Claudio E. V. Borio
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Claudio E. V. Borioeconomics Degrees
Economics
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#3136
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Monetary Economics
#56
World Rank
#57
Historical Rank
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Economics
Claudio E. V. Borio's Degrees
- PhD Economics Princeton University
- Masters Economics University of Geneva
- Bachelors Economics University of Geneva
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(Suggest an Edit or Addition)Claudio E. V. Borio's Published Works
Published Works
- Asset Prices, Financial and Monetary Stability: Exploring the Nexus (2002) (1707)
- Capital Regulation, Risk-Taking and Monetary Policy: A Missing Link in the Transmission Mechanism? (2008) (1591)
- The Financial Cycle and Macroeconomics: What Have We Learnt? (2012) (987)
- Procyclicality of the financial system and financial stability: issues and policy options (2001) (983)
- Towards a Macroprudential Framework for Financial Supervision and Regulation (2003) (769)
- Assessing the Risk of Banking Crises – Revisited (2009) (659)
- The Author Would like to Thank (1988) (625)
- Globalisation and Inflation: New Cross-Country Evidence on the Global Determinants of Domestic Inflation (2007) (580)
- Characterising the Financial Cycle: Don't Lose Sight of the Medium Term! (2012) (575)
- Global Imbalances and the Financial Crisis: Link or No Link? (2011) (549)
- Assessing the risk of banking crises (2002) (457)
- Securing Sustainable Price Stability: Should Credit Come Back from the Wilderness? (2004) (438)
- Unconventional Monetary Policies: An Appraisal (2009) (420)
- Anchoring Countercyclical Capital Buffers: The Role of Credit Aggregates (2011) (418)
- Whither Monetary and Financial Stability? The Implications of Evolving Policy Regimes (2004) (415)
- Towards an Operational Framework for Financial Stability: 'Fuzzy' Measurement and Its Consequences (2009) (392)
- The Influence of Monetary Policy on Bank Profitability (2015) (361)
- Countercyclical Capital Buffers: Exploring Options (2010) (336)
- Stress-Testing Macro Stress Testing: Does it Live Up to Expectations? (2012) (275)
- Rethinking Potential Output: Embedding Information About the Financial Cycle (2013) (271)
- What Can (Macro-) Prudential Policy do to Support Monetary Policy? (2007) (267)
- Exploring aggregate asset price fluctuations across countries: measurement, determinants and monetary policy implications (1994) (266)
- The Financial Turmoil of 2007-?: A Preliminary Assessment and Some Policy Considerations (2008) (265)
- Implementing a Macroprudential Framework: Blending Boldness and Realism (2011) (248)
- Attributing Systemic Risk to Individual Institutions (2010) (235)
- The Response of Short-Term Bank Lending Rates to Policy Rates: A Cross-Country Perspective (1995) (232)
- The Systemic Importance of Financial Institutions (2009) (185)
- Rediscovering the Macroeconomic Roots of Financial Stability Policy: Journey, Challenges and a Way Forward (2011) (183)
- A Tale of Two Perspectives: Old or New Challenges for Monetary Policy? (2003) (177)
- The implementation of monetary policy in industrial countries (1997) (170)
- Implementing the macroprudential approach to financial regulation and supervision (2009) (167)
- Labour Reallocation and Productivity Dynamics: Financial Causes, Real Consequences (2016) (161)
- Global Credit and Domestic Credit Booms (2011) (158)
- Unconventional Monetary Policies: A Re-Appraisal (2016) (152)
- Central Banking Post-Crisis: What Compass for Uncharted Waters? (2011) (152)
- Monetary Policy and Bank Lending in a Low Interest Rate Environment: Diminishing Effectiveness? (2017) (151)
- Towards a Macroprudential Framework for Financial Supervision and Regulation? (2003) (145)
- Covered Interest Parity Lost: Understanding the Cross-Currency Basis (2016) (136)
- Systemic risk, macroprudential policy frameworks, monitoring financial systems and the evolution of capital adequacy. (2012) (136)
