Curbing the credit cycle D Aikman, AG Haldane, BD Nelson The Economic Journal 125 (585), 1072-1109, 2015 | 741 | 2015 |
Funding liquidity risk in a quantitative model of systemic stability D Aikman, P Alessandri, B Eklund, P Gai, S Kapadia, E Martin, N Mora, ... Bank of England working paper, 2009 | 314 | 2009 |
Taking uncertainty seriously: simplicity versus complexity in financial regulation D Aikman, M Galesic, G Gigerenzer, S Kapadia, K Katsikopoulos, ... Industrial and Corporate Change 30 (2), 317-345, 2021 | 174 | 2021 |
Would macroprudential regulation have prevented the last crisis? D Aikman, J Bridges, A Kashyap, C Siegert Journal of Economic Perspectives 33 (1), 107-130, 2019 | 169 | 2019 |
Mapping heat in the US financial system D Aikman, M Kiley, SJ Lee, MG Palumbo, M Warusawitharana Journal of Banking & Finance 81, 36-64, 2017 | 112 | 2017 |
Credit, capital and crises: a GDP-at-Risk approach D Aikman, J Bridges, S Hacioglu Hoke, C O'Neill, A Raja Bank of England Working Paper, 2019 | 81 | 2019 |
Monetary versus macroprudential policies: causal impacts of interest rates and credit controls in the era of the UK Radcliffe Report D Aikman, O Bush, AM Taylor National Bureau of Economic Research, 2016 | 76 | 2016 |
Bank capital, asset prices and monetary policy D Aikman, MO Paustian Bank of England working paper, 2006 | 71 | 2006 |
Rethinking financial stability D Aikman, AG Haldane, M Hinterschweiger, S Kapadia | 68 | 2019 |
Targeting financial stability: macroprudential or monetary policy? D Aikman, J Giese, S Kapadia, M McLeay ECB Working Paper, 2019 | 58 | 2019 |
Reputation, risk-taking, and macroprudential policy D Aikman, B Nelson, M Tanaka Journal of Banking & Finance 50, 428-439, 2015 | 57 | 2015 |
Measuring risks to UK financial stability D Aikman, J Bridges, S Burgess, R Galletly, I Levina, C O'Neill, A Varadi Bank of England working papers, 2018 | 54 | 2018 |
Uncertainty in macroeconomic policy-making: art or science? D Aikman, P Barrett, S Kapadia, M King, J Proudman, T Taylor, ... Philosophical Transactions of the Royal Society A: Mathematical, Physical …, 2011 | 53 | 2011 |
Credit, financial conditions, and monetary policy transmission D Aikman, A Lehnert, N Liang, M Modungno 62nd issue (June 2020) of the International Journal of Central Banking, 2020 | 50 | 2020 |
Financial vulnerabilities, macroeconomic dynamics, and monetary policy D Aikman, A Lehnert, N Liang, M Modugno Macroeconomic Dynamics, and Monetary Policy (July, 2016). FEDS Working Paper, 2016 | 48 | 2016 |
The long-term economic impact of higher capital levels J Schanz, D Aikman, P Collazos, M Farag, D Gregory, S Kapadia BIS Papers 60, 73-81, 2011 | 41 | 2011 |
Rethinking financial stability AG Haldane, D Aikman, S Kapadia, M Hinterschweiger Peterson Institute for International Economics, October 12th, mimeo, 2017 | 38 | 2017 |
Operationalising a macroprudential regime: goals, tools and open issues D Aikman, AG Haldane, S Kapadia Estabilidad Financiera/Banco de España, 24 (mayo 2013), p. 9-30, 2013 | 38 | 2013 |
System-wide stress simulation D Aikman, P Chichkanov, G Douglas, Y Georgiev, J Howat, B King Bank of England Working Paper, 2019 | 31 | 2019 |
The scarring effects of deep contractions D Aikman, M Drehmann, M Juselius, X Xing Bank of Finland Research Discussion Paper, 2022 | 29 | 2022 |