FMG Special Papers
From Financial Markets Group
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- 2007: The Emergence of Cross-Border Insurance Groups within Europe with Centralised Risk Management

- Otto Winkels, Dirk Schoenmaker and Sander Osterloo
- 2007: Liquidity Risk Management

- Charles Goodhart
- 2007: Analysis of Financial Stability

- Charles Goodhart and Dimitrios Tsomocos
- 2007: Prompt Corrective Action & Cross-Border Supervisory Issues in Europe

- Clas Wihlborg, Larry Wall, Maria. J Nieto, Thomas F. Huertas, Gillian G.H. Garcia, George G.Kaufman, David Mayes, Robert Eisenbeis and Rosa M. Lastra
- 2007: Whatever became of the Monetary Aggregates?

- Charles Goodhart
- 2007: Did NASDAQ market makers successfully collude to increase spreads? A reexamination of evidence from stocks that moved from NASDAQ to the New York or American Stock Exchanges

- John H. Harland and George J. Benston
- 2006: Is Forbearance always Bad? How can we test whether its use lessened the incidence of crises?

- Charles Goodhart
- 2006: Current State of Cross-Border Banking

- Christiaan van Laecke and Dirk Schoenmaker
- 2006: Searching for a Metric for Financial Stability

- Lea Zicchino, Dimitrios Tsomocos, Miguel Segoviano, Charles Goodhart and Oriol Aspachs Bracon
- 2006: Precondition for a Successful Implementation of Supervisors' Primpt Corrective Action: Is There a Case for a Banking Standard in the EU?

- Larry Wall and Maria Nieto
- 2006: Burden Sharing in a Banking Crisis in Europe

- Dirk Schoenmaker and Charles Goodhart
- 2005: China’s Banking Reform: Problems and Potential Solutions

- Xiaosong Zeng and Charles Goodhart
- 2005: The Future of Central Banking

- Charles Goodhart
- 2005: Politics and the Creation of a European SEC:The Optimal UK Strategy – Constructive Inconsistency

- Ruben Lee
- 2005: Defining and Achieving Financial Stability

- William Allen and Geoffrey Wood
- 2005: How Do We Achieve Regulatory Convergence In Practice?

- Callum McCarthy
- 2004: Per Jacobsson Lecture: Some New Directions for Financial Stability?

- Charles Goodhart
- 2004: Financial Supervision in an Integrating Europe: Measuring Cross-Border Externalities

- Sander Osterloo and Dirk Schoenmaker
- 2004: A speech by Sir Howard Davies 'Creating a Single Financial Market in Europe: What Do We Mean?'

- Sir Howard Davies
- 2004: A speech by Sir Andrew Large 'Financial Stability Oversight, Past & Present'

- Sir Andrew Large
- 2003: Central Banks and Supreme Courts

- Charles Goodhart and Ellen Meade
- 2003: The Challenge of European Integration for Prudential Policy

- Laurence Scialom and Michel Aglietta
- 2003: FCIs and Economic Activity:Some International Evidence

- Charles Goodhart and Boris Hofmann
- 2003: The IS Curve and the Transmission of Monetary Policy: Is there a Puzzle?

- Charles Goodhart and Boris Hofmann
- 2003: The Governance Structure for Financial Regulation and Supervision in Europe

- Rosa M. Lastra and Dr Rosa Lastra
- 2002: Market Regulation in a Dynamic Environment

- Stephen Wells, Charles Sutcliffe and John Board
- 2002: Financial Supervision: Which Model for Europe?

- Peter Wierts and Dirk Schoenmaker
- 2002: Money Laundering: A View from North America

- John Moscow
- 2002: Banking Regulation and Supervision in Japan

- Maximilian Hall
- 2002: Competition and Stability: What's Special about Banking?

