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Sujit Kapadia

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Sujit Kapadia
Senior Economist
Financial Stability
Macroprudential Strategy Division

Current Areas of Interest:
Banking Crises
Banking and Financial Institutions
Financial Stability Policy
Network Economics

 

Contact Information:
Email Sujit

Education:
BA Economics, University of Cambridge
M.Phil. Economics, University of Oxford
D.Phil. Economics, University of Oxford

Professional Experience
Bank of England 2005 to present

Selected Publications:

  • Contagion in Financial Networks
    P Gai and S Kapadia
    Proceedings of the Royal Society A, vol. 466, no. 2120, pages 2401-2423, 2010
  • Towards a Framework for Quantifying Systemic Stability
    P Alessandri, P Gai, S Kapadia, N Mora and C Puhr International Journal of Central Banking, Vol. 5(3), pages 47-81, 2009
  • Funding Liquidity Risk in a Quantitative Model of Systemic Stability
    D Aikman, P Alessandri, B Eklund, P Gai, S Kapadia, E Martin, N Mora, G Sterne and M Willison Bank of England Working Paper, Number 372, 2009
  • Financial innovation, macroeconomic stability and systemic crises
    P Gai, S Kapadia, S Millard and A Perez
    Economic Journal, Vol. 118 (March), pages 401-26, 2008
  • Systemic risk in modern financial systems: analytics and policy design
    P Gai, N Jenkinson and S Kapadia
    Journal of Risk Finance, Vol. 8(2), pages 156-65, 2007
  • Complexity, Concentration and Contagion
    P Gai, A Haldane and S Kapadia
    Journal of Monetary Economics, Vol. 58, Issue 5, pages 453-470, 2011

See all Sujit's publications

These publications include only those based on research carried out while working at the Bank of England. The views expressed in all these papers are those of the author and do not necessarily reflect those of the Bank of England.

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