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