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Sujit Kapadia
Sujit Kapadia
Verified email at bankofengland.co.uk
Title
Cited by
Cited by
Year
Contagion in financial networks
P Gai, S Kapadia
Proceedings of the Royal Society A: Mathematical, Physical and Engineering …, 2010
17122010
Complexity, concentration and contagion
P Gai, A Haldane, S Kapadia
Journal of Monetary Economics 58 (5), 453-470, 2011
10102011
Funding liquidity risk in a quantitative model of systemic stability
D Aikman, P Alessandri, B Eklund, P Gai, S Kapadia, E Martin, N Mora, ...
Bank of England working paper, 2009
3162009
News and narratives in financial systems: exploiting big data for systemic risk assessment
R Nyman, S Kapadia, D Tuckett
Journal of Economic Dynamics and Control 127, 104119, 2021
2112021
Size and complexity in model financial systems
N Arinaminpathy, S Kapadia, RM May
Proceedings of the National Academy of Sciences 109 (45), 18338-18343, 2012
1952012
A network model of financial system resilience
K Anand, P Gai, S Kapadia, S Brennan, M Willison
Journal of Economic Behavior & Organization 85, 219-235, 2013
1712013
Towards a framework of quantifying systemic stability
P Alessandri, P Gai, S Kapadia, N Mora, C Puhr
Eighteenth issue (September 2009) of the International Journal of Central …, 2018
1642018
Taking uncertainty seriously: simplicity versus complexity in financial regulation
D Aikman, M Galesic, G Gigerenzer, S Kapadia, K Katsikopoulos, ...
Industrial and Corporate Change 30 (2), 317-345, 2021
1602021
Financial innovation, macroeconomic stability and systemic crises
P Gai, S Kapadia, S Millard, A Perez
The Economic Journal 118 (527), 401-426, 2008
1432008
The credit‐to‐GDP gap and complementary indicators for macroprudential policy: Evidence from the UK
J Giese, H Andersen, O Bush, C Castro, M Farag, S Kapadia
International Journal of Finance & Economics 19 (1), 25-47, 2014
1132014
Making text count: economic forecasting using newspaper text
E Kalamara, A Turrell, C Redl, G Kapetanios, S Kapadia
Journal of Applied Econometrics 37 (5), 896-919, 2022
1092022
Rethinking financial stability
D Aikman, AG Haldane, M Hinterschweiger, S Kapadia
100*2019
Credit growth, the yield curve and financial crisis prediction: Evidence from a machine learning approach
K Bluwstein, M Buckmann, A Joseph, S Kapadia, Ö Şimşek
Journal of International Economics 145, 103773, 2023
982023
Liquidity risk, cash-flow constraints and systemic feedbacks
S Kapadia, M Drehmann, J Elliott, G Sterne
Bank of England, 2012
922012
Macroprudential policy at the ECB: Institutional framework, strategy, analytical tools and policies
V Constâncio, I Cabral, C Detken, J Fell, J Henry, P Hiebert, S Kapadia, ...
Strategy, Analytical Tools and Policies (July, 2019), 2019
62*2019
Liquidity hoarding, network externalities, and interbank market collapse
P Gai, S Kapadia
Proc. R. Soc. A 466 (2401-2423), 439, 2010
542010
Targeting financial stability: macroprudential or monetary policy?
D Aikman, J Giese, S Kapadia, M McLeay
ECB Working Paper, 2019
512019
Uncertainty in macroeconomic policy-making: art or science?
D Aikman, P Barrett, S Kapadia, M King, J Proudman, T Taylor, ...
Philosophical Transactions of the Royal Society A: Mathematical, Physical …, 2011
492011
The low-carbon transition, climate commitments and firm credit risk
S Carbone, M Giuzio, S Kapadia, JS Krämer, K Nyholm, K Vozian
ECB Working Paper, 2021
462021
Networks and systemic risk in the financial system
P Gai, S Kapadia
Oxford Review of Economic Policy 35 (4), 586-613, 2019
442019
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