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Dawid Żochowski
Dawid Żochowski
Head of Section at the European Central Bank
Verified email at ecb.europa.eu
Title
Cited by
Cited by
Year
Financial fragility of euro area households
M Ampudia, H van Vlokhoven, D Żochowski
Journal of Financial Stability 27, 250-262, 2016
1552016
A macro stress testing framework for assessing systemic risks in the banking sector
J Henry, C Kok, A Amzallag, P Baudino, I Cabral, M Grodzicki, M Gross, ...
ECB Occasional Paper, 2013
1122013
STAMPE: Stress-Test Analytics for Macroprudential Purposes in the Euro Area
S Dees, J Henry, R Martin
Frankfurt: European Central Bank, 2017
64*2017
The impact of bank capital on economic activity-Evidence from a Mixed-Cross-Section GVAR model
M Gross, C Kok, D Żochowski
ECB working paper, 2016
35*2016
The role of stress testing in supervision and macroprudential policy
V Constâncio
Stress Testing and Macroprudential Regulation, 51, 2015
312015
Strategic groups and banks’ performance
G Halaj, D Zochowski
Financial Theory and Practice 33 (2), 153-186, 2009
31*2009
Principles of macroprudential policy
V Constâncio
Frankfurt: sn, 2016
302016
Financial stability risks, monetary policy and the need for macro-prudential policy
V Constâncio
Speech by Vitor Constancio, Vice-President of the ECB. Warwick Economic …, 2015
302015
The distribution and dispersion of debt burden ratios among households in Poland and its implications for financial stability
S Zajączkowski, D Żochowski
Proceedings of the IFC Conference on" Measuring the financial position of …, 2006
25*2006
Obciążenia gospodarstw domowych spłatami długu: rozkłady i stress testy-na podstawie badań budżetów gospodarstw domowych GUS
S Zajączkowski, D Żochowski
Narodowy Bank Polski. Departament Komunikacji Społecznej, 2007
192007
The international bank lending channel of unconventional monetary policy
J Gräb, D Żochowski
ECB Working Paper, 2017
152017
Simulating fire-sales in a banking and shadow banking system
S Calimani, G Hałaj, D Żochowski
ESRB: Working Paper Series, 2017
152017
Forecasting with Composite Coincident and Leading Indexes and the CLIMA Model: Case of Poland
P Białowolski
Warsaw School of Economics, 2007
13*2007
Bank funding costs and solvency
G Arnould, G Avignone, C Pancaro, D Żochowski
The European Journal of Finance, 1-33, 2021
122021
Simulating fire sales in a system of banks and asset managers
S Calimani, G Hałaj, D Żochowski
Journal of Banking & Finance, 105707, 2019
122019
Polska gospodarka w XX wieku
J Beksiak, T Gruszecki, U Grzelońska, J Papuzińska, D Żochowski
Literatura Łódź, 2003
12*2003
Cross-border effects of prudential regulation: Evidence from the euro area
D Żochowski, F Franch, L Nocciola
Journal of Financial Stability, 2021
11*2021
A new financial stability risk index to predict the near-term risk of recession
A Deghi, P Welz, D Żochowski
Financial Stability Review 1, 2018
102018
The risk premium channel and long-term growth
M Schumacher, D Żochowski
ECB Working Paper, 2017
92017
When shadows grow longer: shadow banking with endogenous entry
A Ari, M Darracq Pariès, C Kok, D Żochowski
ECB Working Paper, 2016
82016
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