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Palais-Royal Initiative, Reform of the International Monetary System: A Cooperative Approach for the Twenty First Century (Jan. 18, 2011)

Susan Black and Anella Munro, Why Issue Bonds Offshore? BIS Working Papers No. 334 (Dec. 2010)

Richhild Moessner and William A. Allen, Banking crises and the international monetary system in the Great Depression and now, BIS Working Papers No. 333 (Dec. 2010)

Ross Levine, The governance of financial regulation: reform lessons from the recent crisis, BIS Working Papers No. 329 (Nov. 2010)

Ben Craig & Goetz von Peter, Interbank tiering and money center banks, BIS Working Paper No. 322 (Oct. 2010)

Anna L. Paulson & Kirstin E. Wells, Enhancing financial stability: The case of financial market utilities, Chicago Fed. Letter No. 279 (Oct. 2010)

Olivier de Schutter, UN Special Rapporteur on the Right to Food, Food Commodities Speculation and Food Price Crises (Sept. 2010)

Paul J. Hinton, Failed Bank Litigation NERA Economic Consulting (Aug. 16, 2010)

Ethan Cohen-Cole, Consumer Protection and Regulatory Changes in the Dodd-Frank Bill, NERA Economic Consulting (Sep. 1, 2010)

James Overdahl, Economic Analysis in the Federal Rule-Making Process to Implement the Dodd-Frank Wall Street Reform and Consumer Protection Act, NERA Economic Consulting (Aug. 30, 2010)

Jose Viñals, Jonathan Fiechter et al, The Making of Good Supervision: Learning to Say “No”, IMF Staff Position Note SPN/10/08 (May 18, 2010)

Stijn Claessens, Giovanni Dell’Ariccia, Deniz Igan & Luc Laeven, Lessons and Policy Implications from the Global Financial Crisis, IMF Working Paper No 10/44 (Feb. 2010)

Mardi Dungey et al., Are Financial Crises Alike?, IMF Working Paper WP/10/14 (Jan. 2010)

Deniz Igan, Prachi Mishra & Thierry Tressel, A Fistful of Dollars: Lobbying and the Financial Crisis, IMF Working Paper No. 09/287 (Dec. 28, 2009)

Allen B. Frankel, The risk of relying on reputational capital: a case study of the 2007 failure of New Century Financial, BIS Working Paper No 294 (Dec. 2009)

Black, J. & S. Jacobzone (2009), Tools for Regulatory Quality and Financial Sector Regulation: A Cross-Country Perspective, OECD Working Papers on Public Governance, No. 16, OECD Publishing, © OECD. doi:10.1787/218772641848

Randall S. Jones & Masahiko Tsutsumi, Financial Stability: Overcoming the Crisis and Improving the Efficiency of the Banking Sector in Japan, OECD Economics Department Working Papers No. 738, ECO/WKP(2009)79 (Dec. 4, 2009)

Rüdiger Ahrend, Jens Arnold & Fabrice Murtin, Prudential Regulation and Competition in Financial Markets, OECD Economics Department Working Papers No. 735, ECO/WKP(2009)76 (Dec. 1, 2009)

Isabelle Mateos y Lago, Rupa Duttagupta & Rishi Goyal, The Debate on the International Monetary System, IMF Staff Position Note, SPN/09/26 (Nov. 11, 2009)

John Kiff, et al, Credit Derivatives: Systemic Risks and Policy Options?, IMF Working Paper No. 09/254 (Nov. 1, 2009)

Davis Polk, A Guide to the Laws, Regulations and Contracts of the Financial Crisis (Sep. 2009)

Robert P. Flood, Nancy P. Marion & Akito Matsumoto, International Risk Sharing During the Globalization Era, IMF Working Paper 09/209 (Sep. 2009)

Harry Huizinga & Luc Laeven, Accounting Discretion of Banks During a Financial Crisis, IMF Working Paper 09/207 (Sep. 2009)

Michael R King, Time to buy or just buying time? The market reaction to bank rescue packages, BIS Working Papers No 288 (Sep. 2009)

Isabella Massa, Heidi Tavakoli, Dirk Willem te Velde, Nick Scott, Nick Highton and Ian Townsend, Overseas Development Institute, Report on the “Web-based” G-20 Consultations on the adaptability and responsiveness of the International Financial Institutions (Sep. 15, 2009)

William Francis & Matthew Osborne, Bank regulation, capital and credit supply: Measuring the impact of Prudential Standards, FSA Occasional Paper No. 36 (Sep. 2009)

