06/2009
Financial Stability Review, June 2009
14/05/2009
Credit rating agencies: developments and policy issuesEconomic Bulletin Issue 5, 2009
13/05/2009
EU banks' funding structures and policies
06/04/2009
Financial integration in Europe, April 2009
06/03/2009
Guiding principles for bank asset support schemes
25/02/2009
European Commission's consultation on hedge funds - Eurosystem contribution
19/12/2008
The incentive structure of the ‘originate and distribute’ model
19/12/2008
Recommendations of the Governing Council of the European Central Bank on the pricing of recapitalisations
19/12/2008
Recommendations of the Governing Council of the European Central Bank on government guarantees for bank debt
19/12/2008
Commercial property markets - financial stability risks, recent developments and EU banks' exposures
17/12/2008
Covered bonds in the EU financial system
15/12/2008
T2S – Europe’s integrated securities settlement platform, and its contribution to financial stabilityFinancial Stability Review Issue 2, 2008
15/12/2008
The insurance underwriting cycle in the euro areaFinancial Stability Review Issue 2, 2008
15/12/2008
Measuring the time-varying risk to banking sector stabilityFinancial Stability Review Issue 2, 2008
15/12/2008
Price of default risk as a measure of aversion to credit riskFinancial Stability Review Issue 2, 2008
15/12/2008
Measures taken by governments and central banks to preserve the stability of banking systemsFinancial Stability Review Issue 2, 2008
15/12/2008
Restoring the balance sheets of large and complex banking groups in the euro area: dividend cuts and asset disposalFinancial Stability Review Issue 2, 2008
15/12/2008
Transparency in securitisation marketsFinancial Stability Review Issue 2, 2008
15/12/2008
Funding liquidity, funding liquidity risk and its interaction with market liquidityFinancial Stability Review Issue 2, 2008
15/12/2008
Structural trends in the euro money marketFinancial Stability Review Issue 2, 2008
15/12/2008
Gauging risks to euro area house prices on the basis of a dynamic dividend-discount modelFinancial Stability Review Issue 2, 2008
15/12/2008
A return of traditional emerging market risk?Financial Stability Review Issue 2, 2008
15/12/2008
Transmission of us dollar and pound sterling money market tensions to the euro money marketFinancial Stability Review Issue 2, 2008
15/12/2008
Risks to financial stability from new EU member statesFinancial Stability Review Issue 2, 2008
15/12/2008
The US house price outlookFinancial Stability Review Issue 2, 2008
15/12/2008
Recent Policy Initiatives to Strengthen the Resilience of the Financial SystemFinancial Stability Review Issue 2, 2008
15/12/2008
Risk Management Lessons of the Financial TurmoilFinancial Stability Review Issue 2, 2008
15/12/2008
Liquidity Risk Premia in Money Market SpreadsFinancial Stability Review Issue 2, 2008
15/12/2008
Securitisation in the Euro AreaFinancial Stability Review Issue 2, 2008
15/12/2008
Financial Stability Review, December 2008
28/11/2008
EU banks' liquidity stress testing and contingency funding plans
13/10/2008
EU banking structures
09/10/2008
Cross-border bank mergers & aquisitions and institutional investorsEconomic Bulletin Issue 10, 2008
25/09/2008
Commission's draft directive/regulation on credit rating agencies
02/09/2008
Simulating financial instability. Conference on stress testing and financial crisis simulation exercises, 12-13 July 2007
11/07/2008
Payment systems and market infrastructure oversight report
20/06/2008
Memorandum of Understanding on Co-operation between the Financial Supervisory Authorities, Central Banks and Finance Ministries of the EU on Cross-Border Financial Stability
09/06/2008
What are euro area reinsurers insuring and where?Financial Stability Review Issue 1, 2008
09/06/2008
