Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ E: Macroeconomics and Monetary Economics
/ / E4: Money and Interest Rates
/ / / E44: Financial Markets and the Macroeconomy
This JEL code is mentioned in the following RePEc Biblio entries:
2014
- Bernal, Oscar & Gnabo, Jean-Yves & Guilmin, Grégory, 2014, "Assessing the contribution of banks, insurance and other financial services to systemic risk," Journal of Banking & Finance, Elsevier, volume 47, issue C, pages 270-287, DOI: 10.1016/j.jbankfin.2014.05.030.
- Mattana, Elena & Panetti, Ettore, 2014, "Bank liquidity, stock market participation, and economic growth," Journal of Banking & Finance, Elsevier, volume 48, issue C, pages 292-306, DOI: 10.1016/j.jbankfin.2014.01.016.
- Jin, Yi & Zeng, Zhixiong, 2014, "Banking risk and macroeconomic fluctuations," Journal of Banking & Finance, Elsevier, volume 48, issue C, pages 350-360, DOI: 10.1016/j.jbankfin.2013.07.039.
- Elgin, Ceyhun & Uras, Burak R., 2014, "Homeownership, informality and the transmission of monetary policy," Journal of Banking & Finance, Elsevier, volume 49, issue C, pages 160-168, DOI: 10.1016/j.jbankfin.2014.09.011.
- Bezemer, Dirk & Grydaki, Maria, 2014, "Financial fragility in the Great Moderation," Journal of Banking & Finance, Elsevier, volume 49, issue C, pages 169-177, DOI: 10.1016/j.jbankfin.2014.09.005.
- Rubio, Margarita & Carrasco-Gallego, José A., 2014, "Macroprudential and monetary policies: Implications for financial stability and welfare," Journal of Banking & Finance, Elsevier, volume 49, issue C, pages 326-336, DOI: 10.1016/j.jbankfin.2014.02.012.
- Markiewicz, Agnieszka & Pick, Andreas, 2014, "Adaptive learning and survey data," Journal of Economic Behavior & Organization, Elsevier, volume 107, issue PB, pages 685-707, DOI: 10.1016/j.jebo.2014.04.005.
- Papadamou, Stephanos & Siriopoulos, Costas, 2014, "Interest rate risk and the creation of the Monetary Policy Committee: Evidence from banks’ and life insurance companies’ stocks in the UK," Journal of Economics and Business, Elsevier, volume 71, issue C, pages 45-67, DOI: 10.1016/j.jeconbus.2013.09.001.
- Gallegati, Marco & Ramsey, James B., 2014, "The forward looking information content of equity and bond markets for aggregate investments," Journal of Economics and Business, Elsevier, volume 75, issue C, pages 1-24, DOI: 10.1016/j.jeconbus.2014.04.002.
- Martin, Antoine & Skeie, David & von Thadden, Ernst-Ludwig, 2014, "The fragility of short-term secured funding markets," Journal of Economic Theory, Elsevier, volume 149, issue C, pages 15-42, DOI: 10.1016/j.jet.2013.10.006.
- DellʼAriccia, Giovanni & Laeven, Luc & Marquez, Robert, 2014, "Real interest rates, leverage, and bank risk-taking," Journal of Economic Theory, Elsevier, volume 149, issue C, pages 65-99, DOI: 10.1016/j.jet.2013.06.002.
- Geromichalos, Athanasios & Simonovska, Ina, 2014, "Asset liquidity and international portfolio choice," Journal of Economic Theory, Elsevier, volume 151, issue C, pages 342-380, DOI: 10.1016/j.jet.2014.01.004.
- Hossein Asgharian & Charlotte Christiansen & Ai Jun Hou, 2014, "Macro-Finance Determinants of the Long-Run Stock-Bond Correlation: The DCC-MIDAS Specification," CREATES Research Papers, Department of Economics and Business Economics, Aarhus University, number 2014-13, Apr.
- Peter Christoffersen & Xuhui (Nick) Pan, 2014, "Oil Volatility Risk and Expected Stock Returns," CREATES Research Papers, Department of Economics and Business Economics, Aarhus University, number 2015-06, Dec.
- Lawrence J. Christiano & Roberto Motto & Massimo Rostagno, 2014, "Risk Shocks," American Economic Review, American Economic Association, volume 104, issue 1, pages 27-65, January.
- Gary Gorton & Guillermo Ordo?ez, 2014, "Collateral Crises," American Economic Review, American Economic Association, volume 104, issue 2, pages 343-378, February.
- Markus K. Brunnermeier & Yuliy Sannikov, 2014, "A Macroeconomic Model with a Financial Sector," American Economic Review, American Economic Association, volume 104, issue 2, pages 379-421, February.
- Virgiliu Midrigan & Daniel Yi Xu, 2014, "Finance and Misallocation: Evidence from Plant-Level Data," American Economic Review, American Economic Association, volume 104, issue 2, pages 422-458, February.
- Jordi Gal?, 2014, "Monetary Policy and Rational Asset Price Bubbles," American Economic Review, American Economic Association, volume 104, issue 3, pages 721-752, March, DOI: 10.1257/aer.104.3.721.
- Andr? Kurmann & Elmar Mertens, 2014, "Stock Prices, News, and Economic Fluctuations: Comment," American Economic Review, American Economic Association, volume 104, issue 4, pages 1439-1445, April.
