session_2.1.2_discussion_-_cyril_pouvelle.pdf

EBA 2025 Policy Research Workshop discussion on the impact of open banking and data sharing on loan collateralization for UK SMEs, analyzing the UK’s Commercial Credit Data Sharing scheme and its effects using theoretical models and empirical validation.

session_2.2.2_discussion_-_tamas_vadasz.pdf

EBA 2025 Policy Research Workshop discussion on Open Banking (PSD2) effects on FinTech firms, analysing Spanish data to assess performance, revenue growth, and funding shifts from bank debt to equity using a difference-in-differences framework.

session_3.1.2_discussion_-_daniel_rabetti.pdf

Analysis by Harvard Business School on CBDC design tradeoffs and their impact on bank capital regulation, focusing on deposit flight risks, financial stability, and policy implications for the ECB’s digital euro project using a DSGE model calibrated to the euro area.

session_3.2.2_discussion_-_eric_vansteenberghe.pdf

European Banking Authority discussion paper analysing foreign-borne interest rate risk in U.S. banks, focusing on how foreign deposits influence monetary policy transmission, funding structures, and reserve requirements, with insights on global funding effects.

session_3.3.2_discussion_-_jorge_bravo.pdf

Analysis by NOVA IMS and EBA-affiliated researcher Jorge Miguel Bravo on risks in short-term funding markets, focusing on U.S. tri-party repo disruptions, cyber threats, liquidity gaps, and policy implications for financial stability and monetary transmission.

session_4.1.2_discussion_-_mohammed_ahnouch.pdf

Study by National Bank of Belgium and Tilburg University analysing supply chain spillovers of private equity buyouts in Belgium (2002-2022), assessing effects on suppliers' sales, employment, and markups with empirical evidence from production network data.

session_4.2.2_discussion_-_olli_castren.pdf

EBA discussion paper analysing the impact of uninsurable business risk on SME growth, comparing credit constraints and risk-sharing mechanisms, with policy implications for financing reforms and institutional risk-sharing frameworks.

session_5.2.2_discussion-_aida_cehajic.pdf

EBA 2025 Policy Research Workshop discussion on green vs conventional bonds during market stress, analysing risk transmission, safe-haven properties, and systemic risk implications using DNS and TVP-VAR models amid crises like COVID-19 and the Russia-Ukraine war.

Peer review on Gender Diversity

EBA peer review assessing how national competent authorities integrate and supervise gender diversity policies in credit institutions, covering benchmarking, data collection, remuneration, internal governance, and follow-up measures under EBA guidelines.

MREL Dashboard - Q2 2025

EBA MREL Dashboard Q2 2025 – reports on minimum requirement for own funds and eligible liabilities (MREL) across EU banks, covering resolution planning, external and internal MREL levels, shortfalls, and resources by institution type and member state.

3.2._rashad_ahmed_new.pdf

EBA paper analysing foreign deposit betas of US banks, showing foreign deposits are 20 percentage points more sensitive to US monetary policy than domestic deposits, increasing banks' net interest rate risk and affecting financial stability and cross-border spillovers.

4.2._gorea_denis_new.pdf

Study by the Bank for International Settlements and academics analysing the macroeconomic impact of uninsurable business risk on private firms, showing risk causes larger efficiency losses than credit constraints, using firm-level data and a model of entrepreneurial dynamics.