Xavier Freixas, (Ph D. Toulouse 1978) is Professor at Universitat Pompeu Fabra in Barcelona (Spain) and Research Fellow at CEPR. He is past President of the European Finance Association and has previously been Chairman of the Risk Based Regulation Program of the Global Association of Risk Professionals (GARP), Deutsche Bank Professor of European Financial Integration at Oxford University, Houblon Norman Senior Fellow of the Bank of England and Joint Executive Director Fundación de Estudios de EconomÃa Aplicada FEDEA), 1989-1991, Professor at Montpellier and Toulouse Universities.He has published a number of papers in the main economic and finance journals (Journal of Financial Economics, Review of Financial Studies, Econometrica, Journal of Political Economy, etc.). He has been a Consultant for the European Investment Bank, the New York Fed, the European Central Bank, the World Bank, the Interamerican Development Bank, and the European Investment Bank.He is Associate Editor of Journal of Financial Intermediation, Review of Finance, and Journal of Banking and Finance. His research contributions deal with the issues of payment systems risk, contagion and the lender of last resort and systemic risk. He is well known for his research work in the banking area, that has been published in the main journals in the field, as well as for his book Microeconomics of banking (MIT Press, 1997), co-authored with Jean-Charles Rochet.
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The cost of screening and the allocation of credit by public development banks
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- Institutions and economics
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Systemic risk, crises, and macroprudential regulation
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- Macroeconomic policy
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Towards a new framework for bank resolution
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- International Finance
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Disclosure, transparency, and market discipline
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- International Finance
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Bailing out the banks: Reconciling stability and competition
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