Stress testing: a fundamental tool for financial risk measurementFinancial Stability Review Issue 1, 2008
09/06/2008
Analysing the topology of the EU cross-border banking flows networkFinancial Stability Review Issue 1, 2008
09/06/2008
Leveraged loan exposures and mark-to-market write-down risks of euro area large and complex banking groupsFinancial Stability Review Issue 1, 2008
09/06/2008
Initiatives and measures that are being taken in order to restore confidence and strengthen financial system resilienceFinancial Stability Review Issue 1, 2008
09/06/2008
Mark-to-market accounting and the loss figures produced by large and complex banking groupsFinancial Stability Review Issue 1, 2008
09/06/2008
Financial stability implications of the drying-up of securitised commercial mortgage marketsFinancial Stability Review Issue 1, 2008
09/06/2008
Evidence on liquidity and credit risk from deposit-OIS spreadsFinancial Stability Review Issue 1, 2008
09/06/2008
Eurosystem standing facilities and financial stabilityFinancial Stability Review Issue 1, 2008
09/06/2008
Year-end and quarter-end effects on money marketsFinancial Stability Review Issue 1, 2008
09/06/2008
Is the corporate bank lending cycle turning?Financial Stability Review Issue 1, 2008
09/06/2008
How vulnerable are euro area and us firms to further tensions in credit markets?Financial Stability Review Issue 1, 2008
09/06/2008
The macroeconomic environment and financial stability: evidence from past banking crisisFinancial Stability Review Issue 1, 2008
09/06/2008
“Monoline” financial guarantors: the business model and linkages with financial institutions and capital marketsFinancial Stability Review Issue 1, 2008
09/06/2008
Recent developments in Chinese equity marketsFinancial Stability Review Issue 1, 2008
09/06/2008
The role of structured markets in propagating the initial sub-prime shockFinancial Stability Review Issue 1, 2008
09/06/2008
US mortgage markets, mortgage resets scheduled in 2008, and the recent fed interest rate cutsFinancial Stability Review Issue 1, 2008
09/06/2008
Securitisation, Bank Risk-Taking and Loan Supply in the Euro AreaFinancial Stability Review Issue 1, 2008
09/06/2008
What Equity, Credit and Credit Default Swap Markets Tell Us About the Risk Profile of BanksFinancial Stability Review Issue 1, 2008
09/06/2008
How Has CDO Market Pricing Changed During The Turmoil? Evidence from CDS Index TranchesFinancial Stability Review Issue 1, 2008
09/06/2008
Financial Stability Review, June 2008
29/04/2008
Financial integration in Europe, April 2008
17/04/2008
Developments in the EU arrangements for financial stabilityEconomic Bulletin Issue 4, 2008
31/01/2008
ECB Payments and monetary and financial stability
12/12/2007
More than thirty years after the “Herstatt” case, foreign exchange settlement risk is still an issueFinancial Stability Review Issue 2, 2007
12/12/2007
Terrorism insurance: who insures and who is insuredFinancial Stability Review Issue 2, 2007
12/12/2007
Euro area insurers’ direct exposures to the structured us sub-prime mortgage marketFinancial Stability Review Issue 2, 2007
12/12/2007
A market-based indicator of the probability of adverse systemic events involving large and complex banking groupsFinancial Stability Review Issue 2, 2007
12/12/2007
Market liquidity risk measurementFinancial Stability Review Issue 2, 2007
12/12/2007
Model risk: an overview of the issuesFinancial Stability Review Issue 2, 2007
12/12/2007
The “originate and distribute” banking business model and recent credit market turmoil: some tentative lessonsFinancial Stability Review Issue 2, 2007
12/12/2007
Assessing credit risk in the loan portfolios of euro area large and complex banking groupsFinancial Stability Review Issue 2, 2007
12/12/2007
