FMG Special Papers
From Financial Markets Group
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- 2014: What Happened in Cyprus? The Economic Consequences of the Last Communist Government in Europe

- Athanasios Orphanides
- 2014: Rescues Violating the German Constitution:The Federal Court Decides on a Theory of Finance

- Adalbert Winkler
- 2014: A resolvable bank

- Thomas F. Huertas
- 2014: Competition and Credit Control

- C.A.E. Goodhart
- 2014: The ECB as Lender of Last Resort:Banks versus Governments

- Adalbert Winkler
- 2013: Lost at Sea:The Euro Needs a Euro Treasury

- Jörg Bibow
- 2013: Financial Regulation After the Crisis:How Did We Get Here, and How Do We Get Out?

- Gerard Caprio
- 2013: U.K. Monetary Policy: Observations on its Theory and Practice

- Henry Sgb
- 2013: Macro-Modelling, Default and Money

- Charles Goodhart,Dimitrios Tsomocos & Martin Shubik
- 2013: Can Regulation, Supervision & Surveillance save EuroLand

- Lief Pagrosky
- 2013: Too big to fail in Banking: What does it mean?

- George Kaufman
- 2013: Safe to Fail

- Thomas F. Huertas
- 2012: Maintaining Confidence

- David Murphy
- 2012: BANK CAPITAL STANDARDS: A CRITICAL REVIEW

- Rainer Masera
- 2012: A Coasean Approach to Bank Resolution Policy in the Eurozone

- Gregory Connor and Brian O’Kelly
- 2012: Banking Union: What Will It Mean for Europe?

- Thomas F. Huertas
- 2012: Adjustment Mechanisms in a Currency Area

- C.A.E. Goodhart and D.J. Lee
- 2012: Did The Globalization of Finance Undermine Financial Stability?

- Hugo Bänziger
- 2012: TOWARDS A SUSTAINABLE BUSINESS MODEL - HOW FINANCIAL INSTITUTIONS HAVE TO CHANGE TO WIN BACK SOCIETY'S TRUST -

- Hugo Bänziger
- 2012: The Insufficiency of Traditional Safety Nets: What Bank Resolution Fund for Europe?

- Maria J. Nieto and Gillian G. Garcia
- 2012: A Race to the Top?

- Thomas F. Huertas
- 2012: Tackling the “Too Big To Fail” conundrum: Integrating market and regulation

- Renato Maino
- 2012: Time to Set Banking Regulation Right

- Jacopo Carmassi and Stefano Micossi
- 2012: Legal Aspects of Bank Bail-Ins

- Simon Gleeson
- 2012: The Optimal Financial Structure

- C.A.E. Goodhart
- 2012: The Potential Instruments of Monetary Policy

- C.A.E. Goodhart
- 2012: “Theory anchors” explain the 1920s NYSE Bubble

- Ali Kabiri
- 2012: What should we do about (Macro) Pru? Macro Prudential Policy and Credit

- Ray Barrell and Dilruba Karim
- 2011: The Political Economy of European Monetary Union

- Bob Nobay
- 2011: The Macro-Prudential Authority: Powers, Scope and Accountability

- Charles Goodhart
- 2011: The European Collapse of 2012/13

- Charles Goodhart
- 2011: Minsky’s Financial Instability Hypothesis and the Leverage Cycle

- Sudipto Bhattacharya, Charles Goodhart, Dimitrios Tsomocos and Alexandros Vardoulakis
- 2011: The relationship between the objectives and tools of macroprudential and monetary policy

- David Green
- 2011: Fiscal Dominance and the Long-Term Interest Rate

- Philip Turner
- 2011: The U.S. political brawl over the causes of the crisis. Some Critical Comments

- Giorgio Szegö
- 2010: The Changing Role of Central Banks

- Charles Goodhart
- 2010: Twin Peaks: Experiences in the Netherlands

- Jeroen Kremers and Dirk Schoemaker
- 2010: The Road to Better Resolution: From Bail-Out to Bail In

- Thomas Huertas
- 2010: The new architecture of financial regulation: Will it prevent another crisis?

- Josef Ackermann
- 2010: Some help in understanding Britain's banking crisis, 2007-09

- Roger Alford
- 2010: The role of the IMF as a global financial authority

- Rosa Lastra
- 2010: Too big to fail- too big to manage

- Michael von Brentano
- 2010: British monetary targets 1976 to 1987: a view from the fourth floor of the Bank of England

- Anthony Hotson
- 2010: Crash 08 a regulatory debacle to be mended

- Giorgio Szego
- 2010: Resolution and contagion

- Thomas Huertas
- 2010: Central Bank co-operation and International liquidity in the financial crisis of 2008-09

- William Allen and Richhild Moessner
- 2009: Bankruptcy and reorganisation procedures for cross-border banks in the EU: Towards an integrated approach to the reform of the EU safety net

- Gillian G.H.Garcia, Rosa M. Lastra and Maria J. Nieto
- 2009: The Value of INterest Rate Forecasts?

- Goodhart C.A.e and Wen Bin Lim
- 2008: Cycles, Contagion and Crises

- Nikolaj Schmidt, Ashley Taylor, Charles Goodhart and Amil Dasgupta
- 2008: A Pragmatic Approach to the Phased Consolidation of Financial Regulation in the United States

- Howell Jackson
- 2008: The case for central bank liquidity provision as a public-private partnership

- Brandon Davies
- 2008: How, if at all, should Credit Ratings Agencies (CRAs) be Regulated?

- Charles Goodhart
- 2008: Should Monetary Policy Respond to Asset Price Bubbles? Revisiting the Debate

- Sushil Wadhwani
- 2008: Liquidity and Money Market Operations

- Charles Goodhart
- 2008: Risk, Uncertainty and Financial Stability

- Charles Goodhart
- 2008: The Regulatory Response to the Financial Crisis

- Charles Goodhart