- “Does Lack of Financial Stability Impair the Transmission of Monetary Policy?” with Viral V. Acharya, Bjorn Imbierowicz, and Daniel Teichmann, being revised for resubmission to the Journal of Financial Economics, September 2017
- "Government Guarantees and Bank Risk Taking Incentives”, with Markus Fischer, Christa Hainz and Joerg Rocholl, being revised for resubmission to the Journal of Financial Intermediation, 2016.
- "Syndication, Interconnectedness and Systemic Risk", with Jian Cai, Frederik Eidam and Anthony Saunders,revised for resubmission to the Journal of Financial Stability, 2017.
- "The Zero Risk Fallacy - Banks' Sovereign Exposure and Sovereign Risk Spillovers", with Karolin Kirschenmann and Josef Korte, February, 2017.
- "Lender of Last Resort versus Buyer of Last Resort - Evidence from the European Sovereign Debt Crisis" with Viral V. Acharya and D. Pierret, 2017.