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Why is financial stability a goal of public policy?

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Author Info
Andrew Crockett
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File URL: http://www.kc.frb.org/publicat/sympos/1997/pdf/s97crock.pdf
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Article provided by Federal Reserve Bank of Kansas City in its journal Proceedings.

Volume (Year): (1997)
Issue (Month): ()
Pages: 7-36
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Handle: RePEc:fip:fedkpr:y:1997:p:7-36

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Keywords: Financial markets ; Public policy;

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  1. Christopher Kent & Guy Debelle, 1999. "Trends in the Australian Banking System: Implications for Financial System Stability and Monetary Policy," RBA Research Discussion Papers rdp1999-05, Reserve Bank of Australia. [Downloadable!]
  2. G.G. Kaufman, 2000. "Banking and Currency Crises and Systemic Risk: A Taxonomy and Review," DNB Staff Reports (discontinued) 48, Netherlands Central Bank. [Downloadable!]
  3. Georges Dionne, 2003. "The Foundationsof Banks' Risk Regulation: A Review of Literature," THEMA Working Papers 2003-46, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise. [Downloadable!]
  4. Garry J. Schinasi, 2003. "Responsibility of Central Banks for Stability in Financial Markets," IMF Working Papers 03/121, International Monetary Fund. [Downloadable!]
  5. Kina Chenard & Udaibir S. Das & Marc Quintyn, 2004. "Does Regulatory Governance Matter for Financial System Stability? An Empirical Analysis," IMF Working Papers 04/89, International Monetary Fund. [Downloadable!]
  6. Domac, Ilker & Peters, Kyle & Yuzefovich, Yevgeny, 2001. "Does the exchange rate regime affect macroeconomic performance : evidence from transition economics," Policy Research Working Paper Series 2642, The World Bank. [Downloadable!]
  7. Martin Cihák, 2007. "Introduction to Applied Stress Testing," IMF Working Papers 07/59, International Monetary Fund. [Downloadable!]
  8. Jakob Haan & Sander Oosterloo, 2006. "Transparency and accountability of central banks in their role of financial stability supervisor in OECD countries," European Journal of Law and Economics, Springer, vol. 22(3), pages 255-271, November. [Downloadable!] (restricted)
  9. George G. Kaufman, 2000. "Banking and currency crisis and systemic risk: lessons from recent events," Economic Perspectives, Federal Reserve Bank of Chicago, issue Q III, pages 9-28. [Downloadable!]
  10. Carolyn Currie, 2003. "Towards a General Theory of Financial Regulation: Predicting, Measuring and Preventing Financial Crises," Working Paper Series 132, School of Finance and Economics, University of Technology, Sydney. [Downloadable!]
    Other versions:
  11. Martin Cihák, 2006. "How Do Central Banks Write on Financial Stability?," IMF Working Papers 06/163, International Monetary Fund. [Downloadable!]
  12. Stanley Fischer, 1997. "Why is financial stability a goal of public policy? (commentary)," Proceedings, Federal Reserve Bank of Kansas City, pages 37-45. [Downloadable!]
  13. Marc Quintyn & Michael Taylor, 2002. "Regulatory and Supervisory Independence and Financial Stability," IMF Working Papers 02/46, International Monetary Fund. [Downloadable!]
  14. Chay Fisher & Christopher Kent, 1999. "Two Depressions, One Banking Collapse," RBA Research Discussion Papers rdp1999-06, Reserve Bank of Australia. [Downloadable!]
  15. George G. Kaufman, 1999. "Banking and currency crises and systemic risk: a taxonomy and review," Working Paper Series WP-99-12, Federal Reserve Bank of Chicago. [Downloadable!]
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