Assessing the impact of recent market turmoil on euro area large and complex banking groups: a stress test of potential balance sheet expansionFinancial Stability Review Issue 2, 2007
12/12/2007
Identifying large and complex banking groups for financial system stabilityFinancial Stability Review Issue 2, 2007
12/12/2007
Recent issues in the euro area money market: causes, consequences and proposed mitigating measuresFinancial Stability Review Issue 2, 2007
12/12/2007
Understanding asset backed commercial paper structuresFinancial Stability Review Issue 1, 2007
12/12/2007
A "barometer'' for financial market turmoilFinancial Stability Review Issue 2, 2007
12/12/2007
An overview of developments in euro area housing and mortgage marketsFinancial Stability Review Issue 2, 2007
12/12/2007
Potential implications of recent credit market stress on the euro area credit cycleFinancial Stability Review Issue 2, 2007
12/12/2007
Hedge fund investor redemption restrictions and the risk of runs by investorsFinancial Stability Review Issue 2, 2007
12/12/2007
Measuring the crowding of hedge fund tradesFinancial Stability Review Issue 2, 2007
12/12/2007
Causes and consequences of the recent market turmoilFinancial Stability Review Issue 2, 2007
12/12/2007
Sovereign wealth funds - a new class of investorsFinancial Stability Review Issue 2, 2007
12/12/2007
Bank Capital In Europe and the USFinancial Stability Review Issue 2, 2007
12/12/2007
The Impact of Short-Term Interest Rates on Bank Credit Risk-TakingFinancial Stability Review Issue 2, 2007
12/12/2007
Commercial Property Investment and Financial StabilityFinancial Stability Review Issue 2, 2007
12/12/2007
Measuring Financial Market Liquidity and Risk Aversion InterdependenceFinancial Stability Review Issue 2, 2007
12/12/2007
Net Asset Value Triggers as Early Warning Indicators of the Hedge Fund LiquidationFinancial Stability Review Issue 2, 2007
12/12/2007
Financial Stability Review, December 2007
30/11/2007
Review of the Lamfalussy framework - Eurosystem contribution
14/11/2007
EU banking sector stability
05/10/2007
EU banking structures
09/08/2007
Leveraged buyouts and financial stabilityEconomic Bulletin Issue 8, 2007
09/08/2007
The financing of small and medium-sized enterprises in the euro areaEconomic Bulletin Issue 8, 2007
09/08/2007
Adjustment of global imbalances in a financially integrating worldEconomic Bulletin Issue 8, 2007
11/07/2007
Potential impact of solvency II on financial stability
15/06/2007
CPSS Report on "New developments in clearing and settlement arrangements for OTC derivatives"Financial Stability Review Issue 1, 2007
15/06/2007
The effects of global climate change on the euro area insurance sectorFinancial Stability Review Issue 1, 2007
15/06/2007
Bank rating and support analysisFinancial Stability Review Issue 1, 2007
15/06/2007
Decomposition of the risks faced by the banking and the insurance sectors using a factor modelFinancial Stability Review Issue 1, 2007
15/06/2007
Market risk measurement, beyond value at riskFinancial Stability Review Issue 1, 2007
15/06/2007
Loan loss impairments: what is behind the numbers?Financial Stability Review Issue 1, 2007
15/06/2007
Variance swapsFinancial Stability Review Issue 1, 2007
15/06/2007
Constant proportion debt obligationsFinancial Stability Review Issue 1, 2007
15/06/2007
Understanding financial market liquidityFinancial Stability Review Issue 1, 2007
15/06/2007
Term spreads and floating rate lending to households and non-financial corporations in the euro areaFinancial Stability Review Issue 1, 2007
15/06/2007
Comparing the leverage of listed and unlisted corporationsFinancial Stability Review Issue 1, 2007
15/06/2007
Hedge fund liquidationsFinancial Stability Review Issue 1, 2007
15/06/2007
Volatility and risk aversion in major currency marketsFinancial Stability Review Issue 1, 2007