- Ellen R. McGrattan & Edward C. Prescott, 2014, "A Reassessment of Real Business Cycle Theory," American Economic Review, American Economic Association, volume 104, issue 5, pages 177-182, May.
- Peter Boone & Simon Johnson, 2014, "Forty Years of Leverage: What Have We Learned about Sovereign Debt?," American Economic Review, American Economic Association, volume 104, issue 5, pages 266-271, May.
- Carmen M. Reinhart & Kenneth S. Rogoff, 2014, "Recovery from Financial Crises: Evidence from 100 Episodes," American Economic Review, American Economic Association, volume 104, issue 5, pages 50-55, May.
- John B. Taylor, 2014, "The Role of Policy in the Great Recession and the Weak Recovery," American Economic Review, American Economic Association, volume 104, issue 5, pages 61-66, May.
- Ing-Haw Cheng & Sahil Raina & Wei Xiong, 2014, "Wall Street and the Housing Bubble," American Economic Review, American Economic Association, volume 104, issue 9, pages 2797-2829, September.
- Zheng Liu & Pengfei Wang, 2014, "Credit Constraints and Self-Fulfilling Business Cycles," American Economic Journal: Macroeconomics, American Economic Association, volume 6, issue 1, pages 32-69, January.
- Atif Mian & Amir Sufi & Francesco Trebbi, 2014, "Resolving Debt Overhang: Political Constraints in the Aftermath of Financial Crises," American Economic Journal: Macroeconomics, American Economic Association, volume 6, issue 2, pages 1-28, April.
- Venky Nagar & Gwen Yu, 2014, "Accounting for Crises," American Economic Journal: Macroeconomics, American Economic Association, volume 6, issue 3, pages 184-213, July.
- Eric Monnet, 2014, "Monetary Policy without Interest Rates: Evidence from France's Golden Age (1948 to 1973) Using a Narrative Approach," American Economic Journal: Macroeconomics, American Economic Association, volume 6, issue 4, pages 137-169, October.
- Marta Gómez-Puig & Simón Sosvilla-Rivero, 2014, "Causality and Contagion in EMU Sovereign Debt Markets," Working Papers, Asociación Española de Economía y Finanzas Internacionales, number 14-03, Feb.
- María Lorena Mari del Cristo & Marta Gómez-Puig, 2014, "Dollarization and the relationship between EMBI and fundamentals Latin American countries," Working Papers, Asociación Española de Economía y Finanzas Internacionales, number 14-05, Feb.
- Marta Gómez-Puig & Simón Sosvilla-Rivero & María del Carmen Ramos-Herrera, 2014, "An update on EMU sovereign yield spread drivers in times of crisis: A panel data analysis," Working Papers, Asociación Española de Economía y Finanzas Internacionales, number 14-07, Mar.
- Marta Gómez-Puig & Simón Sosvilla-Rivero, 2014, "EMU sovereign debt market crisis: Fundamentals-based or pure contagion?," Working Papers, Asociación Española de Economía y Finanzas Internacionales, number 14-08, May.
- Riccardo De Bonis & Andrea Silvestrini, 2014, "The Italian financial cycle: 1861-2011," Cliometrica, Journal of Historical Economics and Econometric History, Association Française de Cliométrie (AFC), volume 8, issue 3, pages 301-334, September.
- Harold Ngalawa, 2014, "A Portrait Of Informal Sector Credit And Interest Rates In Malawi: Interpolated Monthly Time Series," The African Finance Journal, Africagrowth Institute, volume 16, issue 2, pages 64-81.
- Giscard ASSOUMOU ELLA & Cécile BASTIDON & Philippe GILLES, 2014, "International Prices, Monetary And Income Shocks: A Svar Model Of The External Trade Channel In African Economies," Review of Economic and Business Studies, Alexandru Ioan Cuza University, Faculty of Economics and Business Administration, issue 14, pages 85-116, December.
- Gilles de Truchis & Benjamin Keddad, 2014, "On the Risk Comovements between the Crude Oil Market and the U.S. Dollar Exchange Rates," AMSE Working Papers, Aix-Marseille School of Economics, France, number 1421, May, revised May 2014.
- Jing Cheng & Meixing Dai & Frédéric Dufourt, 2014, "Banking and Sovereign Debt Crises in a Monetary Union Without Central Bank Intervention," AMSE Working Papers, Aix-Marseille School of Economics, France, number 1428, Jun, revised Jun 2014.
- Leo Kaas & Patrick Pintus & Simon Ray, 2014, "Land Collateral and Labor Market Dynamics in France," AMSE Working Papers, Aix-Marseille School of Economics, France, number 1443, Sep, revised Oct 2014.
- Dewachter, Hans & Iania, Leonardo & Lyrio, Marco, 2014, "Information in the yield curve: A macro-finance approach," LIDAM Reprints LFIN, Université catholique de Louvain, Louvain Finance (LFIN), number 2014007, Jan.
- Hasan Güngör & Salih Turan Katircioglu & Mehmet Mercan, 2014, "Revisiting the nexus between financial development, FDI, and growth: New evidence from second generation econometric procedures in the Turkish context," Acta Oeconomica, Akadémiai Kiadó, Hungary, volume 64, issue 1, pages 73-89, March.
