Recent Top Papers (60 days)

As of: 29 Apr 2017 - 28 Jun 2017
Rank Paper Downloads
1.

The Fiscal-Monetary Policy Mix in the Euro Area: Challenges at the Zero Lower Bound

Massachusetts Institute of Technology (MIT) - Sloan School of Management
87
2.

What Marx Means Today

CESifo (Center for Economic Studies and Ifo Institute)
67
3.

Brexit: Options for Banks from the UK to Access the EU Market

Universite du Luxembourg - Faculty of Law, Economics and Finance
61
4.

Designing New Money - The Policy Trilemma of Central Bank Digital Currency

Copenhagen Business School
61
5.

Europe's CoCos Provide a Lesson on Uncertainty

Government of the United States of America - Office of Financial Research, Government of the United States of America - Office of Financial Research, Government of the United States of America - Office of Financial Research and Government of the United States of America - Office of Financial Research
59
6.

Monetary Policy and Currency Returns: The Foresight Saga

University of St. Gallen and University of Saint Gallen, School of Finance
57
7.

Mandatory Bank Disclosures and Credit Access

London Business School and London Business School
53
8.

Credit Information Sharing, Loan Loss Recognition Timeliness, and Financial Stability

London Business School and London Business School
48
9.

The Components of Private Debt Performance

EBS Universität für Wirtschaft und Recht, Prime Capital AG and EBS Universität für Wirtschaft und Recht
47
10.

Do Stress Tests Matter? Evidence from the 2014 and 2016 Stress Tests

European Central Bank (ECB), European Central Bank (ECB), European Central Bank (ECB) and European Central Bank (ECB)
45

All Time Top Papers

As of: 02 Jan 1997 - 28 Jun 2017
Rank Paper Downloads
1.

The Role of Basel II in the Subprime Financial Crisis: Guilty or Not Guilty?

Bank of Italy and European Banking Authority
7,511
2.

Fallacies, Irrelevant Facts, and Myths in the Discussion of Capital Regulation: Why Bank Equity is Not Socially Expensive

Stanford Graduate School of Business, Stanford Graduate School of Business, Max Planck Institute for Research on Collective Goods and Stanford Graduate School of Business
7,073
3.

The Financial Market Impact of Quantitative Easing

Bank of England - Monetary Analysis, Bank of England, Bank of England and Bank of England
5,447
4.

Crisis in the Eurozone and how to Deal with It

London School of Economics & Political Science (LSE)
4,952
5.

Walking Back from Cyprus

Cleary Gottlieb Steen & Hamilton LLP - New York Office and Duke University School of Law
4,193
6.

Sovereign Rating News and Financial Markets Spillovers: Evidence from the European Debt Crisis

International Monetary Fund (IMF), University of Maastricht - Department of Economics and International Monetary Fund (IMF) - International Capital Markets Department
4,003
7.

Basel III and Responding to the Recent Financial Crisis: Progress Made by the Basel Committee in Relation to the Need for Increased Bank Capital and Increased Quality of Loss Absorbing Capital

George Mason University
2,863
8.

The United Kingdom’s Quantitative Easing Policy: Design, Operation and Impact

Bank of England - Monetary Analysis, Bank of England and Bank of England
2,797
9.

Does Credit Securitization Reduce Bank Risk? Evidence from the European CDO Market

Goethe University Frankfurt - Finance Department and Faculty of Economics and Business Administration
2,666
10.

Investment Banks as Insiders and the Market for Corporate Control

University of Illinois at Chicago, INSEAD - Finance and Michigan State University - Eli Broad Graduate School of Management
2,658