New material 2006-9
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Davis E P (2010), "Asset prices and real economic activity" OECD Economics Department Working Paper no. 764
Barrell R, Davis E P, Karim D and Liadze I (2010), "Calibrating macroprudential policy", NIESR Discussion Paper No. 354
Barrell R, Davis E P, Karim D and Liadze I (2010), "The impact of global imbalances; does the current account balance help to predict banking crises in OECD countries", NIESR Discussion Paper No. 351
Davis E P (2009), "Financial Stability in the United Kingdom: Banking on Prudence" OECD Economics Department Working Paper no. 717
Barrell R, Davis E P, Fic T, Holland D, Kirby S, Liadze I (2009), "Optimal regulation of bank capital and liquidity: how to calibrate new international standards, FSA Occasional Paper No 38
Davis E P (2009) "The financial crisis, private and public debt - contrasting the approaches of economics and theology", draft paper for the Evangelical Alliance Study Group on "Life After Debt"
Davis E P and Karim D (2009), "Macroprudential regulation - the missing policy pillar" Keynote address at the Euroframe Conference, London, June 2009
Barrell R, Davis, E P, Fic T and Orazgani A (2009), "Household debt and foreign currency borrowing in New Member States of the EU", paper presented at the Euroframe Conference, London, June 2009
Davis E P and Obasi U (2009), "Deposit insurance systems and bank risk", Brunel University Working Paper
Davis E P and Obasi U (2009), "The effectiveness of banking supervision", Brunel University Working Paper
Barrell R, Davis E P, Karim D and Liadze I (2009), "Bank Regulation, Property Prices And Early Warning Systems For Banking Crises In OECD Countries", NIESR Discussion Paper No. 330
Barrell R, Davis E P and Pomerantz O (2009), "The Impact of EMU on Real Exchange Rate Volatility in EU countries", forthcoming, National Institute Economic Review
Davis, E Philip (2009), "The lender of last resort and liquidity provision- how much of a departure is the sub-prime crisis", paper presented at the LSE Financial Markets Group conference on the Regulatory Response to the Financial Crisis, 19th January 2009
Barrell R and Davis E P (2008), "The evolution of the financial crisis of 2007-8", National Institute Economic Review, 206, 5-14 and Brunel University Economics and Finance Working Paper No 08-25
Davis E P and Karim D (2008), "Could early warnings systems have helped to predict the subprime crisis?", National Institute Economic Review, 206, 25-37 and Brunel University Economics and Finance Working Paper No 08-27
Davis, E Philip (2008), "Liquidity, financial crises and lender of last resort - how much of a departure is the sub-prime crisis", paper presented at the Reserve Bank of Australia conference on "Lessons of the financial turmoil of 2007-8", 14-15 July 2008, Sydney
Davis E Philip and Yu-Wei Hu (2008), "Are Canadian pension funds disadvantaged by the current structure of portfolio regulations?" paper presented at the ICPM conference, Toronto, Canada, June 2008