- Zalán Kocsis, 2014, "Global, regional, and country-specific components of financial market indicators," Acta Oeconomica, Akadémiai Kiadó, Hungary, volume 64, issue supplemen, pages 81-110, November.
- Zsolt Darvas, 2014, "Can Europe recover without credit?," Society and Economy, Akadémiai Kiadó, Hungary, volume 36, issue 2, pages 129-149, June.
- Kamel Helali & Mouna Rekik & Maha Kalai, 2014, "Effects Of Short And Long Run Subprime Crisis On The Industrial Sector In The Emerging Countries: Ardl Approach," Annales Universitatis Apulensis Series Oeconomica, Faculty of Sciences, "1 Decembrie 1918" University, Alba Iulia, volume 1, issue 16, pages 1-10.
- Federico GIRI, 2014, "Does Interbank Market Matter for Business Cycle Fluctuation? An Estimated DSGE Model with Financial Frictions for the Euro Area," Working Papers, Universita' Politecnica delle Marche (I), Dipartimento di Scienze Economiche e Sociali, number 398, Mar.
- Marcelo L. Moura & Rafael L. Gaião, 2014, "Impact Of Macroeconomic Surprises On Thebrazilian Yield Curve And Expected Inflation," Anais do XL Encontro Nacional de Economia [Proceedings of the 40th Brazilian Economics Meeting], ANPEC - Associação Nacional dos Centros de Pós-Graduação em Economia [Brazilian Association of Graduate Programs in Economics], number 051.
- Anjan V. Thakor, 2014, "Bank Capital and Financial Stability: An Economic Trade-Off or a Faustian Bargain?," Annual Review of Financial Economics, Annual Reviews, volume 6, issue 1, pages 185-223, December.
- Anton Korinek & Enrique G. Mendoza, 2014, "From Sudden Stops to Fisherian Deflation: Quantitative Theory and Policy," Annual Review of Economics, Annual Reviews, volume 6, issue 1, pages 299-332, August.
- Ana Fostel & John Geanakoplos, 2014, "Endogenous Collateral Constraints and the Leverage Cycle," Annual Review of Economics, Annual Reviews, volume 6, issue 1, pages 771-799, August.
- Paul Castillo & Cesar Carrera & Marco Ortiz & Hugo Vega, 2014, "Spillovers, capital flows and prudential regulation in small open economies," Working Papers, Peruvian Economic Association, number 10, Mar.
- Nikita Céspedes-Reynaga & Fabrizio Orrego, 2014, "Competencia de intermediarios financieros en Perú," Working Papers, Peruvian Economic Association, number 17, Sep.
- Javier Bianchi & Saki Bigio, 2014, "Banks, Liquidity Management and Monetary Policy," Working Papers, Peruvian Economic Association, number 18, Sep.
- Saki Bigio, 2014, "Financial Risk Capacity," Working Papers, Peruvian Economic Association, number 22, Nov.
- Saki Bigio, 2014, "Endogenous Liquidity and the Business Cycle," Working Papers, Peruvian Economic Association, number 24, Nov.
- Jean-Bernard Chatelain & Kirsten Ralf, 2014, "Stability and Identification with Optimal Macroprudential Policy Rules," Papers, arXiv.org, number 1404.3347, Apr.
- Ivan Medovikov, 2014, "When does the stock market listen to economic news? New evidence from copulas and news wires," Papers, arXiv.org, number 1410.8427, Oct.
- Bernhard O. Ishioro, 2014, "The Dynamics Of Exchange Rate Expectations Formation: The Nigerian Perspective," Economic Thought and Practice, Department of Economics and Business, University of Dubrovnik, volume 23, issue 2, pages 431-460, december.
- Iulia Andreea Bucur & Simona Elena Dragomirescu, 2014, "The Influence Of Macroeconomic Conditions On Credit Risk: Case Of Romanian Banking System," Studies and Scientific Researches. Economics Edition, "Vasile Alecsandri" University of Bacau, Faculty of Economic Sciences, issue 19.
- Florin Mihai Magda, 2014, "BASEL III IMPACT ON BANKING SECTOR AND SMEs FINANCING," Studies and Scientific Researches. Economics Edition, "Vasile Alecsandri" University of Bacau, Faculty of Economic Sciences, issue 19.
- Catalin Drob, 2014, "Recent Evolution Of The Capital Markets In Romania," Studies and Scientific Researches. Economics Edition, "Vasile Alecsandri" University of Bacau, Faculty of Economic Sciences, issue 20.
- Lorena Mari del Cristo & Marta Gómez-Puig, 2014, "Dollarization and the relationship between EMBI and fundamentals in Latin American countries," Working Papers, Universitat de Barcelona, UB Riskcenter, number 2014-02, Feb.
- Marta Gómez-Puig & Simón Sosvilla-Rivero, 2014, "Causality and contagion in EMU sovereign debt markets," Working Papers, Universitat de Barcelona, UB Riskcenter, number 2014-03, Feb.
- Marta Gómez-Puig & Simón Sosvilla-Rivero & María del Carmen Ramos-Herrera, 2014, "An update on EMU sovereign yield spread drivers in time of crisis: A panel data analysis," Working Papers, Universitat de Barcelona, UB Riskcenter, number 2014-04, Mar.
