Lev Ratnovski
Last Updated: August 03, 2010
Lev Ratnovski is an economist at the Research Department of the International Monetary Fund. He focuses on international banking and finance issues. Previously, he worked on the United States and Canada desks of the IMF (2008-10) and in the Financial Stability area of the Bank of England (2006-08). Mr. Ratnovski holds a B.Sc. from HSE-Moscow and a Ph.D. from the University of Amsterdam.
Email: LRATNOVSKI@imf.org
Personal WebPage: http://www.ratnovski.com
Fluent In: Dutch, French, Russian.
IMF Books and Working Papers:
Monetary Policy and Intangible Investment , Working Paper No. 20/160 , August 07, 2020
Financial Intermediation and Technology: What’s Old, What’s New? , Working Paper No. 20/161 , August 07, 2020
The Dynamics of Non-Performing Loans during Banking Crises: A New Database , Working Paper No. 19/272 , December 06, 2019
The Effects of Higher Bank Capital Requirements on Credit in Peru , Working Paper No. 18/222 , September 28, 2018
Credit and Fiscal Multipliers in China , Working Paper No. 17/273 , December 12, 2017
Bank Lending in the Knowledge Economy , Working Paper No. 17/234 , November 07, 2017
Benefits and Costs of Bank Capital , Staff Discussion Note No. 16/4 , March 03, 2016
Bank Profitability and Risk-Taking , Working Paper No. 15/249 , November 25, 2015
Bank Size and Systemic Risk , Staff Discussion Notes No. 14/4 , May 08, 2014
Global Liquidity and Drivers of Cross-Border Bank Flows , Working Paper No. 14/69 , April 29, 2014
What is Shadow Banking? , Working Paper No. 14/25 , February 11, 2014
Bailouts and Systemic Insurance , Working Paper No. 13/233 , November 12, 2013
Competition Policy for Modern Banks , Working Paper No. 13/126 , May 23, 2013
Liquidity and Transparency in Bank Risk Management , Working Paper No. 13/16 , January 18, 2013
Shadow Banking: Economics and Policy , Staff Discussion Notes No. 12/12 , December 04, 2012
Banking and Trading , Working Paper No. 12/238 , October 02, 2012
Externalities and Macroprudential Policy , Staff Discussion Notes No. 12/5 , June 07, 2012
Externalities and Macroprudential Policy , Staff Discussion Notes No. 12/5 , June 07, 2012
Commodity Prices and Inflation Expectations in the United States , Working Paper No. 12/89 , March 01, 2012
Capital Regulation and Tail Risk , Working Paper No. 11/188 , August 01, 2011
The Dark Side of Bank Wholesale Funding , Working Paper No. 10/170 , July 01, 2010
Why Are Canadian Banks More Resilient? , Working Paper No. 09/152 , July 01, 2009
Public Financial Institutions in Developed Countries - Organization and Oversight , Working Paper No. 07/227 , September 01, 2007
IMF Country Reports
United States - Article IV 2009 (monetary policy)
Canada - Article IV 2009 (financial sector and monetary policy)
Other Published Materials
"In the Eye of the Storm", review of Hank Paulson's "On the Brink", Finance & Development, June 2010
Publications in Journals (Refereed)
Publications in Books and Conference Volumes
Lev Ratnovski is an economist at the Research Department of the International Monetary Fund. He focuses on international banking and finance issues. Previously, he worked on the United States and Canada desks of the IMF (2008-10) and in the Financial Stability area of the Bank of England (2006-08). Mr. Ratnovski holds a B.Sc. from HSE-Moscow and a Ph.D. from the University of Amsterdam.
Email: LRATNOVSKI@imf.org
Personal WebPage: http://www.ratnovski.com
Fluent In: Dutch, French, Russian.
IMF Books and Working Papers:
Monetary Policy and Intangible Investment , Working Paper No. 20/160 , August 07, 2020
Financial Intermediation and Technology: What’s Old, What’s New? , Working Paper No. 20/161 , August 07, 2020
The Dynamics of Non-Performing Loans during Banking Crises: A New Database , Working Paper No. 19/272 , December 06, 2019
The Effects of Higher Bank Capital Requirements on Credit in Peru , Working Paper No. 18/222 , September 28, 2018
Credit and Fiscal Multipliers in China , Working Paper No. 17/273 , December 12, 2017
Bank Lending in the Knowledge Economy , Working Paper No. 17/234 , November 07, 2017
Benefits and Costs of Bank Capital , Staff Discussion Note No. 16/4 , March 03, 2016
Bank Profitability and Risk-Taking , Working Paper No. 15/249 , November 25, 2015
Bank Size and Systemic Risk , Staff Discussion Notes No. 14/4 , May 08, 2014
Global Liquidity and Drivers of Cross-Border Bank Flows , Working Paper No. 14/69 , April 29, 2014
What is Shadow Banking? , Working Paper No. 14/25 , February 11, 2014
Bailouts and Systemic Insurance , Working Paper No. 13/233 , November 12, 2013
Competition Policy for Modern Banks , Working Paper No. 13/126 , May 23, 2013
Liquidity and Transparency in Bank Risk Management , Working Paper No. 13/16 , January 18, 2013
Shadow Banking: Economics and Policy , Staff Discussion Notes No. 12/12 , December 04, 2012
Banking and Trading , Working Paper No. 12/238 , October 02, 2012
Externalities and Macroprudential Policy , Staff Discussion Notes No. 12/5 , June 07, 2012
Externalities and Macroprudential Policy , Staff Discussion Notes No. 12/5 , June 07, 2012
Commodity Prices and Inflation Expectations in the United States , Working Paper No. 12/89 , March 01, 2012
Capital Regulation and Tail Risk , Working Paper No. 11/188 , August 01, 2011
The Dark Side of Bank Wholesale Funding , Working Paper No. 10/170 , July 01, 2010
Why Are Canadian Banks More Resilient? , Working Paper No. 09/152 , July 01, 2009
Public Financial Institutions in Developed Countries - Organization and Oversight , Working Paper No. 07/227 , September 01, 2007
IMF Country Reports
United States - Article IV 2009 (monetary policy)
Canada - Article IV 2009 (financial sector and monetary policy)
Other Published Materials
"In the Eye of the Storm", review of Hank Paulson's "On the Brink", Finance & Development, June 2010