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Research Handbook of Macroprudential Policy

Edited by David Aikman and Prasanna Gai

in Books from Edward Elgar Publishing

Abstract: This forward-looking Research Handbook provides a definitive overview of macroprudential policymaking. It sheds light on the analytical tools and conceptual frameworks that support contemporary financial stability regimes, and examines how leading central banks deploy measures from bank capital requirements and housing-credit limits to stress testing.

Keywords: Macroprudential Policy; Systemic Risk; Stress Testing; Non-Bank Financial Institutions; Digital Assets (search for similar items in EconPapers)
Date: 2026
ISBN: 9781035306206
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Downloads: (external link)
https://www.elgaronline.com/doi/10.4337/9781035306213 (application/pdf)

Chapters in this book:

Introduction to Research Handbook of Macroprudential Policy Downloads
David Aikman and Prasanna Gai
In search of a macroprudential loss function Downloads
Richard Barwell
Making banking safe Downloads
Stephen G. Cecchetti and Kermit L. Schoenholtz
Aggregate debt servicing and the limit on private credit Downloads
Mathias Drehmann, Mikael Juselius and Sarah Quincy
The causes and consequences of high household indebtedness: evidence from Korea Downloads
Hwan-Koo Kang and Kyeongtae Lee
The role of debt in financial crises: lessons from the past Downloads
Pedro Duarte Neves
Has macroprudential policy been effective? How can we know? Downloads
Erlend W. Nier
Housing and macroprudential policy Downloads
John Muellbauer
The effects of mortgage debt limits: lessons and questions from the Irish experience since 2015 Downloads
Edward Gaffney, Niamh Hallissey and Fergal McCann
Macroprudential policy and capital flows Downloads
Margaret Davenport, Filipa Sá and Tomasz Wieladek
Distributional consequences of borrower-based macroprudential tools Downloads
Jose-Luis Peydró, Francesc Rodriguez-Tous, Jagdish Tripathy and Arzu Uluc
Outlook-at-risk Downloads
Nina Boyarchenko
Multiple equilibria? Don’t panic! – a hitchhiker's guide to global games Downloads
Kartik Anand and Philipp J. König
Stress testing tools: where we stand and where to go? Downloads
Claudio Barbieri, Grzegorz Hałaj and Christoffer Kok
Towards a macroeconomic model of banking crises Downloads
Daisuke Ikeda and Hidehiko Matsumoto
Bank capital requirements and bank lending: from theory to empirics to policy Downloads
Saleem Bahaj, Chiara Lattanzio and Frederic Malherbe
Macroprudential governance: lessons from policies to mitigate housing market risks Downloads
Ryan Banerjee and Philip Wooldridge
Interaction of macroprudential and monetary policies: practice ahead of theory Downloads
Thibaut Duprey, Yaz Terajima and Jing Yang
Shadow banking Downloads
Nathaniel Butler Blondel and Guillaume Plantin
Macroprudential policy, monetary policy and non-bank financial intermediation Downloads
Margherita Giuzio, Sujit Kapadia, Christoph Kaufmann, Manuela Storz and Christian Weistroffer
US life insurers and systemic risk Downloads
Nathan Foley-Fisher, Nathan Heinrich and Stéphane Verani
Climate change, systemic risk, and macroprudential policy Downloads
Paul Hiebert
Climate risks in US housing and mortgage markets Downloads
Toàn Phan
Cryptocurrencies and decentralised finance: functions and financial stability implications Downloads
Matteo Aquilina, Giulio Cornelli, Jon Frost and Leonardo Gambacorta

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