25
Publications
1.5K
Citations
19
H-Index
1987
Active since
David Aikman is an author at Bank of England specializing in finance, business, and financial crisis.
Top concepts
FinanceBusinessFinancial CrisisFinancial EconomicsEconomicsMonetary PolicyFinancial RegulationFinancial Risk ManagementAccountingManagement
Publications per year
1987–2022
25
25
David Aikman, Andrew Haldane, Benjamin Nelson · The Economic Journal · 2013 · 409 citations
Funding Liquidity Risk in a Quantitative Model of Systemic Stability
David Aikman, Piergiorgio Alessandri, Bruno Eklund et al. · SSRN Electronic Journal · 2009 · 158 citations · Full text
Would Macroprudential Regulation Have Prevented the Last Crisis?
David Aikman, Jonathan Bridges, Anil Kashyap et al. · The Journal of Economic Perspectives · 2019 · 112 citations · Full text
Taking Uncertainty Seriously: Simplicity versus Complexity in Financial Regulation
David Aikman, Mirta Galešić, Gerd Gigerenzer et al. · SSRN Electronic Journal · 2014 · 62 citations · Full text
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