- Prakash L. Dheeriya & Fahimeh Rezayat & Burhan F. Yavas, 2014, "Relations between Volatility and Returns of Exchange Traded Funds of Emerging Markets and of USA," Review of Economics & Finance, Better Advances Press, Canada, volume 4, pages 44-46, Feburary.
- Anthony Orji & God'stime Osekhebhen Eigbiremolen & Jonathan Emenike Ogbuabor, 2014, "Impact of Financial Liberalization on Private Investment: Empirical Evidence from Nigerian Data," Review of Economics & Finance, Better Advances Press, Canada, volume 4, pages 77-86, May.
- Victor Yotzov, 2014, "Prognostic Power of Early Warning Signals for Financial Crises – Theoretical Approaches and Empirical Results," Economic Studies journal, Bulgarian Academy of Sciences - Economic Research Institute, issue 2, pages 3-38.
- Anton Gerunov, 2014, "Connection between Financial Sector and Economic Growth at High Levels of Financial Development," Economic Studies journal, Bulgarian Academy of Sciences - Economic Research Institute, issue 2, pages 39-68.
- Giovanni Melina & Stefania Villa, 2014, "Leaning Against Windy Bank Lending," BCAM Working Papers, Birkbeck Centre for Applied Macroeconomics, number 1402, Jul.
- Piergiorgio Alessandri & Haroon Mumtaz, 2014, "Financial regimes and uncertainty shocks," BCAM Working Papers, Birkbeck Centre for Applied Macroeconomics, number 1404, Oct.
- Stefania Villa, 2014, "Financial frictions in the Euro Area and the United States: a Bayesian assessment," BCAM Working Papers, Birkbeck Centre for Applied Macroeconomics, number 1407, Dec.
- Vivek Prasad, 2014, "Balanced budget stimulus with tax cuts in a liquidity constrained economy," Birkbeck Working Papers in Economics and Finance, Birkbeck, Department of Economics, Mathematics & Statistics, number 1401, Jan.
- Yunus Aksoy & Henrique S. Basso, 2014, "Securitization and Asset Prices," Birkbeck Working Papers in Economics and Finance, Birkbeck, Department of Economics, Mathematics & Statistics, number 1411, Nov.
- Jaime Zurita, 2014, "La reforma del sector bancario espanol hasta la recuperacion de los flujos de credito," Working Papers, BBVA Bank, Economic Research Department, number 1412, May.
- Tatjana Dahlhaus, 2014, "Monetary Policy Transmission during Financial Crises: An Empirical Analysis," Staff Working Papers, Bank of Canada, number 14-21, DOI: 10.34989/swp-2014-21.
- Mark Rempel, 2014, "Improving Overnight Loan Identification in Payments Systems," Staff Working Papers, Bank of Canada, number 14-25, DOI: 10.34989/swp-2014-25.
- Sumru Altug & Serdar Kabaca, 2014, "Search Frictions, Financial Frictions and Labour Market Fluctuations in Emerging Markets," Staff Working Papers, Bank of Canada, number 14-35, DOI: 10.34989/swp-2014-35.
- Katya Kartashova, 2014, "Improving Public Equity Markets? No Pain, No Gain," Staff Working Papers, Bank of Canada, number 14-41, DOI: 10.34989/swp-2014-41.
- Serdar Kabaca, 2014, "Labour Share Fluctuations in Emerging Markets: The Role of the Cost of Borrowing," Staff Working Papers, Bank of Canada, number 14-47, DOI: 10.34989/swp-2014-47.
- Sami Alpanda & Gino Cateau & Césaire Meh, 2014, "A Policy Model to Analyze Macroprudential Regulations and Monetary Policy," Staff Working Papers, Bank of Canada, number 14-6, DOI: 10.34989/swp-2014-6.
- H. Evren Damar & Reint Gropp & Adi Mordel, 2014, "Banks’ Financial Distress, Lending Supply and Consumption Expenditure," Staff Working Papers, Bank of Canada, number 14-7, DOI: 10.34989/swp-2014-7.
- Muhsin KAR & Saban NAZLIOGLU & Huseyin AGIR, 2014, "Trade Openness, Financial Development, and Economic Growth in Turkey: Linear and Nonlinear Causality Analysis," Journal of BRSA Banking and Financial Markets, Banking Regulation and Supervision Agency, volume 8, issue 1, pages 63-86.
- Juan Carlos Berganza & Ignacio Hernando & Javier Vallés, 2014, "Los desafíos para la política monetaria en las economías avanzadas tras la Gran Recesión," Occasional Papers, Banco de España, number 1404, Sep.
- Irina Balteanu & Aitor Erce, 2014, "Banking crises and sovereign defaults in emerging markets: exploring the links," Working Papers, Banco de España, number 1414, Jul.
- Ángel Estrada & Eva Valdeolivas & Javier Vallés & Daniel Garrote, 2014, "Household debt and uncertainty: Private consumption after the Great Recession," Working Papers, Banco de España, number 1415, Jul.
- Javier Andrés & Óscar Arce & Carlos Thomas, 2014, "Structural reforms in a debt overhang," Working Papers, Banco de España, number 1421, Jul.
- Paolo Angelini & Giuseppe Grande & Fabio Panetta, 2014, "The negative feedback loop between banks and sovereigns," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 213, Jan.
