Financial stability Risks Chief Economist Department Economic and Market Analysis Yasin Mimir Lorenzo Ricci A more resilient euro area navigates financial imbalances and macroeconomic instability
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
ESG Financial stability Interest rates Regional Financing Arrangement Column Kalin Anev Janse Outside the box: World economy heads for soft landing amid uncertainty International Monetary Fund/World Bank meetings conclude New
Inflation Risks Financial stability Column Rolf Strauch Euronomics: Financial buffers and risks during the current credit tightening
Inflation Financial stability Chief Risk Officer Finance and Control Fabrizio Leucari Financial reporting – a tool to underpin financial stability in times of inflation
Inflation Inequality Fiscal policy Chief Economist Department Economic Risk Analysis Matthieu Bellon Matthias Gnewuch Building resilience in times of inflation-induced inequality
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
Enterprises Financial stability Inflation Risks Chief Economist Department Economic and Market Analysis Angela Capolongo Michael Kühl Vlad Skovorodov Firms’ profits: cure or curse?