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Publications published in 2023

18/12/2023
Towards macroprudential frameworks for managing climate risk
07/12/2023
ESRB risk dashboard, November 2023 (Issue 46)
15/11/2023
Intermediation in US and EU bond and swap markets: stylised facts, trends and impact of the coronavirus (COVID-19) crisis in March 2020
15/11/2023
The transmission of macroprudential policy in the tails: evidence from a narrative approach
05/10/2023
ESRB risk dashboard, September 2023 (Issue 45)
02/10/2023
The European significant risk transfer securitisation market
15/09/2023
Insurers’ investment behaviour and the coronavirus (COVID-19) pandemic
04/09/2023
Issues note on policy options to address risks in corporate debt and real estate investment funds from a financial stability perspective
01/08/2023
Quantitative easing, accounting and prudential frameworks, and bank lending
03/07/2023
ESRB Annual Report 2022
01/07/2023
Fear the Walking Dead? Zombie Firms in the Euro Area and Their Effect on Healthy Firms’ Credit Conditions
01/07/2023
The demand for long-term mortgage contracts and the role of collateral
29/06/2023
Corporate credit and leverage in the EU: recent evolution, main drivers and financial stability implications
29/06/2023
ESRB risk dashboard, June 2023 (Issue 44)
06/06/2023
EU Non-bank Financial Intermediation Risk Monitor 2023
25/05/2023
Crypto-assets and decentralised finance
11/04/2023
ESRB risk dashboard, March 2023 (Issue 43)
01/03/2023
The externalities of fire sales: evidence from collateralized loan obligations
01/03/2023
Financial fragility in open-ended mutual funds: the role of liquidity management tools
14/02/2023
Advancing macroprudential tools for cyber resilience
25/01/2023
Vulnerabilities in the EEA commercial real estate sector
24/01/2023
Stabilising financial markets: lending and market making as a last resort