Publications

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(2018). The Financialization of Policy Preferences: Financial Asset Ownership, Regulation and Crisis Management. In Socio-Economic Review.

Preprint

(2018). Introduction. Governing the World's Biggest Market: The Politics of Derivatives Regulation After the 2008 Crisis. Chapter included in the volume “Governing the World’s Biggest Market: The Politics of Derivatives Regulation After the 2008 Crisis”, edited by Eric Helleiner, Stefano Pagliari and Irene Spagna, Oxford University Press 2018.

Preprint Book

(2018). Governing the World's Biggest Market: The Politics of Derivatives Regulation After the 2008 Crisis. Oxford University Press.

Publisher's Website

(2018). Global Markets, National Toolkits: Extraterritorial Derivatives Rulemaking in Response to the Global Financial Crisis. Chapter included in the volume “Governing the World’s Biggest Market: The Politics of Derivatives Regulation After the 2008 Crisis”, edited by Eric Helleiner, Stefano Pagliari and Irene Spagna, Oxford University Press.

Preprint Book

(2017). Financial Regulatory Arbitrage after Brexit: How Feasible?. Paper included in the Report ‘A Singapore on the Thames? Post-Brexit Deregulation in the UK’, CITYPERC, City, University of London.

PDF

(2017). Capital United? Business Unity in Regulatory Politics and the Special Place of Finance. Regulation & Governance, Volume 11, Issue 1, March, Pages 3-23.

Preprint Journal

(2016). The Interest Ecology of Financial Regulation: Interest Group Plurality in the Design of Financial Regulatory Policies. Socio-Economic Review, Volume 14, Issue 2, Pages 309–337.

Preprint Journal

(2015). Financial Industry Power and Regulatory Policies: What Lessons from the Global Financial Crisis?. Rivista Italiana di Politiche Pubbliche (The Italian Journal of Public Policy), Volume 2, August, Pages 209–232.

Preprint Journal

(2014). Europe between financial repression and regulatory capture?. Bruegel Working Paper, 2014-08.

PDF

(2014). Leveraged interests: Financial industry power and the role of private sector coalitions. Review of International Political Economy, Volume 21, Issue 3, pages 575-610.

Preprint Journal

(2013). Regulating Finance. The Political Economy of Unfinished Reform?. World Politics Review. Feature Report ‘After the Fall: The Policy Legacy of the Global Financial Crisis’.

Website

(2012). Who Mobilizes? An Analysis of Stakeholder Responses to Financial Policy Consultations. Chapter included in the volume “Making Good Financial Regulation. Towards a Policy Response to Regulatory Capture”, edited by Stefano Pagliari, London: International Centre for Financial Regulation.

PDF

(2012). Mitigating Capture in Financial Regulation. Chapter included in the volume “Making Good Financial Regulation. Towards a Policy Response to Regulatory Capture”, edited by Stefano Pagliari, London: International Centre for Financial Regulation, 2012.

PDF Book

(2012). Making Good Financial Regulation. Towards a Policy Response to Regulatory Capture. London: International Centre for Financial Regulation.

(2011). What is the price of Basel III? A guide to the impact (and the impact studies) of Basel III on the real economy. ICFR Discussion Paper. International Center for Financial Regulation.

PDF

(2011). The End of an Era in International Financial Regulation? A Postcrisis Research Agenda. International Organization, Volume 65, Issue 1, January, 2011, pp. 169–200, DOI: 10.1017/S0020818310000305.

Preprint Journal

(2010). Between the Storms: Patterns in Global Financial Governance, 2001-07. Chapter included in the volume “Global Financial Integration Thirty years on. From Reform to Crisis”, edited by Geoffrey R. D. Underhill, Jasper Blom and Daniel Mügge, Cambridge University Press, 2010.

Preprint Book

(2010). The End of Self-Regulation? Hedge Funds and Derivatives in Global Financial Governance. Chapter included in the volume “Global Finance in Crisis. The Politics of International Regulatory Change”, edited by Eric Helleiner, Stefano Pagliari, Hubert Zimmermann, Routledge, 2010.

Preprint Book

(2010). Reforming the US financial architecture: the regulation of derivatives, rating agencies, and hedge funds. Paper prepared for the Foundation for European Progressive Studies.

PDF

(2010). Global Finance in Crisis. The Politics of International Regulatory Change. Routledge.

Publisher's Website

(2010). Crisis and the Reform of International Financial Regulation. Chapter included in the volume “Global Finance in Crisis. The Politics of International Regulatory Change”, edited by Eric Helleiner, Stefano Pagliari, Hubert Zimmermann, Routledge, 2010.

Preprint Book

(2009). Towards a New Bretton Woods? The First G20 Leaders Summit and the Regulation of Global Finance. New Political Economy, Volume 14, Issue 2, pp. 169–200, DOI: 10.1017/S0020818310000305.

PDF Journal

(2009). Limiting Systemic Risks, New Principles for Regulation. Paper prepared for Zeitschrift für Wirtschaftspolitik Forum theme on ‘Lessons from the financial crisis: On the need to change financial market rules to limit systematic risks’.

PDF

(2008). Towards the G20 Summit: From Crisis to International Regulatory Reform. Chapter included in the volume “The G20 Leaders Summit on Financial Markets and the World Economy”, edited by John Kirton, Toronto: G20 Information Centre, Munk Centre for International Studies, University of Toronto, 2008.

Book