Citations for "Debt, Financial Fragility, and Systemic Risk"
by Davis, E. Philip
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- Steven Ongena, 1999.
"Lending Relationships, Bank Default and Economic Activity,"
International Journal of the Economics of Business,
Taylor and Francis Journals, vol. 6(2), pages 257-280.
- Arturo Estrella, 1998.
"The Future of Regulatory Capital: General Principles and Specific Proposals,"
Swiss Journal of Economics and Statistics (SJES),
Swiss Society of Economics and Statistics (SSES), vol. 134(IV), pages 599-616, December.
- Upper, Christian, 2011.
"Simulation methods to assess the danger of contagion in interbank markets,"
Journal of Financial Stability,
Elsevier, vol. 7(3), pages 111-125, August.
- Knutsen, Sverre & Sjögren, Hans, 2009.
"Institutional Clash and Financial Fragility. An Evolutionary Model of Banking Crises,"
MPRA Paper
13133, University Library of Munich, Germany.
- Sanjiv Ranjan Das & Raman Uppal, 2004.
"Systemic Risk and International Portfolio Choice,"
Journal of Finance,
American Finance Association, vol. 59(6), pages 2809-2834, December.
- Fernando Nieto, 2007.
"The determinants of household credit in Spain,"
Banco de España Working Papers
0716, Banco de España.
- Lunde, Jens, 2006.
"The owner-occupiers’ capital structure during a house price boom,"
Working Papers
2005-3, Copenhagen Business School, Department of Finance.
- Ray Barrell & Olga Pomerantz & E.Philip Davis, 2004.
"Costs of Financial Instability, Household-Sector Balance Sheets and Consumption,"
NIESR Discussion Papers
243, National Institute of Economic and Social Research.
- Barrell, Ray & Davis, E. Philip & Pomerantz, Olga, 2006.
"Costs of financial instability, household-sector balance sheets and consumption,"
Journal of Financial Stability,
Elsevier, vol. 2(2), pages 194-216, June.
- Javier Comboni, 1998.
"Solidez financiera y estabilidad macroeconómica,"
Revista de Análisis del BCB,
Banco Central de Bolivia, vol. 1(2), pages 19-46, December.
- William C. Hunter & David Marshall, 1999.
"Thoughts on financial derivatives, systematic risk, and central banking: a review of some recent developments,"
Working Paper Series
WP-99-20, Federal Reserve Bank of Chicago.
- Yasushi Suzuki, 2002.
"BANK RENTS AND UNCERTAINTY. A Legacy of the Subjectivists,"
Working Papers
123, Department of Economics, SOAS, University of London, UK.
- David Backus & Silverio Foresi & Liuren Wu, 2002.
"Contagion in Financial Markets,"
Finance
0207009, EconWPA.
- Philip Arestis, 1999.
"The Independent European Central Bank: Keynesian Alternatives,"
Economics Working Paper Archive
wp_274, Levy Economics Institute, The.
- Davis, E. Philip & Karim, Dilruba, 2008.
"Comparing early warning systems for banking crises,"
Journal of Financial Stability,
Elsevier, vol. 4(2), pages 89-120, June.
- Davis, E. Philip & Zhu, Haibin, 2011.
"Bank lending and commercial property cycles: Some cross-country evidence,"
Journal of International Money and Finance,
Elsevier, vol. 30(1), pages 1-21, February.
- Patrick Honohan, 1998.
"Diagnosing Banking System Failures in Developing Countries,"
Papers
WP093, Economic and Social Research Institute (ESRI).
- E. Davis & Dilruba Karim & Iana Liadze, 2011.
"Should multivariate early warning systems for banking crises pool across regions?,"
Review of World Economics (Weltwirtschaftliches Archiv),
Springer, vol. 147(4), pages 693-716, November.
- Hansen, Jan, 2003.
"Financial Cycles and Bankruptcies in the Nordic Countries,"
Working Paper Series
149, Sveriges Riksbank (Central Bank of Sweden).
- Hyytinen, Ari & Toivanen, Otto, 2004.
"Monitoring and market power in credit markets,"
International Journal of Industrial Organization,
Elsevier, vol. 22(2), pages 269-288, February.
- Vicente Salas & Jesús Saurina, 2002.
"Credit Risk in Two Institutional Regimes: Spanish Commercial and Savings Banks,"
Journal of Financial Services Research,
Springer, vol. 22(3), pages 203-224, December.
- Yasushi Suzuki, 2001.
"The Crisis of Financial Intermediation, Understanding Japan’s Lingering Economic Stagnation,"
Working Papers
116, Department of Economics, SOAS, University of London, UK.
- Karsten R. Gerdrup, 2003.
"Three episodes of financial fragility in Norway since the 1890s,"
BIS Working Papers
142, Bank for International Settlements.
- Claudiu Tiberiu ALBULESCU, 2011.
"Macro-Financial Risks and Central Banks: What Changes Has the Crisis Triggered?,"
Timisoara Journal of Economics,
West University of Timisoara, Romania, Faculty of Economics and Business Administration, vol. 4(3(15)), pages 135-142.
- Klaus P. Fischer & Martin Chenard, 1997.
"Financial Liberalization Causes Banking System Fragility,"
Finance
9706004, EconWPA.