- Philipp Hartmann and Elena Carletti
- 2002: Revisiting the Rationale for a Single National Financial Services Regulator

- Clive Briault
- 2002: Securities and Banking: Bridges and Walls

- Tommaso Padoa-Schioppa
- 2001: The ECB and the Euro Monetary Policy for a New Currency

- Professor Otmar Issing
- 2001: Operational Risk

- Charles Goodhart
- 2001: An Academic Response to Basel II

- Con Keating, Hyun Song Shin, Charles Goodhart and Jon Danielsson
- 2001: Two years into the Euro: The Next Step for Europe

- Stefan Colligon
- 2001: On Physics and Finance

- Jean-Pierre Zigrand
- 2000: The Organisational Structure of Banking Supervision

- Charles Goodhart
- 2000: The Emperor has no Clothes: Limits to Risk Modelling

- Jon Danielsson
- 2000: Can Central Banking Survive the IT Revolution?

- Charles Goodhart
- 2000: Monetary Transmission Lags and the Formulation of the Policy Decision on Interest Rates

- Charles Goodhart
- 2000: Financial Stability in the Euro Area: Some Lessons from US Financial History

- E Davis
- 1999: Observing the Observers: Monetary Policy Calls of British Newspapers Under the MPC Regime

- Boris Hofmann
- 1999: Myths About the Lender of Last Resort

- Charles Goodhart
- 1999: Recent Developments in Central Banking: Some Special Features of the Monetary Policy Committee and of the European System of Central Banks

- Charles Goodhart
- 1999: Managing Government Default Risk in Federal States

- Jan Lemmen
- 1999: The Vulnerability of Banks to Government default risk in the EMU

- Ivo Arnold and Jan Lemmen
- 1999: Life Without the Stability Pact

- Jan Lemmen
- 1999: Financial Crises: Plus ça change, plus cest la même chose

- P.J.R. Delargy
- 1998: Pension Fund Reform and European Financial Markets

- E Davis
- 1998: Excess Capacity in EU and US Banking Sectors - Conceptual, Measurement and Policy Issues

- E Davis and Sinikka Salo
- 1998: The Inflation Target Five Years On

- Mervyn Allister King
- 1998: Central Bankers and Uncertainty

- Charles Goodhart
- 1998: The Cost of Conservatism: Extreme Returns, Value-at Risk, and the Basle Multiplicaiton Factor

- Philipp Hartmann and Jon Danielsson
- 1997: Margin Requirements, Volatility, and Market Integrity: What Have We Learned Since The Crash?

- Paul Kupiec
- 1996: The Equivalence of Screen Based Continuous-Auction and Dealer Markets

- Ian Tonks
- 1996: The Future of the Euro as an International Currency: a Transactions Perspective

- Philipp Hartmann
- 1996: The Role of Institutional Investors in the Evolution of Financial Structure and Behaviour

- E Davis
- 1996: An Incentive Structure for Financial Regulation

- Charles Goodhart
- 1995: Capital Adequacy and Foreign Exchange Risk Regulation - Recent Developments in Industrial Countries

- Philipp Hartmann
- 1995: Financial Fragility in the Early 1990s - What Can Be Learnt from International Experience?

- E Davis
- 1995: Institutional Investors, Unstable Financial Markets and Monetary Policy

- E Davis
- 1995: Financial Globalisation, Derivatives, Volatility and the Challenge for the Policies of Central Banks

- Charles Goodhart
- 1995: European Monetary Integration

- Charles Goodhart
- 1994: European Monetary Union: A Progress Report

- Charles Goodhart
- 1994: An International Comparison of the Financing of Occupational Pensions

- E Davis
- 1994: Strategy and Tactics of Monetary Policy: Examples from Europe and the Antipodes

- José Viñals and Charles Goodhart
- 1993: Problems of Banking Regulation: An EC Perspective

- E Davis
- 1993: Central Bank Independence

- Charles Goodhart
- 1992: Institutional Separation between Supervisory and Monetary Agencies

- Dirk Schoenmaker
- 1992: Banking and Industry in Japan

- Michio Morishima