Cian O’Neill is an author at Bank of England specializing in financial system, financial crisis, and financial risk management.
Top concepts
FinanceBusinessEconomicsAccountingManagementMacro FinanceGlobal FinanceMacroeconomicsMonetary PolicyFinancial Crisis
Publications per year
2016–2020
4
4
What Determines How Banks Respond to Changes in Capital Requirements?
Saleem Bahaj, Jonathan Bridges, Frédéric Malherbe et al. · SSRN Electronic Journal · 2016 · 23 citations · Full text
Measuring Risks to UK Financial Stability
Alexandra Varadi, Cian O’Neill, Iren Levina et al. · SSRN Electronic Journal · 2018 · 21 citations · Full text
Capital Flows-at-Risk: Push, Pull and the Role of Policy
Fernando Eguren Martin, Cian O’Neill, Andrej Sokol et al. · SSRN Electronic Journal · 2020 · 12 citations · Full text
Rows per page
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