Special papers 2012

SP216: Maintaining Confidence - Understanding and preventing a major financial institution failure mode| [PDF]
David Murphy (December 2012)

SP215: BANK CAPITAL STANDARDS: A CRITICAL REVIEW| [PDF]
Rainer Masera (December 2012)
NB: Paper amended page 30, line11 (Feb14) transposition of 'assets' and 'liabilities'

SP214: A Coasean Approach to Bank Resolution Policy in the Eurozone| [PDF]
Gregory Connor, Brian O’Kelly (December 2012)

SP213: Banking Union: What Will It Mean for Europe?| [PDF]
Thomas F. Huertas (November 2012)

SP212: Adjustment Mechanisms in a Currency Area| [PDF]
C.A.E. Goodhart, D.J. Lee (October 2012)

SP211: Did the Globalization of Finance Undermine Financial Stability?| [PDF]
Hugo Banziger (June 2012)

SP210: TOWARDS A SUSTAINABLE BUSINESS MODEL - HOW FINANCIAL INSTITUTIONS HAVE TO CHANGE TO WIN BACK SOCIETY'S TRUST -|  [PDF]
Hugo Banziger (May 2012)

SP209: The Insufficiency of Traditional Safety Nets: What Bank Resolution Fund for Europe?| [PDF]
María J. Nieto, Gillian G. Garcia (May 2012)

SP208: A Race to the Top?| [PDF]
Thomas F. Huertas (April 2012)

SP207: Tackling the “Too Big To Fail” conundrum: Integrating market and regulation| [PDF]
Renato Maino (April 2012)

SP206: Time to Set Banking Regulation Right| [PDF]
Jacopo Carmassi, Stefano Micossi (April 2012)

SP205: Legal Aspects of Bank Bail-Ins| [PDF]
Simon Gleeson (January 2012)

Share:Facebook|Twitter|LinkedIn|