Extreme Risk Dependence

Evarist Stoja

Unorthodox monetary policy, local fiscal policy, and loan pricing

Michael Koetter

The Euro Repo Interbank Market

Angelo Ranaldo

Fear, Anger and Credit: On Bank Robberies and Loan Conditions

Steven Ongena

Global Asset Allocation Shifts

Andreas Schrimpf

Monetary Policy Propagation and Uncertainty

Esteban Prieto

When Arm’s Length Is Too Far: Relationship Banking over the Credit Cycle

Ralph de Haas

Search for Yield

Rafael Repullo

How Does My Country Grow? Economic Advice Through Story-telling

Brian Pinto

Smooth Trading with Overconfidence and Market Power

Albert S. (Pete) Kyle

Tobin's q Does Not Measure Firm Performance: Theory, Empirics, and Alternatives

Philip H. Dybvig

Early-warning signals of topological collapse in interbank networks

Iman van Lelyveld

The New European Commission’s Financial Regulatory Agenda

Nicolas Véron

Big Banks and Macroeconomic Outcomes: Theory and Cross-Country Evidence of Granularity

Franziska Bremus

When Variance Risk Has Two Prices: Evidence from the Equity and Option Markets

Aytek Malkhozov

Misspecified Recovery

Jose Scheinkman