15/06/2007
Carry trades in foreign exchange marketsFinancial Stability Review Issue 1, 2007
15/06/2007
The impact of emerging market shocks on global equity marketsFinancial Stability Review Issue 1, 2007
15/06/2007
US sub-prime mortgage spillover to credit risk transfer marketsFinancial Stability Review Issue 1, 2007
15/06/2007
Saving behaviour and global imbalances: the role of emerging economiesFinancial Stability Review Issue 1, 2007
15/06/2007
Bank Income Diversity and Systemic RiskFinancial Stability Review Issue 1, 2007
15/06/2007
Global Macro-Financial Developments and Expected Corporate Sector Default Frequencies in the Euro AreaFinancial Stability Review Issue 1, 2007
15/06/2007
Assessing Portfolio Credit Risk in a Sample of EU Large and Complex Banking GroupsFinancial Stability Review Issue 1, 2007
15/06/2007
Measuring Investors' Risk AppetiteFinancial Stability Review Issue 1, 2007
15/06/2007
Accounting for Rising Leveraged Buyout ActivityFinancial Stability Review Issue 1, 2007
15/06/2007
Financial Stability Review, June 2007
18/04/2007
Large banks and private equity-sponsored leveraged buyouts in the EU
11/04/2007
Risk measurement and systemic risk. Fourth joint central bank research conference 8-9 November 2005
28/03/2007
Financial Integration in Europe, March 2007
15/02/2007
The EU arrangements for financial crisis managementEconomic Bulletin Issue 2, 2007
19/12/2006
Assessment of accounting standards from a financial stability perspective
11/12/2006
Key elements of business continuity managementFinancial Stability Review Issue 2, 2006
11/12/2006
Overview of the financial market infrastructureFinancial Stability Review Issue 2, 2006
11/12/2006
Hedging longevity riskFinancial Stability Review Issue 2, 2006
11/12/2006
Banks' hybrid capital instruments: financial stability implicationsFinancial Stability Review Issue 2, 2006
11/12/2006
Credit portfolio management practices and their implicationsFinancial Stability Review Issue 2, 2006
11/12/2006
Combining information on bank performanceFinancial Stability Review Issue 2, 2006
11/12/2006
Recovery swapsFinancial Stability Review Issue 2, 2006
11/12/2006
Implications for credit market liquidity of credit risk transfer instrumentsFinancial Stability Review Issue 2, 2006
11/12/2006
Gauging the extent of credit risk transfer through credit derivativesFinancial Stability Review Issue 2, 2006
11/12/2006
Bank write-offs/write-downs of private sector loans in the euro areaFinancial Stability Review Issue 2, 2006
11/12/2006
Vulnerabilities in open-end real state mutual fundsFinancial Stability Review Issue 2, 2006
11/12/2006
Hedge fund risk transparencyFinancial Stability Review Issue 2, 2006
11/12/2006
Financial market volatility - what caused the recent spike?Financial Stability Review Issue 2, 2006
11/12/2006
Are the external positions of the new eu member states excessive?Financial Stability Review Issue 2, 2006
11/12/2006
Potential regional housing market corrections in the United States: what role for state-level spillovers?Financial Stability Review Issue 2, 2006
11/12/2006
Recent developments regarding china and global imbalancesFinancial Stability Review Issue 2, 2006
11/12/2006
Identifying Large and Complex Banking Groups for Financial System Stability AssessmentFinancial Stability Review Issue 2, 2006
11/12/2006
The Information Content of CDS Index Tranches for Financial Stability AnalysisFinancial Stability Review Issue 2, 2006
11/12/2006
Explaining Episodes of Dynamic Credit Growth in Central and Eastern EuropeFinancial Stability Review Issue 2, 2006
11/12/2006
Assessing Systemic Risk in the European Insurance SectorFinancial Stability Review Issue 2, 2006
11/12/2006
The EU Arrangements for Financial Crisis ManagementFinancial Stability Review Issue 2, 2006
11/12/2006
