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Managing systemic risks in the Croatian economy

In: Macroprudential policy

Author

Listed:
  • Boris Vujcic
  • Mirna Dumicic

Abstract

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Suggested Citation

  • Boris Vujcic & Mirna Dumicic, 2016. "Managing systemic risks in the Croatian economy," BIS Papers chapters, in: Bank for International Settlements (ed.), Macroprudential policy, volume 86, pages 75-84, Bank for International Settlements.
  • Handle: RePEc:bis:bisbpc:86-12
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    File URL: http://www.bis.org/publ/bppdf/bispap86l.pdf
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    References listed on IDEAS

    as
    1. Daniel Kapp & Marco Vega, 2014. "Real output costs of financial crises: A loss distribution approach," Cuadernos de Economía - Spanish Journal of Economics and Finance, Asociación Cuadernos de Economía, vol. 37(103), pages 13-28, Abril.
    2. Kapp, Daniel & Vega, Marco, 2012. "The Real Output Costs of Financial Crisis: A Loss Distribution Approach," Working Papers 2012-013, Banco Central de Reserva del Perú.
    3. International Monetary Fund, 2011. "Macroprudential Policy: What Instruments and How to Use them? Lessons From Country Experiences," IMF Working Papers 2011/238, International Monetary Fund.
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    Cited by:

    1. Maria Afreen, 2020. "Building Vulnerability Predictive Indicator for the Banking Sector: Perspective of Bangladesh," International Journal of Finance & Banking Studies, Center for the Strategic Studies in Business and Finance, vol. 9(3), pages 01-14, July.
    2. Maria Afreen, 2020. "Analysing the Return on Asset to Construct Foretelling Indicator for Bangladeshi Banking Sector," International Journal of Finance & Banking Studies, Center for the Strategic Studies in Business and Finance, vol. 9(4), pages 11-22, October.

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