- Monetary Policy, the Financial Cycle and Ultra-Low Interest Rates (2016) (135)
- Twin Peaks in Equity and Housing Prices (2004) (132)
- The Globalisation of Inflation: The Growing Importance of Global Value Chains (2017) (131)
- Monetary and Prudential Policies at a Crossroads? New Challenges in the New Century (2006) (131)
- Monetary Policy and Financial Stability: What Role in Prevention and Recovery? (2014) (122)
- The International Monetary and Financial System: Its Achilles Heel and What to Do About it (2014) (117)
- Market Distress and Vanishing Liquidity: Anatomy and Policy Options (2004) (109)
- Credit Characteristics and the Monetary Policy Transmission Mechanism in Fourteen Industrial Countries: Facts, Conjectures and Some Econometric Evidence (1996) (105)
- Monetary Policy Operating Procedures in Industrial Countries (1997) (100)
- The Failure of Covered Interest Parity: FX Hedging Demand and Costly Balance Sheets (2016) (99)
- Ten Propositions About Liquidity Crises (2009) (97)
- A Parsimonious Approach to Incorporating Economic Information in Measures of Potential Output (2014) (93)
- Market discipline across countries and industries (2004) (90)
- The Covid-19 economic crisis: dangerously unique (2020) (88)
- The Structure of Credit to the Non-Government Sector and the Transmission Mechanism of Monetary Policy: A Cross-Country Comparison (1995) (87)
- Leverage and financing of non-financial companies: an international perspective (1990) (83)
- Market liquidity and stress: selected issues and policy implications (2000) (82)
- To provision or not to provision (2001) (82)
- Capital Flows and the Current Account: Taking Financing (More) Seriously (2015) (82)
- Monetary and financial stability: Here to stay? (2006) (80)
- Assessing New Perspectives on Country Risk (2004) (73)
- Change and Constancy in the Financial System: Implications for Financial Distress and Policy (2007) (70)
- One Hundred and Thirty Years of Central Bank Cooperation: A Bis Perspective (2006) (68)
- Early Warning Indicators of Banking Crises: Expanding the Family (2018) (68)
- Is Monetary Policy Less Effective When Interest Rates are Persistently Low? (2017) (64)
- The Costs of Deflations: A Historical Perspective (2015) (63)
- The nature and management of payment system risks: an international perspective (1993) (60)
- The economics of recent bond yield volatility (1996) (57)
- Monetary Operations and the Financial Turmoil (2008) (55)
- Resolving the Financial Crisis: Are We Heeding the Lessons from the Nordics? (2010) (54)
- FX reserve management: trends and challenges (2008) (52)
- Accounting, Prudential Regulation and Financial Stability: Elements of a Synthesis (2005) (52)
- The International Monetary and Financial System: A Capital Account Historical Perspective (2014) (51)
- Bank Intermediation Activity in a Low Interest Rate Environment (2019) (51)
- The Great Financial Crisis: Setting priorities for new statistics (2013) (50)
- FX Swaps and Forwards: Missing Global Debt? (2017) (49)
- Risk Attribution Using the Shapley Value: Methodology and Policy Applications (2016) (47)
- The Changing Borders of Banking: Trends and Implications (1994) (46)
- Global Imbalances and the Financial Crisis: Reassessing the Role of International Finance (2010) (44)
- A hundred ways to skin a cat: comparing monetary policy operation procedures in the United States, Japan and the euro area (2001) (43)
- The Financial Cycle and Recession Risk (2018) (43)
- Monetary and Financial Stability: So Close and Yet So Far? (2005) (42)
- Back to the Future? Assessing the Deflation Record (2004) (41)
- Looking back at the international deflation record (2004) (40)
- Macroprudential frameworks: (too) great expectations? (2014) (37)
- On Money, Debt, Trust and Central Banking (2019) (36)
- FX reserve management: elements of a framework (2008) (34)
- The Past and Future of Central Bank Cooperation (2008) (34)
