Andrej's Bank publications
Attention to the tail(s): global financial...
Attention to the tail(s): global financial conditions and exchange rate risks
Towards a new monetary theory of exchange...
Towards a new monetary theory of exchange rate determination
Gauging the globe: the Bank's approach to...
Gauging the globe: the Bank's approach to nowcasting world GDP
Andrej's selected academic publications
A procedure for combining zero and sign restrictions in a VAR-identification scheme - with A Haberis, Centre for Macroeconomics (CFM) (2014)
Estimating Central Bank Preferences: The Case of the Bank of England over 1981-2007 - Annali della Fondazione Luigi Einaudi XLV (2011)