Toni Ahnert
Toni Ahnert
Research Advisor, Bank of Canada and Research Affiliate, CEPR
Verified email at bankofcanada.ca - Homepage
Title
Cited by
Cited by
Year
Information contagion and systemic risk
T Ahnert, CP Georg
Journal of Financial Stability 35, 159-171, 2018
392018
A Wake-up-call Theory of Contagion
C Bertsch, T Ahnert
Bank of Canada, 2015
38*2015
Macroprudential FX regulations: shifting the snowbanks of FX vulnerability?
T Ahnert, K Forbes, C Friedrich, D Reinhardt
Journal of Financial Economics, 2020
352020
Asset encumbrance, bank funding, and fragility
T Ahnert, K Anand, P Gai, J Chapman
The Review of Financial Studies 32 (6), 2422-2455, 2019
32*2019
Information choice and amplification of financial crises
T Ahnert, A Kakhbod
The Review of Financial Studies 30 (6), 2130-2178, 2017
32*2017
Rollover risk, liquidity and macroprudential regulation
T Ahnert
Journal of Money, Credit and Banking 48 (8), 1753-1785, 2016
272016
Seeking Safety: A Theory of Demandable Debt
T Ahnert, E Perotti
14*2019
Cheap but flighty: how global imbalances create financial fragility
T Ahnert, EC Perotti
CEPR Discussion Paper No. DP10502, 2015
14*2015
Opaque assets and rollover risk
T Ahnert, BF Nelson
Bank of Canada Staff Working Paper, 2016
8*2016
United Kingdom: Four Chancellors Facing Challenges
T Ahnert, R Hughes, K Takahashi
Chipping away at public debt: sources of failure and keys to success in …, 2012
72012
Bank runs, portfolio choice, and liquidity provision
T Ahnert, M Elamin
Journal of Financial Stability 50, 100781, 2020
3*2020
Covered bonds as a Source of Funding for banks’ mortgage portfolios
T Ahnert
Financial System, 37, 2018
32018
Trading for Bailouts
T Ahnert, C Machado, A Elisa Pereira
Bank of Canada, 2020
12020
Loan Insurance, Market Liquidity, and Lending Standards
T Ahnert, M Kuncl
CEPR Discussion Paper No. DP14458, 2020
12020
Bank Competition, Bank Runs and Opacity
T Ahnert, D Martinez-Miera
Mimeo, 2019
12019
Essays on financial crises, contagion and macro-prudential regulation
T Ahnert
The London School of Economics and Political Science (LSE), 2013
12013
Should Bank Capital Regulation Be Risk Sensitive?
T Ahnert, J Chapman, C Wilkins
Journal of Financial Intermediation, 100870, 2020
2020
Anticipated Financial Contagion
T Ahnert, CP Georg, G DuRand
2019 Meeting Papers, 2019
2019
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Articles 1–18