- Accounting and prudential regulation: from uncomfortable bedfellows to perfect partners? (2004) (33)
- Secular stagnation or financial cycle drag? (2017) (32)
- DeFi risks and the decentralisation illusion (2021) (31)
- The Anatomy of the Bond Market Turbulence of 1994 (1996) (29)
- What Anchors for the Natural Rate of Interest? (2019) (28)
- Allocating Systemic Risk to Individual Institutions Methodology and Policy Applications (2009) (28)
- Fiscal Sustainability and the Financial Cycle (2016) (27)
- On the centrality of the current account in international economics (2016) (25)
- Monetary Policy in the Grip of a Pincer Movement (2018) (24)
- Reflections on regulatory responses to the Covid-19 pandemic (2020) (23)
- Monetary Policy Hysteresis and the Financial Cycle (2019) (23)
- Macroprudential Policy and the Financial Cycle: Some Stylized Facts and Policy Suggestions (2014) (21)
- The search for the elusive twin goals of monetary and financial stability (2009) (21)
- Post-Crisis International Financial Regulatory Reforms: A Primer (2020) (20)
- On Time, Stocks and Flows: Understanding the Global Macroeconomic Challenges (2013) (20)
- Global and Domestic Financial Cycles: Variations on a Theme (2020) (20)
- toward an oPerational FraMework For Financial Stability : “ Fuzzy ” MeaSureMent and itS conSequenceS (2011) (19)
- Commercial paper markets: a survey (1993) (19)
- Risk in Financial Reporting: Status, Challenges and Suggested Directions (2006) (18)
- Revisiting Three Intellectual Pillars of Monetary Policy (2016) (18)
- Predicting Recessions: Financial Cycle versus Term Spread (2019) (17)
- Financial instability and macroeconomics: bridging the gulf (2009) (17)
- Towards a financial stability-oriented monetary policy framework? (2016) (16)
- Revisiting three intellectual pillars of monetary policy received wisdom (2015) (15)
- Cross-border links between banks and non-bank financial institutions (2020) (15)
- Attributing Systemic Risk to Individual Institutions 1 Methodology and Policy Applications (2010) (14)
- Macroprudential frameworks: experience, prospects and a way forward (2018) (13)
- The financial cycle and macroeconomics: what have we learned and what are the policy implications? (2014) (13)
- A blind spot in today's macroeconomics? (2018) (12)
- Systemic risk, Basel III, global financial stability and regulation. (2012) (11)
- Banks' involvement in highly leveraged transactions (1990) (11)
- Comparing monetary policy operating procedures in Indonesia, Korea, Malaysia and Thailand (2002) (11)
- Past and Future of Central Bank Cooperation: One Hundred and Thirty Years of Central Bank Cooperation: A BIS Perspective (2008) (10)
- The financial crisis: what implications for new statistics? (2011) (10)
- Can We Identify the Financial Cycle (2013) (8)
- Central Banking in Challenging Times (2019) (7)
- Forecasting recessions: the importance of the financial cycle (2020) (7)
- Retail payments in Latin America and the Caribbean: present and future (2020) (6)
- Monetary policy, relative prices and inflation control: flexibility born out of success (2021) (6)
- New loan provisioning standards and procyclicality (2019) (6)
- The banking industry: struggling to move on (2016) (5)
- More pluralism, more stability? (2016) (5)
- Covid-19 policy measures to support bank lending (2021) (5)
- Open-ended bond funds: systemic risks and policy implications (2021) (5)
- Monetary policy frameworks in EMEs: practice ahead of theory (2019) (4)
- Central bank cooperation and the BIS: An insider's perspective (2005) (4)
- Cross-border commercial real estate investment in Asia-Pacific (2020) (4)
- Populism, Economic Policies and Central Banking (2020) (4)
- Mind the buybacks, beware of the leverage (2020) (4)
- Funding for fintechs: patterns and drivers (2021) (4)
- Losing traction? The real effects of monetary policy when interest rates are low (2021) (3)
- Financial Arrangements, Soft Budget Constraints and Inflation: Lessons from the Yugoslav Experience (1990) (3)