Financial Stability Review, December 2006
09/11/2006
Financial development in central, eastern and south-eastern EuropeEconomic Bulletin Issue 11, 2006
07/11/2006
EU banking sector stability
25/10/2006
EU banking structures
23/10/2006
Recent developments in supervisory structures in EU and acceding countries
29/09/2006
Indicators of financial integration in the euro area
01/06/2006
The global search for yield and funding liquidity risks for hedge fundsFinancial Stability Review Issue 1, 2006
01/06/2006
Asymmetry and fat tails of the density of the euro area insurance and banking stock indicesFinancial Stability Review Issue 1, 2006
01/06/2006
Rating triggers in the reinsurance sectorFinancial Stability Review Issue 1, 2006
01/06/2006
Subordinated debt issues by euro area banksFinancial Stability Review Issue 1, 2006
01/06/2006
Downside risk in euro area bank stocksFinancial Stability Review Issue 1, 2006
01/06/2006
Survey on EU banks' large exposures to single-name corporatesFinancial Stability Review Issue 1, 2006
01/06/2006
Survey on EU banks'perception of the future EU banking landscapeFinancial Stability Review Issue 1, 2006
01/06/2006
Assessing the financial stability implications of recent findings from the ECB bank lending surveyFinancial Stability Review Issue 1, 2006
01/06/2006
How risk-tolerant are investors?Financial Stability Review Issue 1, 2006
01/06/2006
Developing market solutions to improve the functioning of credit derivativesFinancial Stability Review Issue 1, 2006
01/06/2006
Structural trends in the euro money marketFinancial Stability Review Issue 1, 2006
01/06/2006
Global and euro area corporate default ratesFinancial Stability Review Issue 1, 2006
01/06/2006
Assessing the quality of corporate earnings in the euro areaFinancial Stability Review Issue 1,
01/06/2006
Is corporate credit quality in the euro area nearing a turning point?Financial Stability Review Issue 1, 2006
01/06/2006
The spillover of the search for yield to non-traditional emerging market assetsFinancial Stability Review Issue 1, 2006
01/06/2006
Explaining the US income balanceFinancial Stability Review Issue 1, 2006
01/06/2006
Country-Level Macro Stress-Testing PracticesFinancial Stability Review Issue 1, 2006
01/06/2006
Assessing Banking System Risk with Extreme Value AnalysisFinancial Stability Review Issue 1, 2006
01/06/2006
What Drives EU Banks' Stock Returns? An Analysis Based on the Return Decomposition TechniqueFinancial Stability Review Issue 1, 2006
01/06/2006
Financial Stability Review, June 2006
11/05/2006
The contribution of the ECB and the Eurosystem to European financial integrationEconomic Bulletin Issue 5, 2006
19/01/2006
Hedge funds: developments and policy implicationsEconomic Bulletin Issue 1, 2006
08/12/2005
The Cpss-Iosco Recommendations For Central CounterpartiesFinancial Stability Review Issue 2, 2005
08/12/2005
The Oversight Of Retail Payment SystemsFinancial Stability Review Issue 2, 2005
08/12/2005
The oversight of swift: objectives, scope and structureFinancial Stability Review Issue 2, 2005
08/12/2005
Low interest rates and balance sheet vulnerabilities of life insurance companies and pension fundsFinancial Stability Review Issue 2, 2005
08/12/2005
Ageing population and longevity riskFinancial Stability Review Issue 2, 2005
08/12/2005
A decomposition of euro area bank stock volatilityFinancial Stability Review Issue 2, 2005
08/12/2005
Large EU banks' esposure to hedge fundsFinancial Stability Review Issue 2, 2005
08/12/2005
The syndicated loan market in the euro area matures into a distinct asset classFinancial Stability Review Issue 2, 2005
08/12/2005
Survey on major EU banks'perception of risks in the year aheadFinancial Stability Review Issue 2, 2005
08/12/2005
