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Home > Research > Sujit Kapadia

Sujit Kapadia

​Head of Research ​

Sujit Kapadia
Sujit Kapadia is Head of Research at the Bank of England.  He developed the Bank’s ‘One Bank Research Agenda’ and is responsible for its delivery.  His own research encompasses macroprudential policy, monetary policy, banking regulation, stress testing, financial networks and contagion.  Sujit is also the founding editor of the Bank’s staff blog, Bank Underground. 

Sujit joined the Bank in 2005 after completing a PhD in economics from the University of Oxford.  In previous roles, he led on developing the macroprudential policy framework for the Bank’s Financial Policy Committee and was a founder member of its Secretariat, led on key aspects of the Bank’s contributions to the international debate on reforming banking regulation in Basel and Europe, made a significant contribution to the development of the Bank’s stress testing model, and was briefly seconded to the Reserve Bank of India.
Email Sujit | Sujit at IDEAS​

​Selected Academic Publications

The credit-to-GDP gap and complementary indicators for macroprudential policy: evidence from the UK
with Julia Giese, Henrik Andersen, Oliver Bush, Christian Castro and Marc Farag, International Journal of Finance and Economics (2014)
Operationalising a macroprudential regime: goals, tools and open issues
with David Aikman and Andrew Haldane, Banco de España Financial Stability Journal (2013)
Liquidity risk, cash flow constraints, and systemic feedbacks
with Mathias Drehmann, John Elliott and Gabriel Sterne.  In Quantifying Systemic Risk, edited by Joseph Haubrich and Andrew Lo, The University of Chicago Press (2013)
A network model of financial system resilience
with Kartik Anand, Simon Brennan, Prasanna Gai and Matthew Willison, Journal of Economic Behavior and Organization (2013)
Size and complexity in model financial systems
with Nimalan Arinaminpathy and Robert May, P
roceedings of the National Academy of Sciences (2012)
Complexity, concentration and contagion
with Prasanna Gai and Andrew Haldane, Journal of Monetary Economics (2011)
Contagion in financial networks
with Prasanna Gai, Proceedings of the Royal Society A (2010)
Financial innovation, macroeconomic stability and systemic crises
with Prasanna Gai, Stephen Millard and Ander Perez. Economic Journal, 118 (2008)

​Bank Publications

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