‘Macroeconomic Stability and Financial Regulation', edited with Mathias Dewatripont and Xavier Freixas, CEPR, March 2009.(pdf)
'Dealing with the crisis: Policy proposals for the G20’, with M Dewatripont and X Freixas, 9 March 2009, at http://www.voxeu.org/index.php?q=node/3231/
'Costs and benefits of running an international currency’ (with Elias Papaioannou), November 2008, European Economy Economic Papers 348, European Commission.(pdf)
'Discussion of Alberto Giovannini, ‘The integration of European financial markets: why has it not happened yet?’, NBER conference on the euro, Milan, 17-18 October 2008, forthcoming in conference volume edited by Francesco Giavazzi.
Discussion of Eli M. Remolona, ‘The unfolding turmoil: lessons and responses of 2007-2008’, Reserve Bank of Australia conference 14-15 July 2008, forthcoming in conference volume. (pdf)
‘The international role of the euro: a status report’, European Economy Economic Papers 317, European Commission, April 2008.(pdf)
The Internationalisation of Iceland’s Financial Sector, Iceland Chamber of Commerce, November 2007, pp. v + 69. (pdf)
International Financial Stability, CEPR and ICMB, November 2007, pp. xxvi + 190. (pdf)
‘Optimal Currency Shares in International Reserves: The Impact of the Euro and the Prospects for the Dollar’, Journal of the Japanese and International Economies 20, 508-547, December 2006. (pdf)
European Corporate Bond Markets: Transparency, Liquidity, Efficiency (with Bruno Biais, Fany Declerck, James Dow, and Ernst Ludwig von Thadden), City of London and CEPR, May 2006, pp. 75.(pdf)
European Government Bond Markets: Transparency, Liquidity, Efficiency (with Peter Dunne and Michael Moore), City of London and CEPR, May 2006, pp. 85.(pdf)
‘Optimal Currency Shares in International Reserves: The Impact of the Euro and the Prospects for the Dollar’, with Elias Papaioannou and Gregorios Siourounis, paper for TRIO conference, Tokyo, December 2005,Journal of the Japanese and International Economies, December 2006.(pdf)
‘Benchmark status in fixed-income asset markets, Journal of Business Finance and Accounting, 34, 1615-1634.(pdf)
‘A lender of first resort’ (with Daniel Cohen), CEPR Discussion Paper no. 4615, 2004. Revised version as IMF Working Paper WP/06/66, March 2006.(pdf)
‘The Determinants of Cross-Border Equity Flows’ (with H. Rey), Journal of International Economics 65, 269-296, February 2005 (lead article).(pdf)
‘Dealing with destabilizing “market discipline”’ (with Daniel Cohen), in C. Borio et al., eds., Market Discipline, MIT Press, 2004, pp. 381-396.
Crises de la dette: prévention et ré solution (with Daniel Cohen), Documentation Française (for the Conseil d’Analyse Economique, Office of the Prime Minister of France), September 2003.
Co-author and Editor of Making Sense of Globalization: A Guide to the Economic Issues, a study commissioned from the Centre for Economic Policy Research by the Group of Policy Advisors to the President of the European Commission, Policy Paper No. 8, CEPR, July 2002, pp. 124.(pdf)
Co-author of Who’s Afraid of the Big Enlargement?, Policy Paper No. 7, CEPR, June 2002.(pdf)
‘Information and Capital Flows’ (with H. Rey and Y. Oh), European Economic Review 45, 2001, 783-796. Reprinted in International Financial Integration, ed. S. C. W. Eijffinger and J. Lemmen, Edward Elgar, 2002.(pdf)
‘The emergence of the euro as an international currency’ (with H. Rey), Economic Policy 26, April 1998, 305-343.(pdf)
‘The Costs and Benefits of Eastern Enlargement’ (with R. Baldwin and J. Francois), Economic Policy 24, April 1997, pp. 125-176.(pdf)