Goetz

Goetz von Peter

Senior Economist
Monetary and Economic Department, International Data Hub

Since joining the BIS in 2004, Goetz von Peter has worked in all three research groups of MED, served on one international committee, and recently joined the International Data Hub. He has written on various aspects of international finance, including international banking, financial crises, financial centres, interbank markets and network analysis, as well as on global (re)insurance against natural disasters. Goetz is also a regular contributor to the BIS Annual Report and Quarterly Review. From 2009 to 2011 he worked for the Committee on the Global Financial System and coordinated various working groups in that capacity. Goetz holds an MSc and BSc from the London School of Economics, and a PhD in economics from Columbia University.

Fields of interest

  • Financial institutions and microprudential issues (incl. banking supervision)
  • Financial stability and macroprudential issues
  • International finance

Date BIS research papers
Mar 2010

The architecture of global banking: from international to multinational?

BIS Quarterly Review March 2010

Other authors: Robert Neil McCauley and Patrick McGuire

Oct 2009

The US dollar shortage in global banking and the international policy response

BIS Working Papers No 291

Other authors: Patrick McGuire

Mar 2009

The US dollar shortage in global banking

BIS Quarterly Review March 2009

Other authors: Patrick McGuire

Jun 2008

International banking activity amidst the turmoil

BIS Quarterly Review June 2008

Other authors: Patrick McGuire

Dec 2007

International banking centres: a network perspective

BIS Quarterly Review December 2007

Jun 2007

Distress selling and asset market feedback

BIS Working Papers No 229

Other authors: Ilhyock Shim

Jun 2005

Research on exchange rates and monetary policy: an overview

BIS Working Papers No 178

Other authors: Jeffery Amato, Andrew Filardo, Gabriele Galati and Feng Zhu

Apr 2005

Debt-deflation: concepts and a stylised model

BIS Working Papers No 176

Dec 2004

Asset prices and banking distress: a macroeconomic approach

BIS Working Papers No 167