- Luca Arciero & Ronald Heijmans & Richard Heuver & Marco Massarenti & Cristina Picillo & Francesco Vacirca, 2014, "How to measure the unsecured money market? The Eurosystem�s implementation and validation using TARGET2 data," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 215, Apr.
- Daniele Ciani & Wanda Cornacchia & Paolo Garofalo, 2014, "The macroprudential measures adopted in Europe for the real estate sector," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 227, Sep.
- Emanuele Baldacci & Sanjeev Gupta & Carlos Mulas-Granados & Fabio Balboni & Mirko Licchetta & Alexander Klemm & Luca Agnello & Gilles Dufr�not & Ricardo M. Sousa & Raffaela Giordano & Marcello Peric, 2014, "Fiscal Policy and Macroeconomic Imbalances," Workshop and Conferences, Bank of Italy, Economic Research and International Relations Area, number 16, Nov.
- Piergiorgio Alessandri & Haroon Mumtaz, 2014, "Financial indicators and density forecasts for US output and inflation," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 977, Oct.
- Roberto Pancrazi & Mario Pietrunti, 2014, "Natural Expectations and Home Equity Extraction," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 984, Oct.
- Danilo Liberati, 2014, "An estimated DSGE model with search and matching frictions in the credit market," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 986, Oct.
- Alessandro Notarpietro & Stefano Siviero, 2014, "Optimal monetary policy rules and house prices: the role of financial frictions," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 993, Oct.
- Carrillo Julio A. & Poilly Céline, 2014, "Investigating the Zero Lower Bound on the Nominal Interest Rate Under Financial Instability," Working Papers, Banco de México, number 2014-01, Jan.
- Juan Sebastián Amador & Celina Gaitán-Maldonado & José Eduardo Gómez-González & Mauricio Villamizar-Villegas & Héctor Manuel Zárate, 2014, "Credit and Business Cycles: An Empirical Analysis in the Frequency Domain," Borradores de Economia, Banco de la Republica de Colombia, number 843, Sep, DOI: 10.32468/be.843.
- Jesús A. Bejarano & Luisa F. Charry, 2014, "Financial Frictions and Optimal Monetary Policy in a Small Open Economy," Borradores de Economia, Banco de la Republica de Colombia, number 852, Nov, DOI: 10.32468/be.852.
- Víctor Alexander Díaz, 2014, "Crédito privado, crédito bancario y producto interno bruto: evidencia para una muestra suramericana," Revista ESPE - Ensayos sobre Política Económica, Banco de la Republica de Colombia, volume 32, issue 73, pages 104-126, July, DOI: 10.1016/S0120-4483(14)70022-3.
- Camilo González & Carmiña Vargas & Luisa Silva & Andrés M. Velasco, 2014, "Uncertainty in the Money Supply Mechanism and Interbank Markets in Colombia," Revista ESPE - Ensayos sobre Política Económica, Banco de la Republica de Colombia, volume 32, issue 73, pages 36-49, July, DOI: 10.1016/S0120-4483(14)70018-1.
- Alexander Guarín & Andrés González & Daphné Skandalis & Daniela Sánchez, 2014, "An Early Warning Model for Predicting Credit Booms Using Macroeconomic Aggregates," Revista ESPE - Ensayos sobre Política Económica, Banco de la Republica de Colombia, volume 32, issue 73, pages 77-86, July, DOI: 10.1016/S0120-4483(14)70020-X.
- Branko Urosevic & Nikola Grga, 2014, "Application Of Dynamic Stochastic General Equilibrium Models To The Case Of The Serbian Economy," Economic Annals, Faculty of Economics and Business, University of Belgrade, volume 59, issue 201, pages 35-68, April – J.
- Irena Jankovic & Bosko Zivkovic, 2014, "An Analysis Of The Effect Of Currency Mismatch On A Country’S Default Risk," Economic Annals, Faculty of Economics and Business, University of Belgrade, volume 59, issue 201, pages 85-122, April – J.
- Laurent Clerc & Gabrieli, S. & Kern, S. & El Omari, Y., 2014, "Monitoring the European CDS Market through Networks: Implications for Contagion Risks," Working papers, Banque de France, number 477.
- Gilchrist, S. & Benoit Mojon, 2014, "Credit Risk in the Euro area," Working papers, Banque de France, number 482.
- C. Bortoli & L. Harreau & Cyril Pouvelle, 2014, "Determinants of OECD countries sovereign yields: safe havens, purgatory, and the damned," Working papers, Banque de France, number 494.
- J.I.Lopez & V. Olivella Moppett, 2014, "Financial Shocks and the Cyclical Behavior of Skilled and Unskilled Unemployment," Working papers, Banque de France, number 496.
- Yannick Kalantzis, 2014, "Financial fragility in small open economies: firm balance sheets and the sectoral structure," Working papers, Banque de France, number 505.
- Pier Lopez, 2014, "The Term Structure of the Welfare Cost of Uncertainty," Working papers, Banque de France, number 521.
- L. Kaas & Patrick A. Pintus & Simon Ray, 2014, "Land Collateral and Labor Market Dynamics in France," Working papers, Banque de France, number 530.
- Laurent Clerc & A. Derviz & C. Mendicino & S. Moyen & K. Nikolov & L. Stracca & J. Suarez & A. P. Vardoulakis, 2014, "Capital Regulation in a Macroeconomic Model with Three Layers of Default," Working papers, Banque de France, number 533.
