05/07/2024 How banking union and capital markets union can help Europe finance the climate change challenge Chief Economist Department Investment and Treasury Wim Van Aken, Carlos Eduardo Martins Read more Banking union Capital markets union +1
06/11/2023 Mind the gap – how a European risk-sharing scheme could bolster private insurance coverage of natural catastrophes Chief Economist Department Financial Sector and Market Analysis Bernhard Mayr, Mathias Skrutkowski Read more Financial stability Backstop +2
25/10/2023 A more resilient euro area navigates financial imbalances and macroeconomic instability Chief Economist Department Economic and Market Analysis Yasin Mimir , Lorenzo Ricci Read more Financial stability Risks
21/08/2023 Building resilience in times of inflation-induced inequality Chief Economist Department Economic Risk Analysis Matthieu Bellon, Matthias Gnewuch Read more Inflation Inequality +1
10/08/2023 Commercial real estate and financial stability – this time, it’s different Chief Economist Department Financial Sector and Market Analysis Paolo Fioretti, Mathias Skrutkowski, Rolf Strauch Read more Financial stability
24/05/2023 Fast and furious …but tameable: Lessons from the recent banking turmoil for the EU Chief Economist Department Financial Sector and Market Analysis Nicoletta Mascher, Juan Solé, Rolf Strauch Read more Financial stability Euro area +2
12/05/2023 Firms’ profits: cure or curse? Chief Economist Department Economic and Market Analysis Angela Capolongo, Michael Kühl, Vlad Skovorodov Read more Enterprises Financial stability +2
31/03/2023 How much of last year’s unexpected revenue boon is explained by inflation? Chief Economist Department Economic Risk Analysis Silvia Calò, Robert Kraemer, Kamila Sławińska Read more Debt sustainability Inflation