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
Inflation Risks Financial stability Column Rolf Strauch Euronomics: Financial buffers and risks during the current credit tightening
Inflation Inequality Fiscal policy Chief Economist Department Economic Risk Analysis Matthieu Bellon Matthias Gnewuch Building resilience in times of inflation-induced inequality
Financial stability Chief Economist Department Financial Sector and Market Analysis Paolo Fioretti Mathias Skrutkowski Rolf Strauch Commercial real estate and financial stability – this time, it’s different
Financial stability Euro area Banks Risks Chief Economist Department Financial Sector and Market Analysis Nicoletta Mascher Juan Solé Rolf Strauch Fast and furious …but tameable: Lessons from the recent banking turmoil for the EU
Firm profits Profit margin Inflation Financial stability Risks Chief Economist Department Economic and Market Analysis Angela Capolongo Michael Kühl Vlad Skovorodov Firms’ profits: cure or curse?
Growth Financial conditions Risks Chief Economist Economic and Market Analysis Pilar Castrillo Martin Iseringhausen Rolf Strauch Financial stability and risks to growth in the euro area: where do we stand?
Debt sustainability Budgetary revenues Inflation Tax revenues Chief Economist Department Economic Risk Analysis Silvia Calò Robert Kraemer Kamila Sławińska How much of last year’s unexpected revenue boon is explained by inflation?
Economic fragmentation Euro area European integration Financial stability Fiscal Policy Strategy and Institutional Relations Secretary General Nicola Giammarioli Florian Misch Martin Rey A stability fund to enhance Europe’s fiscal framework