• This website sets cookies on your device. To find out more about how we use cookies please refer to our Privacy and Cookie Policy. By continuing to use the site, we’ll assume that you are content for us to set these on your device.
  • Close
Home > Research > Economists at the Bank > Sujit Kapadia

Sujit Kapadia

Directory of Economists
By Name | By Field of Interest


Sujit KapadiaSenior Manager
Financial Stability Strategy and Risk
Macroprudential Strategy and Support Division

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


Contact Information:
Email Sujit

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
Reserve Bank of India, February - May 2013

Selected Publications:

Operationalising a macroprudential regime: goals, tools and open issues
D Aikman, A Haldane and S Kapadia
Banco de Espana Financial Stabilitity Journal, No 24, pages 9-30, 2013

A Network Model of Financial System Resilience  
 K Anand, S Brennan, P Gai, S Kapadia and M Willison
Journal of Economic Behavior & Organization, Vol. 85 (1), pages 219-235, 2013
Bank of England Working Paper, Number 458, 2012

S Kapadia, M Drehmann, J Elliott and G Sterne
In Haubrich, J and Lo, A (2013), Quantifying Systemic Risk, The University of Chicago Press.
Bank of England Working Paper, Number 456, 2012

Size and Complexity in Model Financial Systems 
N Arinaminpathy, S Kapadia and R May 
Proceedings of the National Academy of Sciences, Vol. 109(45), pages 18,338-18,343, 2012
Bank of England Working Paper, Number 465, 2012

Complexity, Concentration and Contagion 
P Gai, A Haldane and S Kapadia
Journal of Monetary Economics, Vol. 58 (5), pages 453-470, 2011

See all Sujit's publications

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

Back to the top