David Erkens, Mingyi Hung & Pedro P. Matos, Corporate Governance in the 2007-2008 Financial Crisis: Evidence from Financial Institutions Worldwide (Aug. 2009)

Menzie Chinn & Jeffrey Frieden, Reflections on the Causes and Consequences of the Debt Crisis of 2008 19 La Follette Policy Report (Fall 2009)

Stephen G Cecchetti, Marion Kohler & Christian Upper, Financial Crises and Economic Activity (Aug. 2009)

Mansoor Dailami & Paul Masson, Measures of Investor and Consumer Confidence and Policy Actions in the Current Crisis, World Bank Policy Research Working Paper 5007 (Jul. 2009)

Adrian Blundell-Wignall, Paul Atkinson & Se Hoon Lee, Dealing with the Financial Crisis and Thinking about the Exit Strategy, Financial Market Trends, OECD (2009)

Bo Becker & Todd Milbourn, Reputation and Competition: Evidence from the Credit Rating Industry, Harvard Business School Working Paper 09-051 (Jun. 21, 2009)

Karel Lanoo, The Road Ahead after de Larosiere, CEPS Paper (Jun. 2009)

Michel Aglietta & Laurence Scialom, A Systemic Approach to Financial Regulation – European Perspective, CEPS Paper (Jun. 2009)

Reinventing Bretton Woods Committee, Building an International Monetary and Financial System for the 21st Century (2009)

Christian Capuano et al, Recent Advances in Credit Risk Modeling, IMF Working Paper WP/09/162 (Aug. 1, 2009)

Asli Demirguc-Kunt & Luis Serven, Are all the sacred cows dead ? implications of the financial crisis for macro and financial policies, World Bank Development Research Group, Policy Research Working Paper ; No. WPS 4807 (Jan. 2009)

Adrian Blundell-Wignall, Paul Atkinson & Se Hoon Lee, The Current Financial Crisis: Causes and Policy Issues, 95 Financial Market Trends (OECD 2008/2)

Gert Wehinger, Lessons from the Financial Market Turmoil: Challenges ahead for the Financial Industry and Policy Makers, 95 Financial Market Trends (OECD 2008/2)

Sebastian Schich, Financial Crisis: Deposit Insurance and Related Financial Safety Net Aspects, 95 Financial Market Trends (OECD 2008/2)

Joseph Stiglitz, Social Democratic Principles Towards a New Financial Architecture, Foundation for European Progressive Studies (Oct. 13, 2008)

Stephany Griffith-Jones & Jose Antonio Ocampo, Suggested Principles to guide EU-US collaboration on financial regulatory reform, Foundation for European Progressive Studies (Nov. 18, 2008)

The World Bank, Development Research Group, Lessons from World Bank research on financial crises, Policy Research Working Paper 4779 (Nov. 2008)

Luc Laeven & Fabian Valencia, The Use of Blanket Guarantees in Banking Crises, IMF Working Paper No. 08/250 (Oct. 1, 2008)

Nouriel Roubini, The shadow banking system is unravelling, Financial Times (Sept. 21, 2008)

Jaffee, Dwight M. and Perlow, Mark (2008) “Investment Banking Regulation After Bear Stearns,” The Economists’ Voice: Vol. 5 : Iss. 5, Article 1. Available at: http://www.bepress.com/ev/vol5/iss5/art1

Luci Ellis, The housing meltdown: Why did it happen in the United States?, BIS Working Paper No. 259 (Sept. 2008)

Alexandre Chailloux et al., Central Bank Response to the 2007-08 Financial Market Turbulence: Experiences and Lessons Drawn, IMF Working Paper No. 08/210 (Sept. 1, 2008)

Laura Kodres, A Crisis of Confidence . . . and a Lot More, 45 Finance and development (June 2008)

Adrian Blundell-Wignall, The Subprime Crisis: Size, Deleveraging and Some Policy Options, OECD Financial Market Trends (Apr. 2008)

Jacob Gyntelberg & Philip Wooldridge, Interbank rate fixings during the recent turmoil, BIS Quarterly Bulletin 59-72 (Mar. 2008)

Carmen M. Reinhart & Kenneth S. Rogoff, This Time Is Different: A Panoramic View of Eight Centuries of Financial Crises, NBER Working Paper No. 13882 (Mar. 2008)

Claudio Borio,The financial turmoil of 2007–?: a preliminary assessment and some policy considerations, BIS Working Papers No 251 (Mar. 2008)

John B. Taylor & John C Williams, A Black Swan in the Money Market Federal Reserve Bank of San Francisco, Working Paper 2008-04 (Apr. 2008)