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Home > Research > Economists at the Bank > Julia V Giese
 

Julia V Giese

Directory of Economists
By Name | By Field of Interest

Julia Giese
Economist
Financial Stability Strategy and Risk
Macroprudential Strategy and Support Division
 

Current Areas of Interest:
Macro-finance
Time-series econometrics
Macroprudential Policy

 

 

Contact Information:
Email Julia

Education:
D. Phil. Economics, University of Oxford
M.Phil. Economics, University of Oxford
B.Sc. Economics, London School of Economics

Professional Experience
Bank of England 2008 to present
Lehman Brothers, 2005-2006

Selected Publications:

Operationalising the countercyclical capital buffer: indicator selection, threshold identification and calibration of options

C Detken et al
ESRB Occasional Paper No. 5, June 2014

The credit-to-GDP and complementary indicators for macroprudential policy: Evidence from the UK
J Giese, H Anderson, O Bush, C Castro, M Farag and S Kapadia
International Journal of Fiance & Economics; Vol. 19, Issue 1
 pages 25-47, January 2014

How could macroprudential policy affect financial system resilience and credit? Lessons from the literature 
J Giese, B Nelson, M tanaka and N Tarashev
Financial Stability Paper No 21, May 2013

China's changing growth pattern
E Dew, J Giese, J Martin and G Zinna
Bank of England Quarterly Bulletin, Q1, pages 49-56, 2011

Global imbalances and the financial crisis 
M Astley, J Giese, M Hume and C Smith
Bank of England Quarterly Bulletin, Q3, pages 178-190, 2009

The views expressed in all these papers are those of the author and do not necessarily reflect those of the Bank of England.