- Fourel, G. & Lecourt, S., 2014, "L’actif net des organismes de placement collectif français non monétaires augmente en 2013 en dépit de retraits nets," Bulletin de la Banque de France, Banque de France, issue 196, pages 101-116.
- Torre, G., 2014, "La monnaie fiduciaire en France en 2013," Bulletin de la Banque de France, Banque de France, issue 196, pages 117-125.
- Klaus Adam & Juan Pablo Nicolini & Albert Marcet, 2015, "Stock Market Volatility and Learning," Working Papers, Barcelona School of Economics, number 336, Sep.
- Gabriel Chodorow-Reich, 2014, "Effects of Unconventional Monetary Policy on Financial Institutions," Brookings Papers on Economic Activity, Economic Studies Program, The Brookings Institution, volume 45, issue 1 (Spring, pages 155-227.
- Kevin D. Sheedy, 2014, "Debt and Incomplete Financial Markets: A Case for Nominal GDP Targeting," Brookings Papers on Economic Activity, Economic Studies Program, The Brookings Institution, volume 45, issue 1 (Spring, pages 301-373.
- Pei Kuang, 2014, "A Model of Housing and Credit Cycles with Imperfect Market Knowledge," Discussion Papers, Department of Economics, University of Birmingham, number 14-07, Mar.
- Mathias Drehmann & Kostas Tsatsaronis, 2014, "The credit-to-GDP gap and countercyclical capital buffers: questions and answers," BIS Quarterly Review, Bank for International Settlements, March.
- Claudio Borio, 2014, "The international monetary and financial system: its Achilles heel and what to do about it," BIS Working Papers, Bank for International Settlements, number 456, Aug.
- Claudio Borio & Harold James & Hyun Song Shin, 2014, "The international monetary and financial system: a capital account historical perspective," BIS Working Papers, Bank for International Settlements, number 457, Aug.
- Paul Castillo & Cesar Carrera & Marco Ortiz & Hugo Vega, 2014, "Spillovers, capital ows and prudential regulation in small open economies," BIS Working Papers, Bank for International Settlements, number 459, Sep.
- Sami Alpanda & Gino Cateau & Cesaire Meh, 2014, "A policy model to analyze macroprudential regulations and monetary policy," BIS Working Papers, Bank for International Settlements, number 461, Sep.
- Giovanni Melina & Stefania Villa, 2014, "Fiscal Policy And Lending Relationships," Economic Inquiry, Western Economic Association International, volume 52, issue 2, pages 696-712, April.
- Andriansyah Andriansyah & George Messinis, 2014, "Equity Markets and Economic Development: Does the Primary Market Matter?," The Economic Record, The Economic Society of Australia, volume 90, issue , pages 127-141, June.
- Masagus M. Ridhwan & Henri L. F. Groot & Piet Rietveld & Peter Nijkamp, 2014, "The Regional Impact of Monetary Policy in Indonesia," Growth and Change, Wiley Blackwell, volume 45, issue 2, pages 240-262, June.
- Masahiko Shibamoto & Minoru Tachibana, 2014, "Individual Stock Returns and Monetary Policy: Evidence from Japanese Data," The Japanese Economic Review, Japanese Economic Association, volume 65, issue 3, pages 375-396, September.
- David Backus & Mikhail Chernov & Stanley Zin, 2014, "Sources of Entropy in Representative Agent Models," Journal of Finance, American Finance Association, volume 69, issue 1, pages 51-99, February.
- Frederic Malherbe, 2014, "Self-Fulfilling Liquidity Dry-Ups," Journal of Finance, American Finance Association, volume 69, issue 2, pages 947-970, April.
- Adam Copeland & Antoine Martin & Michael Walker, 2014, "Repo Runs: Evidence from the Tri-Party Repo Market," Journal of Finance, American Finance Association, volume 69, issue 6, pages 2343-2380, December.
- Nikolay Hristov & Oliver Hülsewig & Timo Wollmershäuser, 2014, "Financial Frictions and Inflation Differentials in a Monetary Union," Manchester School, University of Manchester, volume 82, issue 5, pages 549-595, September.
- Yin-Wong Cheung & Risto Herrala, 2014, "China's Capital Controls: Through the Prism of Covered Interest Differentials," Pacific Economic Review, Wiley Blackwell, volume 19, issue 1, pages 112-134, February.
- Enrique G. Mendoza & Katherine A. Smith, 2014, "Financial Globalization, Financial Crises, and the External Portfolio Structure of Emerging Markets," Scandinavian Journal of Economics, Wiley Blackwell, volume 116, issue 1, pages 20-57, January, DOI: 10.1111/sjoe.12039.
- Karl Walentin, 2014, "Housing Collateral and the Monetary Transmission Mechanism," Scandinavian Journal of Economics, Wiley Blackwell, volume 116, issue 3, pages 635-668, July.
- Balázs Égert & Douglas Sutherland, 2014, "The Nature of Financial and Real Business Cycles: The Great Moderation and Banking Sector Pro-Cyclicality," Scottish Journal of Political Economy, Scottish Economic Society, volume 61, issue 1, pages 98-117, February.
