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Publications of Kevin James

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Opinion Pieces

Liz Truss has an opportunity to fix a critical financial regulation flaw

Effective financial markets provide the foundation for a highly productive and stable economy, but no UK regulator is responsible for the overall...

September 2022
Kevin James

Opinion Pieces

Total factor productivity growth: we need a new drug

Creating the innovations that drive total factor productivity (TFP) growth takes both ideas and firms that process those ideas into new products or...

August 2022
Kevin James
Akshay Kotak
Dimitri Tsomocos

Discussion Papers

Ideas, Idea Processing, and TFP Growth in the US: 1899 to 2019

Innovativity – an economy's ability to produce the innovations that drive total factor productivity (TFP) growth – requires both ideas and the ability...

July 2022
DP 121
July 2022
Kevin James
Akshay Kotak
Dimitri Tsomocos

Opinion Pieces

Rebooting UK financial regulation for the post-Brexit world

Recognising the critical role that financial markets will play in the success of the UK’s post-Brexit economy, the Treasury is now engaged in a review...

August 2021
Anamika Ahir
Kevin James

Opinion Pieces

Dollars or Pence? Choosing a framework for US-China trade

Given that China is a strategic and economic rival to the US, the Trump administration’s framework for US-China trade makes far more sense than one...

December 2019
Kevin James

Discussion Papers

The Efficient IPO Market Hypothesis: Theory and Evidence

We derive the optimal underwriting method and the quantitative IPO pricing rule that this method implies in a market with informational frictions...

June 2019
DP 87
Kevin James
Marcela Valenzuela

Academic journals

Model risk of risk models

Journal of Financial Stability, Volume 23, Pages 79-91.

April 2016
Jón Danielsson
Kevin James
Marcela Valenzuela
Ilknur Zer

Discussion Papers

Can We Prove a Bank Guilty of Creating Systemic Risk? A Minority Report

Since increasing a bank's capital requirement to improve the stability of the financial system imposes costs upon the bank, a regulator should ideally...

September 2015
DP 47
Jón Danielsson
Kevin James
Marcela Valenzuela
Ilknur Zer

Opinion Pieces

Model risk and the implications for risk management, macroprudential policy, and financial regulations

Risk forecasting is central to financial regulations, risk management, and macroprudential policy. This column raises concerns about the reliance on...

June 2014
Jón Danielsson
Kevin James
Marcela Valenzuela
Ilknur Zer

Discussion Papers

Model Risk of Risk Models

This paper evaluates the model risk of models used for forecasting systemic and market risk. Model risk, which is the potential for different models...

April 2014
DP 11
Jón Danielsson
Kevin James
Marcela Valenzuela
Ilknur Zer

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Mike Burkart - Winner of the 2025 ECGI Finance Series Prize

LSE announces launch of an Initiative in Sustainable Finance

Vacancy: Research Assistant in Finance

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Events

The Fifth Annual International Research Conference on Securi ...

Payment Systems Matter: Competition, Innovation, Stability, ...

5th LSE Workshop on Political Economy of Turkey

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Seminars

The Origins of Commodity Price Fluctuations

Idiosyncratic Volatility and the ICAPM

Pricing Event Risk: Evidence from Concave Implied Volatility ...

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Publications

Financial instability transition under heterogeneous investm ...

India’s Unified Payments Interface (UPI) system and its tran ...

Artificial intelligence and stability

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