
Goetz von Peter
Goetz von Peter is a Principal Economist and the Deputy Head of International Banking and Financial Statistics. His team supports users of the BIS international financial statistics and conducts research in international finance. From 2016 to 2020, he was with the International Data Hub, analysing the exposures, funding and interconnectedness of G-SIBs. Since joining the BIS in 2004, he also worked in three research groups and for the Committee on the Global Financial System. He has written on international finance, including global banking, financial centres, crises, prudential regulation, interbank markets and networks, correspondent banking, and (re)insurance of natural disasters. He has also contributed regularly to the BIS Quarterly Review and the Annual Report. Goetz holds a BSc and MSc from the London School of Economics, and a PhD in economics from Columbia University.
Fields of interest
- International economics
- Financial institutions and micro-prudential issues
- International capital flows
- " Financial deglobalisation in banking?" (with R McCauley, A Bénétrix and P McGuire), Journal of International Money and Finance, June 2019.
- " Interbank tiering and money center banks" (with B Craig), Journal of Financial Intermediation, vol 23, issue 3, 2014. Also published as BIS Working Papers, no 322.
- " The US dollar shortage in global banking and the international policy response" (with P McGuire), Journal of Banking and Finance, vol 37 no 2, February 2013. Also published as BIS Working Papers, no 357.
- " Liquidity and crises: a review of Allen et al (2011)", Journal of Economic Literature, vol 50, no 4, 2012.
- " The distance effect in banking and trade" (with M Brei), Journal of International Money and Finance, vol 81, March 2018. Also published as BIS Working Papers, no 658.
- " International prudential policy spillovers: a global perspective" (with S Avdjiev, C Koch and P McGuire), International Journal of Central Banking, vol 13(S1), 2017, pp 5-33. Also published as BIS Working Papers, no 589.
- The euro area in an era of global imbalances, Anuario del euro 2016 – building institutions for the euro are, Chapter 1.
- " Filling in the blanks: network structure and interbank contagion" (with K Anand and B Craig), Quantitative Finance, vol 15, no 4, 2015. Also published as BIS Working Papers, no 455.
- " Rescue packages and bank lending" (with M Brei and L Gambacorta), Journal of Banking and Finance, vol 37, issue 2, 2013. Also published as BIS Working Papers, no 357.
- " After the global financial crisis: from international to multinational banking?" (with R McCauley), Journal of Economics and Business, vol 64, issue 1, 2012.
- "Resolving the financial crisis: are the lessons from the Nordics being heeded?" (with C Borio and B Vale), Moneda y Crédito vol 230, 2010. Extended version available as BIS Working Papers, no 311.
- " Asset prices and banking distress: a macroeconomic approach", Journal of Financial Stability, vol 5, no 3, 2016
- " Distress selling and asset market feedback" (with I Shim), Financial Markets, Institutions and Instruments, vol 16, no 5, December 2007. Also published as BIS Working Papers, no 229.
- " Asset prices and banking distress: a macroeconomic approach", Journal of Financial Stability, vol 5, no 3, 2009, pp 290-319.