- Andreas Hoffmann, 2014, "Zero-interest Rate Policy and Unintended Consequences in Emerging Markets," The World Economy, Wiley Blackwell, volume 37, issue 10, pages 1367-1387, October.
- Stefan Goldbach & Volker Nitsch, 2014, "Extra Credit: Bank Finance and Firm Export Status in Germany," The World Economy, Wiley Blackwell, volume 37, issue 7, pages 883-891, July.
- Jaime Vargas Ramos & Martín Villegas Tufiño, 2014, "Seguimiento al mercado inmobiliario y al crédito de vivienda que realiza el BCB para la detección de señales de burbujas," Serie de Documentos de Trabajo, Banco Central de Bolivia, number 2014/02, Nov.
- Ignacio Garrón Vedia & Martín Villegas Tufiño, 2014, "Influencia del microcrédito en el crecimiento económico: un enfoque regional interno," Serie de Documentos de Trabajo, Banco Central de Bolivia, number 2014/06, Dec.
- Ørjan Robstad, 2014, "House prices, credit and the effect of monetary policy in Norway: Evidence from Structural VAR Models," Working Paper, Norges Bank, number 2014/05, May.
- Michal Brzoza-Brzezina & Paolo Gelain & Marcin Kolasa, 2014, "Monetary and macroprudential policy with multi-period loans," Working Paper, Norges Bank, number 2014/16, Nov.
- André Kallåk Anundsen & Christian Heebøll, 2014, "Supply restrictions, subprime lending and regional US house prices," Working Paper, Norges Bank, number 2014/18, Dec.
- Peter N. Ireland, 2014, "Monetary Policy, Bond Risk Premia, and the Economy," Boston College Working Papers in Economics, Boston College Department of Economics, number 852, Feb.
- Ambrogio Cesa-Bianchi & Emilio Fernandez-Corugedo, 2014, "Uncertainty in a model with credit frictions," Bank of England working papers, Bank of England, number 496, Apr.
- Shekhar Aiyar & Charles Calomiris & John Hooley & Yevgeniya Korniyenko & Tomasz Wieladek, 2014, "The international transmission of bank capital requirements: evidence from the United Kingdom," Bank of England working papers, Bank of England, number 497, Apr.
- Shekhar Aiyar & Charles Calomiris & Tomasz Wieladek, 2014, "How does credit supply respond to monetary policy and bank minimum capital requirements?," Bank of England working papers, Bank of England, number 508, Sep.
- Petros Migiakis, 2014, "The international financial markets as a source of funding for Greek non-financial corporations," Economic Bulletin, Bank of Greece, issue 40, pages 59-78, December.
- Athanasios O. Tagkalakis, 2014, "Financial stability indicators and public debt developments," Working Papers, Bank of Greece, number 179, Apr.
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- Bong Geul Chun & Dong Gyu Lee, 2014, "The Research on the Impact of Internet Banking on Demand Deposit and Bank Profitability (in Korean)," Working Papers, Economic Research Institute, Bank of Korea, number 2014-6, Apr.
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- Imam Wahyudi & Gandhi Anwar Sani, 2014, "Interdependence between Islamic capital market and money market: Evidence from Indonesia," Borsa Istanbul Review, Research and Business Development Department, Borsa Istanbul, volume 14, issue 1, pages 32-47, March.
- Stefan Lyocsa & Eduard Baumohl, 2014, "Stability of the “returns-growth” relationship in G7: The dynamic conditional lagged correlation approach," Borsa Istanbul Review, Research and Business Development Department, Borsa Istanbul, volume 14, issue 1, pages 48-56, March.
- Nihal Bayraktar, 2014, "Measuring relative development level of stock markets: Capacity and effort of countries," Borsa Istanbul Review, Research and Business Development Department, Borsa Istanbul, volume 14, issue 2, pages 74-95, June.
- Shaista Arshad & Syed Aun R. Rizvi & Mansor H. Ibrahim, 2014, "Tripartite analysis across business cycles in Turkey: A multi-timescale inquiry of efficiency, volatility and integration," Borsa Istanbul Review, Research and Business Development Department, Borsa Istanbul, volume 14, issue 4, pages 224-235, December.
- Ceyhun Elgin & Burak R. Uras, 2014, "Homeownership, Informality and the Transmission of Monetary Policy," Working Papers, Bogazici University, Department of Economics, number 2014/09, Sep.
- Mahadeva Lavan, 2014, "Why does natural resource abundance not always lead to better outcomes? Limited financial development versus political impatience," The B.E. Journal of Macroeconomics, De Gruyter, volume 14, issue 1, pages 341-377, January, DOI: 10.1515/bejm-2012-0038.
- Feroldi Valentina & Gaffeo Edoardo, 2014, "At the Core of the International Financial System," Global Economy Journal, De Gruyter, volume 14, issue 2, pages 163-188, April, DOI: 10.1515/gej-2014-0006.
- Kaehler Juergen & Weber Christoph S. & Aref Haider Salahal-Din, 2014, "The Iraqi Stock Market: Development and Determinants," Review of Middle East Economics and Finance, De Gruyter, volume 10, issue 2, pages 151-175, August, DOI: 10.1515/rmeef-2013-0053.
- Cristian, IONESCU, 2014, "The Role Of The Economic And Institutional Framework In Ensuring Financial Stability In Romania, During 2012-2014," Management Strategies Journal, Constantin Brancoveanu University, volume 26, issue 4, pages 230-242.
