Skip to main content
Home
menu

Header Quick Links

  • About the Centre
  • Research Projects
  • Contact us
menu

Main navigation

  • People
  • Publications
  • Events
  • Seminars
  • News
menu

Header Quick Links

  • About the Centre
  • Research Projects
  • Contact us

  

search

Publications

The Centre has a regular discussion paper series dedicated to academic research, as well as a special paper series focused on policy analysis. In addition, affiliated researchers publish a variety of books, reports and opinion pieces.

scroll-down

Opinion Pieces

The case against aggressive government action on crypto

The financial regulators have recently taken an active interest in cryptocurrencies, more than a decade after their law enforcement counterparts did...

March 2023
Jón Danielsson

Opinion Pieces

What Silicon Valley Bank and Credit Suisse tell us about financial regulations

The downfall of Silicon Valley Bank and Credit Suisse has exposed failures in how we regulate the financial system. This column argues that the...

March 2023
Jón Danielsson
Charles Goodhart

Opinion Pieces

Lessons from the collapse of Silicon Valley Bank

The collapse of Silicon Valley Bank shows that banks still pose risks. Are they systemic? Jon Danielsson, Robert Macrae, and Nikola Tchouparov write...

March 2023
Jón Danielsson
Robert Macrae
Nikola Tchouparov

Opinion Pieces

The illusion of control: why the financial sector is more vulnerable than ever to a financial crisis

Reforms following the global financial crisis of 2008 were supposed to create a less risky financial world. But has a one-size-fits all approach to...

January 2023
Jón Danielsson

Opinion Pieces

Cultural Stereotypes of Multinational Banks

Financial markets, even more than other markets, run on trust. This column uses hand-collected data on banks’ investments in European sovereign debt...

December 2022
Orkun Saka
Barry Eichengreen

Research highlight

Academic journals

The Impact of Risk Cycles on Business Cycles: A Historical View

The Review of Financial Studies, 36(7), 2922–2961

December 2022
Jón Danielsson
Marcela Valenzuela
Ilknur Zer

Research highlight

Academic journals

Bayesian Solutions for the Factor Zoo: We Just Ran Two Quadrillion Models

Journal of Finance, 78 (1), 487-557

December 2022
Svetlana Bryzgalova
Jiantao Huang
Christian Julliard

Academic journals

A fixed point theorem for measurable selection valued correspondences induced by upper Caratheodory correspondences

Journal of Fixed Point Theory and Applications, 25, 2

December 2022
Jing Fu
Frank Page

Research highlight

Academic journals

Financial transaction taxes and the informational efficiency of financial markets: A structural estimation

Journal of Financial Economics 146(3), 1044-1072

December 2022
Marco Cipriani
Antonio Guarino
Andreas Uthemann

Opinion Pieces

The beginning of the end for cryptocurrencies

Cryptocurrencies have enjoyed a remarkable run from obscurity to a trillion dollar valuation in just over a decade. This column argues, however, that...

November 2022
Jón Danielsson

Discussion Papers

Cultural Stereotypes of Multinational Banks

Using hand-collected data spanning more than a decade on European banks’ sovereign debt portfolios, we show that the trust of residents of a bank’s...

November 2022
DP 123
Barry Eichengreen
Orkun Saka

Special Papers

ASC Insight: Bank capital regulation and climate change

Climate change has become a major topic of discussion at central banks and financial regulators. Key aspects of this debate include whether and how...

November 2022
Martin Oehmke

Opinion Pieces

The illusion of control

Global macroprudential and microprudential regulatory changes since 2008 have been designed to make a repeat of a systemic crisis much less likely...

November 2022
Jón Danielsson

Academic journals

Layered Networks, Equilibrium Dynamics, and Stable Coalitions

Dynamic Games and Applications, 13, 636–668

October 2022
Jing Fu
Frank Page
Jean-Pierre Zigrand

Academic journals

Epidemic Exposure, Financial Technology, and the Digital Divide

Journal of Money, Credit and Banking, 54 (7), 1913-1940

October 2022
Orkun Saka
Barry Eichengreen
Cevat G. Aksoy

Opinion Pieces

Liz Truss has an opportunity to fix a critical financial regulation flaw

Effective financial markets provide the foundation for a highly productive and stable economy, but no UK regulator is responsible for the overall...

September 2022
Kevin James

Pagination

  • First page ⏴⏴
  • Previous page ⏴
  • Page 1
  • Page 2
  • Current page 3
  • Page 4
  • Page 5
  • Page 6
  • Page 7
  • Page 8
  • Page 9
  • …
  • Next page ⏵
  • Last page ⏵⏵

menu

Content Bottom Menu [SRC]

  • About
  • People
  • Contact
  • Support Us

  

LSE Logo

 

UKRI logo
UCL Logo

News

Mike Burkart - Winner of the 2025 ECGI Finance Series Prize

LSE announces launch of an Initiative in Sustainable Finance

Vacancy: Research Assistant in Finance

View all News

Events

The Fifth Annual International Research Conference on Securi ...

Payment Systems Matter: Competition, Innovation, Stability, ...

5th LSE Workshop on Political Economy of Turkey

View all Events

Seminars

The Origins of Commodity Price Fluctuations

Idiosyncratic Volatility and the ICAPM

Pricing Event Risk: Evidence from Concave Implied Volatility ...

View all Seminars

Publications

Financial instability transition under heterogeneous investm ...

India’s Unified Payments Interface (UPI) system and its tran ...

Artificial intelligence and stability

View all Publications

© 2025 Financial Markets Group

- Web Designers - KD Web

menu

Footer menu

  • Privacy policy