Discussions

Demand-Driven Risk Premia in FX and Bond Markets
by I. Krohn, A. Uthemann, R. Vala & J. Yang · CEPR International Macroeconomics and Finance Programme, U Lausanne, 2025
Granular Expectation Shocks and International Financial Contagion
by K. Benhima, E. Bolliger & M. Davenport · Global Shocks, Macroeconomic Spillovers and Geopolitical Risks: Policy Challenges, EC, 2025
External Finance Premium: Market Finance versus Bank Finance
by L. Chitu, S. Gori & R. S. Gurkaynak · Worlds apart: international macro in a changing world, EUI, 2024
The Short Lags of Monetary Policy
by Buda, Carvalho, Corsetti, Duarte, Hansen, Moura, Ortiz, Rodrigo, Rodríguez Mora & Silva · New evidence on the monetary transmission mechanism workshop, Bank of England, 2024
Covered Interest Parity in Emerging Markets: Measurement and Drivers
by M. C. Dao & P.-O. Gourinchas · CEPR Paris Symposium, Banque de France, 2023
Natural Gas and the Macroeconomy: Not All Energy Shocks Are Alike
by P. Alessandri & A. Gazzani · Energy and Climate Change Workshop, Banca d'Italia, 2023
The inflationary effects of sectoral reallocation
by F. Ferrante, S. Graves & M. Iacoviello · 25th Annual DNB Research Conference "Inflation Strikes Back: Drivers and Policy Reactions", Sveriges Riksbank, 2022
ECB Euro Liquidity Lines
by S. Albrizio, I. Kataryniuk, L. Molina & J. Schäfer · Evaluating the monetary-policy toolkit: lessons for the future, Sveriges Riksbank, 2022
Global implications of multi-dimensional US monetary policy normalization
by G. Georgiadis & M. Jarociński · CEBRA, Barcelona, 2022
Getting in all the Cracks: Monetary Policy, Financial Vulnerabilities, and Macro Risk
by A. Ajello & T. Pike · Qatar Centre for Global Banking & Finance Conference, King's College, London, 2022
Global Drivers and Macroeconomic Volatility in EMs: A Dynamic Factor, General Equilibrium Perspective
by G. Bajraj, A. Fernández, M. Fuentes, B. García, J. Lorca, M. Paillacar & J. M. Wlasiuk · XXIV Annual Conference of the Central Bank of Chile, Online, 2021
Spillovers at the Extremes: Macroprudential Tools and Vulnerability to the Global Financial Cycle
by A. Chari, K. Dilts-Stedman & K. Forbes · BGSE Summer Forum - Financial Shocks, Channels, and Macro Outcomes, Online, 2021
Supply and Demand in Disaggregated Keynesian Economies with an Application to the COVID-19 Crisis
by D. Baqaee & E. Farhi · Closing the Gaps: The Future of Stabilisation Policies After the COVID-19 Pandemic, Online, 2021 · prepared but not discussed
Shocks and Exchange Rates in Small Open Economies
by V. Cormun & P. De Leo · 18th Workshop on Macroeconomic Dynamics: Theory and Application, Pavia University, 2019
International Financial Flows and Misallocation: Not So Harmful After All
by F. Hassan & F. Cingano · Fourth CEPR Annual Meeting of the International Macroeconomics Programme (IMF), ECB, 2019
Sovereigns at Risk
by N. Coimbra · NBER International Seminar on Macroeconomics (ISOM), Bank of England, 2019
Balance Sheets, Exchange Rates, and International Monetary Spillovers
by O. Akinci & A. Queralto · New Economics of Exchange Rate Adjustment, Cambridge, 2019
Understanding Global Confidence Cycles
by J. Ha, R. Huidrom, A. Kose, F. Ohnsorge & N. Sugawara · European Summer Symposium in International Macroeconomics (ESSIM), Norges Bank, 2018
Deconstructing monetary policy surprises: The role of information shocks
by M. Jarociński & P. Karadi · First Annual Workshop ESCB Research Cluster 1 on Monetary Economics, Banco de España, 2017
Has Globalization Really Increased Business Cycle Synchronization?
by E. Monnet & D. Puy · First CEBRA-IFM Annual Meeting, Bank of England, 2017
Credit Growth and the Financial Crisis: A New Narrative
by S. Albanesi, G. De Giorgi & J. Nosal · Housing, Housing Credit, and the Macroeconomy Conference, UCL, 2017
Financial Globalisation, Monetary Policy Spillovers and Macro-modelling: Tales from 1001 Shocks
by G. Georgiadis & M. Jančoková · CEBRA 2017 Annual Meeting, Ottawa, 2017
Does a big bazooka matter? Central bank balance sheet policies and exchange rates
by L. Dedola, G. Georgiadis, J. Gräb & A. Mehl · ESSIM 2017, Tarragona, 2017
What's News in International Business Cycles
by D. Siena · Theories and Methods in Macroeconomics (T2M), Lisbon, 2017
Multiple Equilibria in Open Economy Models with Collateral Constraints: Overborrowing Revisited
by S. Schmitt-Grohé & M. Uribe · Workshop on International Business Cycles, Banque de France, 2016
Financial Cycles with Heterogeneous Intermediaries
by N. Coimbra & H. Rey · Joint CCBS-MacCaLM Research Forum On Macro-Finance, Bank of England, 2016
Beggar-thy-neighbor? The international effects of ECB unconventional monetary policy measures
by K. Bluwstein & F. Canova · Workshop on Non-Standard Monetary Policy Measures, ECB, 2016
Cross-border bank flows, funding liquidity and house prices
by C. Banti & K. Phylaktis · EMG-ECB Workshop on Global Liquidity, Cass Business School, 2016
Disaster Risk and Preference Shifts in a New Keynesian Model
by M. Isoré & U. Szczerbowicz · Theories and Methods in Macroeconomics (T2M), Banque de France, 2016
Quantitative easing and bank risk taking: evidence from lending
by J. Kandrac & B. Schlusche · BdF-ScPo-SRC conference: Monetary policy and financial (in)stability, Banque de France, 2016
Interest Rates Fluctuations and Financial Frictions in Small Open Economies
by T. Monacelli, L. Sala & D. Siena · BdF-BoE International Macroeconomics Workshop, Banque de France, 2015