EU financing EU budget Policy Strategy and Institutional Relations Martin Rey Matjaž Sušec Europe’s common financial response to challenges: what has already been done
Climate change Risks Financial stability Economic Risk Analysis Economic and Market Analysis Matthieu Bellon Martin Iseringhausen Bernhard Mayr Assessing climate risks at the ESM
Capital markets union Banking Credit EU Chief Economist Chief Financial Officer Kalin Anev Janse Rolf Strauch How capital market finance can boost European businesses
Bank run Social media Technology Financial Sector and Market Analysis Juan Solé WANTED: an updated understanding of bank runs
Interest rates Debt sustainability Bonds Financial markets Economic Risk Analysis Economic and Market Analysis Ermal Hitaj Gergely Hudecz Alexandre Lauwers Higher interest rates attract investors to euro area sovereign debt but pose challenges for public finances
Banks Interest rates Customers Financial Sector and Market Analysis Alessandra Donini Giulia Fusi Are banks’ profits here to stay?
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
ESG Bonds Investments Funding and Investment Fernando Rodríguez ESM’s holistic approach to ESG and sustainable prosperity
Financial stability Macroeconomic imbalances Risks Chief Economist Department Economic and Market Analysis Yasin Mimir Lorenzo Ricci A more resilient euro area navigates financial imbalances and macroeconomic instability