- Back to the Future: Intellectual Challenges for Monetary Policy* (2021) (3)
- Non-bank lenders in the syndicated loan market 1 Non-bank lending is pervasive but less diversified than bank lending carry higher spreads, but are of similar amount and maturity The flight home effect among non-bank lenders (2022) (3)
- Do Contingent Rules Really Dominate Fixed Rules (1986) (2)
- BIS Quarterly Review, March 2017 - media briefing (2016) (2)
- Assessing the fiscal implications of banking crises (2020) (2)
- The anatomy of bond ETF arbitrage (2021) (2)
- The international monetary and financial system: a capital account perspective (2014) (2)
- Global Liquidity and Credit Booms (2014) (2)
- Financial instability and the real economy (1990) (2)
- BIS Quarterly Review, December 2017 - media briefing (2017) (1)
- Global growth: drivers and post-pandemic prospects 1 A framework for identifying growth drivers Scenarios based on green energy transition: orderly and disorderly In (2022) (1)
- BIS Papers No 40 FX reserve management : trends and challenges (2008) (1)
- Bank funding: evolution, stability and the role of foreign offices 1 (2022) (1)
- BIS Working Papers No 308 Attributing systemic risk to individual institutions (2010) (1)
- Comment: The payment and settlement systems (1995) (1)
- The systemic importance of financial institutions 1 (2009) (1)
- The international role of the euro: down but not out (2019) (1)
- Household debt : recent developments and challenges 1 (2017) (1)
- Navigating by r*: safe or hazardous? (2021) (1)
- INCOME-FINANCIAL AGGREGATES INTERACTIONS AND POLICY DESIGN: THE CASE OF ITALY(*) (1986) (1)
- Central Banks and Financial Stability: A Reflection after the Covid-19 Outbreak1 (2020) (1)
- A tale of two financial cycles: domestic and global (2019) (1)
- The linkages between taxation, private saving decisions, and financial intermediation: some international comparisons (1992) (1)
- Debt Maturity and the International Financial Architecture -- Olivier Jeanne -- July 1, 2004 -- IMF Working Paper No. 04/137 (2004) (1)
- A blind spot in today ’ s macroeconomics ? 1 (2018) (0)
- Macro-financial Stability Policy in a Globalised World: Lessons from International Experience (2022) (0)
- Borrower vulnerabilities, their distribution and credit losses 1 (2022) (0)
- Secular stagnation or financial cycle drag? (2017) (0)
- The internationalisation of EME currency trading 1 (2022) (0)
- Monetary and Fiscal Policy : Privileged powers , entwined responsibilities 1 (2021) (0)
- Online Appendix to “Why So Low for So Long? A Long-Term View of Real Interest Rates” (2022) (0)
- When the unconventional becomes conventional 1 (2020) (0)
- BIS Media Briefing 29 June 2020 - Annual Economic Report 2020 (2020) (0)
- BIS Working Papers Assessing the fiscal implications of banking crises (2020) (0)
- A new model for assessing the risk of banking crises (2016) (0)
- Low inflation and rising global debt: just a coincidence? (2018) (0)
- The Great Financial Crisis: Setting priorities for new statistics (2013) (0)
- Cross-Border Risk Sharing and International Coordination of Macro-Prudential and Monetary Policies.∗ (2019) (0)
- The post-Libor world: a global view from the BIS derivatives statistics (2022) (0)
- BIS Papers No 38 FX reserve management : elements of a framework (2008) (0)
- The geographical consequences of Basel III (2018) (0)
- Disscusion of 'Regulatory Policy Issues in Australia' (1996) (0)
- Where to from Here? Implementation, Implementation, Implementation (2013) (0)
- BIS Quarterly Review, March 2020 - media remarks (2020) (0)
- International Coordination of MacroPrudential and Monetary Policies . Enisse Kharroubi (2019) (0)
- Comment on "Financial Crisis and the Lost Decade" (2007) (0)
- Could Cryptocurrencies or CBDCs Replace the Recent Monetary Systems? (0)
- N ° 544 N ° 544 TOWARDS AN OPERATIONAL FRAMEWORK FOR FINANCIAL STABILITY : “ FUZZY ” MEASUREMENT AND ITS CONSEQUENCES (2010) (0)
- Wrap-up Discussion (2004) (0)
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