Research

Refereed publications

Garcia, F. and E. Panetti (2022). Wealth Inequality, Systemic Financial Fragility and Government Intervention. Forthcoming at Economic Theory. [link]

Panetti, E. (2022). Banks' Liquidity Provision and Panic Runs with Recursive Preferences. Finance Research Letters 47, Part A. [link]

Mattana, E. and E. Panetti (2021). The Welfare Costs of Self-fulfilling Bank Runs. Journal of Money, Credit and Banking 52(2-3), 401-440. [link]

Panetti, E. (2017). A Theory of Bank Illiquidity and Default with Hidden Trades. Review of Finance 21(3), 1123-1157. [link]

Panetti, E. (2016). Market Participation in a Two-Sector Diamond-Dybvig Economy. Studies in Economics and Finance 33(4), 660-678. [link]

Mattana, E. and E. Panetti (2014). Bank Liquidity, Stock Market Participation, and Economic Growth. Journal of Banking & Finance 48, 292-306. [link]

Panetti, E. (2014). Financial Liberalization and Contagion with Unobservable Savings. International Review of Financial Analysis 36, 20-35. [link]

Other publications

Panetti, E. (2020). The European Deposit Insurance Scheme: Economic Rationale, Issues and Policy Solutions. SUERF Policy Note No. 146. [link]

Panetti, E. (2019). The Economics of the European Deposit Insurance Scheme. Banco de Portugal Economic Studies 5(4), 67-85. [link]

Panetti, E. (2016). Bank Runs: Theories and Policy Applications. Banco de Portugal Economic Studies 2(3), 35-48. [link]

Panetti, E. (2013). Essays on the Economics of Banks and Markets. PhD Dissertation. Institute for International Economic Studies Monograph Series No. 84. Stockholm University. [link]