Building Resilience in Europe and Central Asia: A Smart Investment for Growth and Jobs

The data is clear: Investments in adaptation and resilience deliver high economic returns but remain insufficient and poorly targeted. Evidence shows that targeted, early investments
Geopolitics as a monetary shock: The ‘silent tightening’ in the European banking system

Geopolitical tensions have once again seized the centre stage of macroeconomic policy debates. From Russia’s ongoing war in Ukraine to instability in the Middle East,
AI for financial sector supervision: New evidence from emerging market and developing economies

AI offers opportunities to improve efficiency, inclusion, and oversight in the financial sector. This column shows, however, that AI adoption remains limited in most emerging
The financial sector and global dollar system

The current US administration’s approach to financial markets and institutions mixes familiar deregulatory policies with a range of other policies that are largely without precedent.

