Banks Interest rates Customers Financial Sector and Market Analysis Alessandra Donini Giulia Fusi Are banks’ profits here to stay?
Financial stability Backstop Climate change Insurance Chief Economist Department Financial Sector and Market Analysis Bernhard Mayr Mathias Skrutkowski Mind the gap – how a European risk-sharing scheme could bolster private insurance coverage of natural catastrophes
ESG Bonds Investments Funding and Investment Fernando Rodríguez ESM’s holistic approach to ESG and sustainable prosperity
Financial stability Macroeconomic imbalances Risks Chief Economist Department Economic and Market Analysis Yasin Mimir Lorenzo Ricci A more resilient euro area navigates financial imbalances and macroeconomic instability
Greece Financial Sector and Market Analysis Funding and Investment Policy Strategy and Institutional Relations Paolo Fioretti Lluis Sanchis i Herrero Jürgen Klaus Greece is investment grade again – why it matters to keep it
IMF Financial markets ESG RFA Stability Column Kalin Anev Janse Outside of the box: World economy heads for soft landing amid uncertainty International Monetary Fund/World Bank meetings conclude
Inflation Risks Financial stability Column Rolf Strauch Euronomics: Financial buffers and risks during the current credit tightening
Inflation Credit Valuation Stability Chief Risk Officer Finance and Control Fabrizio Leucari Financial reporting – a tool to underpin financial stability in times of inflation
Inflation Inequality Fiscal policy Chief Economist Department Economic Risk Analysis Matthieu Bellon Matthias Gnewuch Building resilience in times of inflation-induced inequality