- Cristian, IONESCU, 2014, "Financial Instability In Romania," Management Strategies Journal, Constantin Brancoveanu University, volume 26, issue 4, pages 243-254.
- Michel Aglietta, 2014, "L' aggiornamento des politiques monétaires," Revue d'économie financière, Association d'économie financière, volume 0, issue 1, pages 243-256.
- Jérôme Coffinet & Jérémi Montornès, 2014, "Le financement de l'habitat en France et la crise financière," Revue d'économie financière, Association d'économie financière, volume 0, issue 3, pages 209-228.
- Hashem Pesaran & Ambrogio Cesa-Bianchi & Alessandro Rebucci, 2014, "Uncertainty and Economic Activity: A Global Perspective," Cambridge Working Papers in Economics, Faculty of Economics, University of Cambridge, number 1407, May.
- Christopher M. Gunn, 2014, "Overaccumulation, Interest, and Prices," Carleton Economic Papers, Carleton University, Department of Economics, number 14-07, Jul.
- O'Brien, Martin & Whelan, Karl, 2014, "Changes in Bank Leverage: Evidence from US Bank Holding Companies," Research Technical Papers, Central Bank of Ireland, number 01/RT/14, Feb.
- Dunne, Peter G. & Fleming, Michael J. & Zholos, Andrey, 2014, "ECB Monetary Operations and the Interbank Repo Market," Research Technical Papers, Central Bank of Ireland, number 09/RT/14, Aug.
- Clancy, Daragh & Merola, Rossana, 2014, "The effect of macroprudential policy on endogenous credit cycles," Research Technical Papers, Central Bank of Ireland, number 15/RT/14, Nov.
- Chia-Lin Chang & Hui-Kuang Hsu & Michael McAleer, 2014, "A Tourism Conditions Index," Working Papers in Economics, University of Canterbury, Department of Economics and Finance, number 14/03, Jan.
- Chia-Lin Chang & Hui-Kuang Hsu & Michael McAleer, 2014, "A Tourism Financial Conditions Index," Working Papers in Economics, University of Canterbury, Department of Economics and Finance, number 14/13, May.
- Le, Vo Phuong Mai & Meenagh, David & Minford, Patrick, 2014, "Monetarism rides again? US monetary policy in a world of Quantitative Easing," Cardiff Economics Working Papers, Cardiff University, Cardiff Business School, Economics Section, number E2014/22, Oct.
- Mario Catalán & Eduardo Ganapolsky, 2014, "On the optimality of bank capital requirement policy in a macroeconomic framework," Journal of Applied Economics, Universidad del CEMA, volume 17, pages 229-256, November.
- Martin Kuncl, 2014, "Securitization under Asymmetric Information over the Business Cycle," CERGE-EI Working Papers, The Center for Economic Research and Graduate Education - Economics Institute, Prague, number wp506, Feb.
- Max Gillman & Michal Kejak & Michal Pakos, 2014, "Learning about Disaster Risk: Joint Implications for Consumption and Asset Prices," CERGE-EI Working Papers, The Center for Economic Research and Graduate Education - Economics Institute, Prague, number wp507, Feb.
- Myroslav Pidkuyko, 2014, "Dynamics of Consumption and Dividends over the Business Cycle," CERGE-EI Working Papers, The Center for Economic Research and Graduate Education - Economics Institute, Prague, number wp522, Dec.
- Nikolay Hristov & Oliver Hülsewig & Thomas Siemsen & Timo Wollmershäuser, 2014, "Smells Like Fiscal Policy? Assessing the Potential Effectiveness of the ECB's OMT Program," CESifo Working Paper Series, CESifo, number 4628.
- Gert Peersman & Wolf Wagner, 2014, "Shocks to Bank Lending, Risk-Taking, Securitization, and their Role for U.S. Business Cycle Fluctuations," CESifo Working Paper Series, CESifo, number 4701.
- Ambrogio Cesa-Bianchi & M. Hashem Pesaran & Alessandro Rebucci, 2014, "Uncertainty and Economic Activity: A Global Perspective," CESifo Working Paper Series, CESifo, number 4736.
- Henrike Michaelis & Sebastian Watzka, 2014, "Are there Differences in the Effectiveness of Quantitative Easing at the Zero-Lower-Bound in Japan over Time?," CESifo Working Paper Series, CESifo, number 4901.
- Jef Boeckx & Maarten Dossche & Gert Peersman, 2014, "Effectiveness and Transmission of the ECB's Balance Sheet Policies," CESifo Working Paper Series, CESifo, number 4907.
- Helios Herrera & Guillermo Ordonez & Christoph Trebesch, 2014, "Political Booms, Financial Crises," CESifo Working Paper Series, CESifo, number 4935.
- Ingo G. Bordon & Kai D. Schmid & Michael Schmidt, 2014, "Hypnosis Before Wake-up Call?! The Revival of Sovereign Credit Risk Perception in the EMU-Crisis," CESifo Working Paper Series, CESifo, number 4946.
- Marc Auboin & Isabella Blengini, 2014, "The Impact of Basel III on Trade Finance: The Potential Unintended Consequences of the Leverage Ratio," CESifo Working Paper Series, CESifo, number 4953.
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