Assessing financial stability implications of recent findings from the ECB bank landing surveyFinancial Stability Review Issue 2, 2005
08/12/2005
Financial conditions of large euro area banksFinancial Stability Review Issue 2, 2005
08/12/2005
Developments in the european credit derivatives marketsFinancial Stability Review Issue 2, 2005
08/12/2005
Structural trends in the euro money marketFinancial Stability Review Issue 2, 2005
08/12/2005
The influence of mortage product innovations on risks to household debt sustainabilityFinancial Stability Review Issue 2, 2005
08/12/2005
Corporate earnings and sectoral exposure at risk in the euro areaFinancial Stability Review Issue 2, 2005
08/12/2005
Sectoral profit and leverage developments of euro area listed non-financial corporations: evidence based on micro dataFinancial Stability Review Issue 2, 2005
08/12/2005
The reform of the renminbi exchange rate regimeFinancial Stability Review Issue 2, 2005
08/12/2005
Credit deveolpments in the new non-euro area EU member statesFinancial Stability Review Issue 2, 2005
08/12/2005
Falling savings and risk debt in the household sector: a financial stability risk?Financial Stability Review Issue 2, 2005
08/12/2005
The recent surge in US share buybacks: causes and possible financial stability implicationsFinancial Stability Review Issue 2, 2005
08/12/2005
Measurement Challenges in Assessing Financial StabilityFinancial Stability Review Issue 2, 2005
08/12/2005
Financial Market ContagionFinancial Stability Review Issue 2, 2005
08/12/2005
Assessing the Financial Vulnerability of Mortgage-Indebted Euro Area Households Using Micro-Level DataFinancial Stability Review Issue 2, 2005
08/12/2005
What Determines Euro Area Bank Profitability?Financial Stability Review Issue 2, 2005
08/12/2005
Main Effects from the New Accounting Framework on BanksFinancial Stability Review Issue 2, 2005
08/12/2005
Central Counterparty Clearing Houses and Financial StabilityFinancial Stability Review Issue 2, 2005
08/12/2005
Financial stability review, December 2005
01/12/2005
The European Commission’s Green Paper on mortgage credit in the EU. Eurosystem contribution to the public consultation
25/11/2005
Large EU banks' exposures to hedge funds
17/11/2005
Green paper on the enhancement of the EU framework for investment funds. Eurosystem contribution to the Commission's public consultation
17/10/2005
EU banking sector stability
13/10/2005
Assessing the performance of financial systemsEconomic Bulletin Issue 10, 2005
07/10/2005
EU banking structures
30/09/2005
Indicators of financial integration in the euro area, September 2005
01/08/2005
Eurosystem contribution to the public consultation by the European Commission on the Green Paper on Financial Services Policy (2005-2010)
20/07/2005
Reply of the ECB to the public consultation by the CEBS on the consolidated financial reporting framework for credit institutions
31/05/2005
ESCB-CESR standards for securities settlemet systemsFinancial Stability Review Issue 1, 2005
31/05/2005
Clearing of over-the-counter (OTC) derivatives transactionsFinancial Stability Review Issue 1, 2005
31/05/2005
The core principles for systemically important payment systemsFinancial Stability Review Issue 1, 2005
31/05/2005
The reinsurance market and catastrophe bondsFinancial Stability Review Issue 1, 2005
31/05/2005
Distance to default as a measure of banking sector fragilityFinancial Stability Review Issue 1, 2005
31/05/2005
Option-based indicators of future risks in euro area banks stock pricesFinancial Stability Review Issue 1, 2005
31/05/2005
Measuring the interest rate risk of euro area banks using an asset pricing modelFinancial Stability Review Issue 1, 2005
31/05/2005
Financial stability implications of the new international financial reporting standardsFinancial Stability Review Issue 1, 2005
31/05/2005
