Financial stability Backstop Climate change Insurance Chief Economist Department Financial Sector and Market Analysis Bernhard Mayr Mathias Skrutkowski Mind the gap – how a European risk-sharing scheme could bolster private insurance coverage of natural catastrophes
Greece Financial Sector and Market Analysis Funding and Investment Policy Strategy and Institutional Relations Paolo Fioretti Lluis Sanchis i Herrero Jürgen Klaus Greece is investment grade again – why it matters to keep it
Financial stability Chief Economist Department Financial Sector and Market Analysis Paolo Fioretti Mathias Skrutkowski Rolf Strauch Commercial real estate and financial stability – this time, it’s different
Financial stability Euro area Banks Risks Chief Economist Department Financial Sector and Market Analysis Nicoletta Mascher Juan Solé Rolf Strauch Fast and furious …but tameable: Lessons from the recent banking turmoil for the EU
Capital markets union Banks Financial markets Single Market Chief Financial Officer Financial Sector and Market Analysis Kalin Anev Janse Rolf Strauch Why Europe needs strong market making
Banks Lending Pandemic Crisis Financial Sector and Market Analysis Giulia Fusi Dóra Siklós Rolf Strauch Unlocking banks’ capacity to fund the recovery
Securitisation Banks Capital markets union Debt sustainability Financial Sector and Market Analysis Kalin Anev Janse Rolf Strauch Reviving securitisation in Europe for CMU
Pandemic COVID-19 Fixed-income Volatility Financial Sector and Market Analysis How ESM’s AAA bonds weathered the pandemic storm
European integration Regulation Capital markets union Single Market Savings Investments Financial Sector and Market Analysis Kalin Anev Janse Rolf Strauch European supervision fit for capital markets union