Reports, Podcasts and Comments
“Stabilising Financial Markets: Lending and Market Making as a Last Resort,” with Willem Buiter, Stephen Cecchetti and Antonio Sanchez Serrano, Reports of the Advisory Scientific Committee, European Systemic Risk Board, No 13, January 2023.[paper]. VoxEU, February 6, 2023 [column].
“Global Repercussions of the Strong Dollar,” EconoFact, October 19, 2022. [column]
“The Strong Dollar, and Why it Matters,” EconoFact, July 24, 2022. [podcast]
“Review of the EU Macroprudential Framework for the Banking Sector: Response to the call for advice,” (Fatima Silva, Michael Wedow et al.), European Systemic Risk Board, March 2022.[paper]
“Financial Stability Implications of Support Measures to Protect the Real Economy from the COVID-19 Pandemic,” (Claudia M. Buch et al.), European Systemic Risk Board Report, 16 February 2021.[paper]
“The Global Dimensions of Macroprudential Policy,” (Richard Portes et al.), Reports of the Advisory Scientific Committee, European Systemic Risk Board, No 10, February 2020.[paper].
“Book Review: Currency Conflict and Trade Policy: A New Strategy for the United States,” Journal of Economic Literature, Vol. LVI, December 2018, 1594-1596.[link]
“The Rise, Fall, and Resurrection of Iceland: A Postmortem Analysis of the 2008 Financial Crisis: A Comment,” Brookings Papers on Economic Activity, Fall 2017, 282-288.[link]