Assessing financing conditions with the ECB bank lending surveyFinancial Stability Review Issue 1, 2005
31/05/2005
Corporate bond spreads and default expectations in the euro areaFinancial Stability Review Issue 1, 2005
31/05/2005
The extension of the euro yield curve to ultra-long maturitiesFinancial Stability Review Issue 1, 2005
31/05/2005
The narrowing of bid-offer spreads in money market instrumentsFinancial Stability Review Issue 1, 2005
31/05/2005
The external financing conditions of small and medium-sized enterprises in the euro areaFinancial Stability Review Issue 1, 2005
31/05/2005
Interest rate sensitivity of debt raised by non-financial corporations in the euro areaFinancial Stability Review Issue 1, 2005
31/05/2005
US Governement-Sponsored enterprises and systemic riskFinancial Stability Review Issue 1, 2005
31/05/2005
Hedge funds and the crowding of tradesFinancial Stability Review Issue 1, 2005
31/05/2005
US Current Account: interaction with the international investment position and adjustment channelsFinancial Stability Review Issue 1, 2005
31/05/2005
Assessing Financial Stability: Conceptual Boundaries and ChallengesFinancial Stability Review Issue 1, 2005
31/05/2005
Indicators of Financial Distress in Mature EconomiesFinancial Stability Review Issue 1, 2005
31/05/2005
Assessing the Determinants of Financial Distress in French, Italian and Spanish FirmsFinancial Stability Review Issue 1, 2005
31/05/2005
Has the European Collateralised Debt Obligations Market Matured?Financial Stability Review Issue 1, 2005
31/05/2005
Financial stability review, June 2005
12/05/2005
Consolidation and diversification in the euro area banking sectorEconomic Bulletin Issue 5, 2005
12/05/2005
The evolving framework for corporate governanceEconomic Bulletin Issue 5, 2005
22/02/2005
Review of the application of the Lamfalussy framework to EU securities markets legislation
10/02/2005
Bank market disciplineEconomic Bulletin Issue 2, 2005
31/01/2005
Banking structures in the new EU Member States
20/01/2005
The new Basel capital accord: main features and implicationsEconomic Bulletin Issue 1, 2005
15/12/2004
CPSS-IOSCO Recommendations for securities settlement systemsFinancial Stability Review Issue 2, 2004
15/12/2004
Business continuity in payment systemsFinancial Stability Review Issue 2, 2004
15/12/2004
Sources of risk in payment systemsFinancial Stability Review Issue 2, 2004
15/12/2004
The impact of Florida's hurricanes on the euro area insurance sectorFinancial Stability Review Issue 2, 2004
15/12/2004
Solvency and balance sheet restructuring in the euro area life insurance sectorFinancial Stability Review Issue 2, 2004
15/12/2004
Credit derivatives markets continue to grow rapidlyFinancial Stability Review Issue 2, 2004
15/12/2004
The distribution and management of prepayment risk in European mortgage marketsFinancial Stability Review Issue 2, 2004
15/12/2004
Interbank linkages in the euro areaFinancial Stability Review Issue 2, 2004
15/12/2004
A framework for macro-prudential analysisFinancial Stability Review Issue 2, 2004
15/12/2004
Net interest income and non-interest income in euro area banksFinancial Stability Review Issue 2, 2004
15/12/2004
The Bank Lending SurveyFinancial Stability Review Issue 2, 2004
15/12/2004
Structural trends in euro money marketsFinancial Stability Review Issue 2, 2004
15/12/2004
Assessing the interest rate sensitivity of household mortgage debt in the euro areaFinancial Stability Review Issue 2, 2004
15/12/2004
Hunt for yeld and corporate bond issuanceFinancial Stability Review Issue 2, 2004
15/12/2004
Macro-financial risks associated with rising oil pricesFinancial Stability Review Issue 2, 2004
15/12/2004
Factors underlying recent declines in implied volatilities across financial marketsFinancial Stability Review Issue 2, 2004
