Photo of Vladimir L. Yankov

Vladimir L. Yankov

Education

  • Ph.D., Economics, Boston University, 2013
  • M.A., Economics, Central European University, Budapest Hungary, 2005
  • B.A., Economics, Sofia University, Sofia Bulgaria, 2003
Current Research Topics
  • Liquidity regulation and bank liquidity supply
  • Efficiency of financial markets
  • Senior Economist

    Board of Governors of the Federal Reserve System

    2016 - present
  • Economist

    Board of Governors of the Federal Reserve System

    2013 - 2016
  • Research Associate

    Federal Reserve Bank of Boston

    2010 - 2013
  • In Search of a Risk-Free Asset: Search Costs and Sticky Deposit Rates
    Vladimir Yankov
    Journal of Money, Credit and Banking (Forthcoming)
    https://doi.org/10.1111/jmcb.13040
  • The Collateral Channel and Bank Credit
    Arun Gupta, Horacio Sapriza, and Vladimir Yankov
    Finance and Economics Discussion Series (2022)
    https://doi.org/10.17016/FEDS.2022.024
  • Liquidity Provision and Co-insurance in Bank Syndicates
    Kevin F. Kiernan, Vladimir Yankov, and Filip Zikes
    Finance and Economics Discussion Series (2021)
    https://doi.org/10.17016/FEDS.2021.060
  • The Liquidity Coverage Ratio and Corporate Liquidity Management
    Vladimir Yankov
    FEDS Notes (2020)
    https://doi.org/10.17016/2380-7172.2509
  • Limited Deposit Insurance Coverage and Bank Competition
    Oz Shy, Rune Stenbacka, and Vladimir Yankov
    Journal of Banking & Finance (2016)
    https://doi.org/10.1016/j.jbankfin.2016.05.002
    See also » FRB Working Paper (2014)
  • In Search of a Risk-Free Asset
    Vladimir Yankov
    Finance and Economics Discussion Series (2014)
    https://doi.org/10.17016/FEDS.2014.108
  • Essays on banking, finance, and macroeconomics
    Vladimir Lyudmilov Yankov
    Dissertations (Boston University) (2013)
  • Credit market shocks and economic fluctuations: Evidence from corporate bond and stock markets
    Simon Gilchrist, Vladimir Yankov, and Egon Zakrajsek
    Journal of Monetary Economics (2009)
    https://doi.org/10.1016/j.jmoneco.2009.03.017
  • conference

    06/25/2023

    Western Finance Association, annual conference, San Francisco

    The Collateral Channel and Bank Credit

  • conference

    10/13/2022

    Annual meeting of the System Committee on Financial Institutions, Regulation, and Markets, FRB Kansas

    The Collateral Channel and Bank Credit

  • seminar

    10/04/2022

    Federal Reserve Bank of Richmond

    Liquidity Provision and Co-insurance in Bank Syndicates

  • conference

    06/16/2022

    2022 Econometric Society meetings (U. Miami and U. Bucconi)

    The Collateral Channel and Bank Credit

  • conference

    01/07/2022

    2022 AEA annual meeting (Virtual)

    Liquidity Provision and Co-insurance in Bank Syndicates

  • conference

    11/18/2021

    2022 Financial Stability Conference

    Liquidity Provision and Co-insurance in Bank Syndicates

  • conference

    09/02/2021

    52nd Annual Conference of the Money, Macro and Finance Society

    Liquidity Provision and Co-insurance in Bank Syndicates

  • discussion

    9/21/2018

    2018 Northern Finance Association

  • conference

    4/20/2018

    16th Annual International Industrial Organization Conference

    In Search of a Risk-free Asset

  • discussion

    9/15/2017

    2017 Northern Finance Association

  • conference

    05/10/2017

    Workshop on Financial Intermediation and Regulation

  • conference

    7/18/2016

    Yale Program on Financial Stability

  • conference

    04/25/2015

    13th Annual International Industrial Organization Conference

    Limited Deposit Insurance Coverage and Bank Competition

  • conference

    10/09/2014

    2014 Committee Meeting on Financial Structure and Regulation

    Limited Deposit Insurance Coverage and Bank Competition

  • conference

    08/28/2014

    2014 Annual Meetings of European Economic Association & Econometric Society

    Limited Deposit Insurance Coverage and Bank Competition

  • conference

    08/26/2013

    2013 Annual Meetings of European Economic Association & Econometric Society

    In Search of a Risk-free Asset

  • conference

    06/19/2013

    2013 Annual Meetings of the Western Finance Association

    In Search of a Risk-free Asset

  • conference

    March 2009

    NBER Program on Monetary Economics, Federal Reserve Bank of New York

    Credit Market Shocks and Economic Fluctuations: Evidence from Corporate Bond and Stock Markets

Awards
  • 2008

    Boston University

    Third Meeting with Nobel Laureates in Economic Sciences, Lindau, Germany

Conference Organization
  • 9/21/2018 | Malbaie, Canada

    2017 Northern Finance Association

    Program committee, submission reviewer

  • 9/25/2020 | Banff, Canada

    2020 Northern Finance Association

    Program committee, submission reviewer

  • 9/23/2022 | Banff Centre, Canada

    2022 Northern Finance Association

    Program committee, submission reviewer

Referee
  • American Economic Journal: Macroeconomics
  • Journal of Applied Econometrics
  • Journal of Corporate Finance
  • Journal of Money, Credit and Banking
  • Journal of Economic Dynamics and Control
  • Journal of Monetary Economics
  • Review of Economic Dynamics
  • Macroeconomic Dynamics
  • Journal of Macroeconomics
  • Empirical Economics
  • Economic Inquiry
  • European Journal of Finance
  • Economics Letters
  • Economic Journal
  • Palgrave Macmillan
  • Journal of the European Economic Association
Professional Affiliation
  • American Economic Association
  • Econometric Society
  • American Finance Association
  • Western Finance Association
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Last Update: August 2, 2024