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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ E: Macroeconomics and Monetary Economics
/ / E5: Monetary Policy, Central Banking, and the Supply of Money and Credit
/ / / E53: Deposit Insurance
This topic is covered by the following reading lists:
  1. Mondialisation
  2. Quantitative Macroeconomics and Real Business Cycles (QM&RBC)
  3. Advanced Monetary Theory and Policy (ECON 447)

Most recent items first, undated at the end.
  • 2014 Is it really more dispersed? Measuring and comparing the stress from the common monetary policy in the euro area
    by Quint, Dominic
  • 2014 The lender of last resort in court
    by Winkler, Adalbert
  • 2014 Gemeinschaftsdiagnose Frühjahr 2014: Deutsche Konjunktur im Aufschwung – aber Gegenwind von der Wirtschaftspolitik
    by Projektgruppe Gemeinschaftsdiagnose
  • 2013 ECB monetary operations and the interbank repo market
    by Dunne, Peter G. & Fleming, Michael J. & Zholos, Andrey
  • 2013 Der lender of last resort vor Gericht
    by Winkler, Adalbert
  • 2013 Bank leverage cycles and the external finance premium
    by Rannenberg, Ansgar
  • 2013 The stimulative effect of forward guidance
    by Gavin, William T. & Keen, Benjamin D. & Richter, Alexander & Throckmorton, Nathaniel
  • 2013 Estimating Monetary Policy Rules When Nominal Interest Rates Are Stuck at Zero
    by Jinill Kim & Seth Pruitt
  • 2013 A Simple Method For Measuring Systemic Risk Using Credit Default Swap Market Data
    by SANGWON SUH & INWON JANG & MISUN AHN
  • 2013 The effects of reconstruction finance corporation assistance on Michigan's banks' survival in the 1930s
    by Calomiris, Charles W. & Mason, Joseph R. & Weidenmier, Marc & Bobroff, Katherine
  • 2013 The Single Supervisory Mechanism, a first step against fragmentation
    by Luigi Chiarella & Guido Ferrarini
  • 2013 The road towards Banking Union
    by Ignazio Angeloni & Giacomo Caviglia
  • 2012 The Effect of Monetary Policy on Real Commodity Prices: A Re-examination
    by Amanda S. Thomson & Peter M. Summers
  • 2012 Effects Of Single Monetary Policy On The Selected Economic And Monetary Union Countries. Case Of So-Called "Piigs" Countries
    by Ludmila BARTOKOVA
  • 2012 Mortgage Lending Risks Insurance
    by Olena Hudz & Petro Stetsyuk
  • 2011 Real indeterminacy and the timing of money in open economies
    by Stephen McKnight
  • 2011 Monetary Policy and TIPS Yields before the Crisis
    by Gerlach, Stefan & Moretti, Laura
  • 2010 Crisis Management at Cross-Roads
    by Rym Ayadi & Morten Balling & Jaime Caruana & Johan Evenepoel & Ingimundur Fridriksson & Rosa Maria Lastra & Frank Lierman & Gregory Nguyen & Francesco Papadia & Peter Praet & Guy Quaden & Paul Tucker & Freddy van den Spiegel
  • 2009 The sub-prime crisis, the credit squeeze, Northern Rock and beyond: The lessons to be learnt
    by Maximilian J. B. Hall
  • 2009 Bank Bailout Mark "Ii" : Will It Work?
    by Maximilian J. B. Hall
  • 2009 Does central bank communication really lead to better forecasts of policy decisions? New evidence based on a Taylor rule model for the ECB
    by Jan-Egbert Sturm & Jakob de Haan
  • 2009 A New Two-Pillar Strategy for the ECB
    by Paul De Grauwe & Daniel Gros
  • 2009 Does Central Bank Communication really Lead to better Forecasts of Policy Decisions? New Evidence Based on a Taylor Rule Model for the ECB
    by Jan-Egbert Sturm & Jakob de Haan
  • 2009 The Failure of Northern Rock - A Multidimensional Case Study
    by Tim Congdon & Charles A.E. Goodhart & Robert A. Eisenbeis & George G. Kaufman & Paul Hamalainen & Rosa M. Lastra & David T. Llewellyn & David G. Mayes & Geoffrey Wood & Alastair Milne & Marco Onado & Michael Taylor
  • 2008 What do we Learn from Taylor Rule Estimations? A Meta-Analysis
    by Georgios Chortareas & George Magonis
  • 2008 Dinámica de la inflación y el canal de costos: Una aplicación para Chile
    by David Coble
  • 2008 Dynamic Factor Models in Forecasting Latvia's Gross Domestic Product
    by Viktors Ajevskis & Gundars Davidsons
  • 2008 The sub-prime crisis, the credit crunch and bank “failure”: An assessment of the UK authorities’ response
    by Maximilian J. B. Hall
  • 2008 The sub-prime crisis, the credit squeeze and Northern Rock: The lessons to be learnt
    by Maximilian J. B. Hall
  • 2008 Does Interbank Borrowing Reduce Bank Risk?
