
Stefan Avdjiev
Stefan Avdjiev joined the BIS in 2009, immediately after the completion of his PhD in economics. Prior to assuming his current position, he worked as an Economist in the Financial Institutions and the Financial Markets groups of the BIS Monetary and Economic Department (between 2009 and 2014) and as the Deputy Head of International Banking and Financial Statistics (between 2014 and 2020). His recent research has been mainly focused on issues related to financial stability and international finance. He has also conducted and published research in macroeconomics and asset pricing.
Fields of interest
- International finance
- Macroeconomics
- Financial stability and macroprudential issues
July 2022 |
by Bryan Hardy, L Serven, Sebnem Kalemli-Ozcan and Stefan Avdjiev in Journal of the European Economic Association
|
December 2020 |
by Anastasia Kartasheva, Bilyana Bogdanova, Patrick Bolton, Stefan Avdjiev and Wei Jiang in Journal of Financial Economics
|
July 2020 |
by Leonardo Gambacorta, Linda S Goldberg, S Schiaffi and Stefan Avdjiev in Journal of International Economics
|
2019 |
by Előd Takáts and Stefan Avdjiev in Review of Finance
|
July 2022 |
Regulatory arbitrage behavior of internationally active banks and global financial market conditions
by Michael C Tseng, Stefan Avdjiev and Uluc Aysun in Economic Modelling
|
2022 |
by Stefan Avdjiev and Tsvetana Spasova in SUERF Policy Briefs
|
2022 |
by Stefan Avdjiev and Tsvetana Spasova in CEPR Discussion Paper
|
July 2021 |
by Ricardo Sousa, Stefan Avdjiev and Stephan Binder in Journal of International Money and Finance
|
March 2021 |
by Bat-el Berger, Hyun Song Shin and Stefan Avdjiev in Banque de France Financial Stability Review
|
October 2020 |
by Bryan Hardy, Goetz von Peter, Patrick McGuire and Stefan Avdjiev in Review of International Economics
|