Blog
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Economic Risk Analysis, Economic and market analysis
Higher interest rates attract investors to euro area sovereign debt but pose challenges for public finances
Chief Economist Department, Financial Sector and Market Analysis
Mind the gap – how a European risk-sharing scheme could bolster private insurance coverage of natural catastrophes
Chief Economist Department, Economic and market analysis
A more resilient euro area navigates financial imbalances and macroeconomic instability
Financial Sector and Market Analysis, Funding and Investment, Policy Strategy and Institutional Relations