15/12/2004
Bond market developments and speculative positioning in the future marketsFinancial Stability Review Issue 2, 2004
15/12/2004
Turbulence in the Russian banking sectorFinancial Stability Review Issue 2, 2004
15/12/2004
Cross-Border Bank Contagion Risk in EuropeFinancial Stability Review Issue 2, 2004
15/12/2004
Growth of the Hedge Fund Industry: Financial Stability IssuesFinancial Stability Review Issue 2, 2004
15/12/2004
Securities Settlement Systems and Financial StabilityFinancial Stability Review Issue 2, 2004
15/12/2004
The Comprehensive Approach of Basel IIFinancial Stability Review Issue 2, 2004
15/12/2004
Aggregate EU Household Indebtedness: Financial Stability ImplicationsFinancial Stability Review Issue 2, 2004
15/12/2004
Financial Stability Review, December 2004
24/11/2004
Report on EU banking structure 2004
24/11/2004
EU banking sector stability 2004
11/11/2004
Developments in the EU framework for financial regulation, supervision and stabilityEconomic Bulletin Issue 11, 2004
08/07/2004
Accounting for the resilience of the EU banking sector since 2000Economic Bulletin Issue 7, 2004
08/07/2004
Accounting for the resilience of the EU banking sector since 2000
24/05/2004
Credit risk transfer by EU banks: activities, risks and risk management
12/02/2004
The impact of fair value accounting on the European banking sector - a financial stability perspectiveEconomic Bulletin Issue 2, 2004
02/12/2003
Comments of the ECB on the third consultative document of the European Commission on regulatory capital review
28/11/2003
Structural analysis of the EU banking sector, Year 2002
19/11/2003
EU banking sector stability
09/10/2003
The integration of Europe’s financial marketsEconomic Bulletin Issue 10, 2003
09/10/2003
Recent developments in financial structures of the euro areaEconomic Bulletin Issue 10, 2003
04/09/2003
The New Basel Capital Accord: reply of the European Central Bank to the third consultative proposals (CP3)
07/08/2003
Recent developments in the euro area banking sectorEconomic Bulletin Issue 8, 2003
18/06/2003
Developments in national supervisory structures
10/04/2003
A bank lending survey for the euro areaEconomic Bulletin Issue 4, 2003
22/03/2003
Memorandum of Understanding on the exchange of information among credit registers for the benefit of reporting institutions
12/02/2003
EU banking sector stability
16/11/2002
Structural analysis of the EU banking sector
08/08/2002
Recent developments and risks in the euro area banking sectorEconomic Bulletin Issue 8, 2002
28/05/2002
Developments in banks' liquidity profile and management
09/05/2002
International supervisory co-operationEconomic Bulletin Issue 5, 2002
08/11/2001
Fair value accounting in the banking sector: ECB comments on the "Draft standard and basis for conclusions - financial instruments and similar items" issued by the Financial Instruments Joint Working Group of Standard Setters
15/06/2001
The New Basel Capital Accord, Comments of the European Central Bank
17/05/2001
The new capital adequacy regime the ECB perspectiveEconomic Bulletin Issue 5, 2001
30/03/2001
The role of central banks in prudential supervision
20/12/2000
EU banks' margins and credit standards
20/12/2000
Mergers and acquisitions involving the EU banking industry - facts and implications
10/08/2000
Price and cost indicators for the euro area: an overviewEconomic Bulletin Issue 8, 2000
22/04/2000
EMU and banking supervisionEconomic Bulletin Issue 4, 2000
03/04/2000
EU banks' income structure
03/04/2000
Asset prices and banking stability
30/07/1999
The effects of technology on the EU banking systems
20/04/1999
Banking in the euro area: structural features and trendsEconomic Bulletin Issue 4, 1999
25/02/1999
Possible effects of EMU on the EU banking systems in the medium to long term