Tobias Adrian
24 works on record
Works
Quantitative Model for the Integrated Policy Framework
Monetary and Macroprudential Policy with Endogenous Risk
Stress Testing at the IMF
Managing Macrofinancial Risk
Rise of Digital Money
Asset Purchases and Direct Financing
Non-U. S. Bank Demand for U. S. Dollar Assets
Risk Management and Regulation
"Low for Long" and Risk-Taking
Shadow Banking and Market-Based Finance
Quantitative Microfounded Model for the Integrated Policy Framework
Monitoring Framework for Global Financial Stability
Approaches to Climate Risk Analysis in FSAPs
Great Carbon Arbitrage
Medium-Scale DSGE Model for the Integrated Policy Framework
Term Structure of Growth-At-Risk
Advancing the Frontiers of Monetary Policy
Multi-Currency Exchange and Contracting Platform
Macro-Financial Stability in the COVID-19 Crisis
Rise of Payment and Contracting Platforms
Good Supervision
New Perspectives on Quantitative Easing and Central Bank Capital Policies
US Banking Sector since the March 2023 Turmoil
New Measure of Central Bank Independence