Articles, speeches and videos
Can better international co-operation help build a fairer global economy?, May 2017
Foreign direct investment, corruption and the OECD Anti-Bribery Convention, January 2017
Evaluating capital flow management measures used as macro-prudential tools, April 2016
Keeping capital flows orderly, December 2015
Building resilience to climate change risks at the level of cities and SMEs October 2015
The OECD’s Business and Finance Outlook looks at the Greatest Puzzle of Today, May 2015
Infrastructure versus other investments in the global economy and stagnation hypotheses: What do company data tell us?, January 2015
Freedom of choice, bitcoins and legal tender, August 2014
Problems in the International Financial System, August 2014
The Bitcoin Question: Currency versus Trust-less Transfer Technology, June 2014
Bank Business Models and the Separation Issue, November 2013
Bank Business Models and the Basel System: Complexity and Interconnectedness, November 2013
Capital Controls on Inflows, the Global Financial Crisis and Economic Growth: Evidence for Emerging Economies, November 2013
Macro-prudential Policy, Bank Systemic Risk and Capital Controls, 20 November 2013
Long-term investment, the cost of capital and the dividend and buyback puzzle, May 2013
Bank lending puzzles: Business models and the responsiveness to policy, May 2013
The Liikanen report on banking reform: A good try, but two major flaws, April 2013
Statement by Adrian Blundell-Wignall and Paul Atkinson to the German Bundestag's Finance Committee during the hearing on the draft bank-separation law, April 2013
Cyprus: Further compressing the coiled spring, March 2013
Business Models of Banks, Leverage and the Distance-to-Default, October 2012
, June 2012
Ratings Agencies Issues: Presentation to the French Senate, presentation to the French Senate on 27 March 2012
, 2 February 2012 (Article published in Bloomberg Brief: Economics Europe)
Solving the Financial and Sovereign Debt Crisis in Europe, February 2012
Bank competition and financial stability, August 2011
Global SIFIs, derivatives and financial stability, June 2011
House of Lords inquiry into credit rating agencies and EU sovereign debt - transcript of evidence, 24 May 2011
A market perspective on the European sovereign debt and banking crisis, February 2011
The EU Stress Test and Sovereign Debt Exposures, August 2010
Thinking beyond Basel III - Necessary solutions for capital and liquidity, May 2010
The Elephant in the Room: The Need to Deal with What Banks Do, January 2010
Fixing Finance - Origins of the financial crisis and requirements for reform, New America Foundation, 13 October 2009
The Financial Crisis: Reform and Exit Strategies, September 2009
The financial crisis and the requirements of reform, June 2009
Dealing with the crisis and thinking about the exit strategy, June 2009
The Current Financial Crisis: Causes and Policy Issues, January 2009
The sub-prime crisis: Causal distortions and regulatory reform, Australian Reserve Bank Conference on Lessons from the Financial Turmoil of 2007 and 2008, October 2008
Private equity et capitalisme français, Rapport n°75 du Conseil d’Analyse Economique, 9 July 2008 (in French only)
Subprime Crisis: Causes, Losses, Deleveraging & Policy, annual meeting of the Committee on Economics Affairs and Development of the Council of Europe Parliamentary Assembly, June 2008
Speech on financial market turbulence, June 2008
Sovereign wealth and pension fund issues, May 2008
The subprime crisis: size, deleveraging and some policy options, May 2008
Presentation on Sovereign Wealth and Pension Fund Issues, Global Pension Summit, China, 28-29 February 2008
Structured Products: Implications for Financial Markets, November 2007
An overview of hedge funds and structured products: Issues in leverage and risk, June 2007
The private equity boom: Causes and policy issues, June 2007
Speech on financial innovation and risks at OECD Forum 2007, 14-15 May 2007
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