    by Dinger, Valeriya & von Hagen, Jürgen
  • 2008 The Financial Intermediaries, A Real Danger For Banks?
    by Zapodeanu Daniela & Popa Diana
  • 2008 Lessons from the Northern Rock Episode
    by David G. Mayes & Geoffrey Wood
  • 2007 Does Interbank Borrowing Reduce Bank Risk?
    by Dinger, Valeriya & Hagen, Jürgen von
  • 2007 Re-examining the Importance of Trade Openness for Aggregate Instability
    by Stephen McKnight & Alexander Mihailov
  • 2007 Investment and Interest Rate Policy in the Open Economy
    by Stephen McKnight
  • 2007 Real Indeterminacy and the Timing of Money in Open Economies
    by Stephen McKnight
  • 2007 Re-examining the Importance of Trade Openness for Aggregate Instability
    by Stephen McKnight & Alexander Mihailov
  • 2007 Investment and Interest Rate Policy in the Open Economy
    by Stephen McKnight
  • 2007 Real Indeterminacy and the Timing of Money in Open Economies
    by Stephen McKnight
  • 2007 Fiscal Sustainability in a New Keynesian Model
    by Simon Wren-Lewis & Campbell Leith
  • 2007 Russian banks´ private deposit interest rates and market discipline
    by Peresetsky, A.A. & Karminsky, A.M. & Golovan, S.V.
  • 2007 The deposit guarantee-scheme in the Czech republic: history, status quo and comparison with the european system
    by Jiří Hlaváček
  • 2006 Pojištení vkladu: soucasný stav, srovnání a perspektiva v kontextu EU / Credit Insurance: EU context [available in Czech only]
    by Jiří Hlavácek
  • 2006 Output gaps and inflation in Mainland China
    by Stefan Gerlach & Wensheng Peng
  • 2006 Macroeconomic Evolution after a Production Shock: the Role for Financial Intermediation
    by Dmitri V. Vinogradov
  • 2006 Micro-Level Evidence on the Role of MoralHazard in the Asian Financial Crisis
    by HONIG, Adam & JAIN-CHANDRA, Sonali
  • 2005 Banks versus Markets in Processing the Payments Shock
    by Dmitri Vinogradov
  • 2005 Output Gaps and Inflation in Mainland China
    by Stefan Gerlach & Wensheng Peng
  • 2005 The Economic Determinants Of The Brazilian Term Structure Of Interest Rates
    by Rodrigo Sekkel & Denisard Alves
  • 2005 Un modèle de crises jumelles inspiré de la crise asiatique
    by Irina Bunda
  • 2004 Measurement errors in GDP and forward-looking monetary policy: The Swiss case
    by Kugler, Peter & Jordan, Thomas J. & Lenz, Carlos & Savioz, Marcel R.
  • 2004 An approach to bank insolvency in transition and emerging economies
    by David G. Mayes
  • 2004 Macroeconomic evolution aftera shock: the role of financial intermediation
    by Dmitri Vinogradov
  • 2004 An approach to bank insolvency in transition and emerging economies
    by Mayes , David G.
  • 2004 The Risk Alleviating Role of Interbank Market Lending in Central and Eastern European Countries
    by Juergen von Hagen & Valeriya Dinger
  • 2004 External Shocks and Monetary Policy: Does it Pay to Respond to Exchange Rate Deviations?
    by Rodrigo Caputo
  • 2004 Structural Vector Autoregressions and the Analysis of Monetary Policy Interventions: The Swiss Case
    by Peter Kugler & Thomas J. Jordan
  • 2003 Macroeconomic evolution after a shock: the role for financial intermediation
    by Dmitri Vinogradov
  • 2003 Collateral and Credit Supply
    by Joseph Atta-Mensah
  • 2003 Bank-runs und Moral-hazard
    by Gontermann, Andreas
  • 2001 Measuring the Impact of Full Coverage Deposit Insurance Policy in a Probit Model : A Study of the Privately Owned Commercial Banks in Turkey
    by Hulya Bayir
  • 2000 Advantageous Selection in Insurance Market
    by De Meza, D. & Webb, D.C.
  • 2000 Internal Versus External Convertibility and Developing-Country Financial
    by Gerardo della Paolera & Alan M. Taylor
  • 1998 Market Structure and Risk Taking in the Banking Industry
    by Shy, Oz & Stenbacka, Rune
  • 1997 The Government's Discount Rate: Choices and Consequences in a Dynamic Framework
    by Stemp, P.J.
  • 1985 The Gathering Crisis in Federal Deposit Insurance
    by Edward J. Kane