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Publications (203)
RSSAnalysis of the empirical relationship between bank risk and sovereign credit risk in the euro area – authored by Marcel Fratzscher and Malte Rieth.
Discussion paper on joint dynamics of public debt and public deficit levels in the euro area, 1981-2013 - Alberto Caruso, Lucrezia Reichlin, Giovanni Ricco
How do costs to bondholders compare under different bank resolution regimes?
Relationship between small firms' dependency on domestic banks and their vulnerability to global banking sector shocks - Mathias Hoffmann, Bent E. Sørensen
Marek Dabrowski (CASE Fellow, Center for Social and Economic Research, Warsaw) analyses three questions related to the EU/EMU integration infrastructure.
Charles Wyplosz applies federalism principles to crucial questions of fiscal policy, fiscal discipline and structural reforms in the EU.
A look at issues of democratic legitimacy involving the European Central Bank, Council, Commission, and Parliament by Vivien A. Schmidt.
Lecture notes revisiting evidence of declining public trust in the euro area and the link with unemployment by Felix Roth (University of Göttingen).
This paper investigates factors which may help to explain why household saving rates across the EU vary so significantly.
Paper on how pre-insolvency frameworks encourage entrepreneurship and soften the impact of deleveraging on financial stability and economic activity.