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
/ / / E50: General
/ / / E51: Money Supply; Credit; Money Multipliers
/ / / E52: Monetary Policy
/ / / E53: Deposit Insurance
/ / / E58: Central Banks and Their Policies
/ / / E59: Other
2017
- Unknown, 2017, "Editorial," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 196-197, July.
- Gilderdale, Stephen, 2017, "SWIFT’s customer security programme: Preventing, detecting and responding to the growing cyber threat," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 198-205, July.
- Lund, John, 2017, "The impact of regulation on buyside users of derivatives," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 206-214, July.
- Nicolas, Stephanie & May, Paul V., 2017, "Building an effective compliance risk assessment programme for a financial institution," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 215-224, July.
- Ravalo, Theresa B., 2017, "CSDs and the challenges of financial integration and financial stability," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 225-235, July.
- Staehli, Urs, 2017, "Financial crime compliance in securities custody and settlement: ISSA’s principles and their implementation," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 236-244, July.
- Ehrenfeld, Jonathan, 2017, "Securities market automation from standards to self-learning machines: Current state and future perspectives," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 245-251, July.
- Dorval, Michel, 2017, "AnaCredit: Why it matters to look at other regulations in context," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 252-258, July.
- Dennett, Simon, 2017, "The EU’s new regulatory framework: The auditor’s perspective," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 259-268, July.
- Everett, Steve & Calitz, André & Greyling, Jean, 2017, "The case for a ‘sovereign’ distributed securities depository for securities settlement," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 3, pages 269-292, July.
- Altman, Lloyd, 2017, "What a year: MiFID II/MiFIR, EMIR RTS, SFTR and SEC SBSR," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 298-301, September.
- Trottman-Adewumi, Yolanda & Kelley, David & Smuglin, Len & Markovich, Gregory, 2017, "Assessing cybersecurity risks and practices in the broker-dealer industry," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 302-312, September.
- Young, Richard, 2017, "The identifier challenge: Attributes of MiFID II that cannot be ignored," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 313-320, September.
- Smith, Robin, 2017, "Best execution reporting requirements for electronic communications under MiFID II," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 321-328, September.
- Mensah, Danielle, 2017, "Dark execution strategies under MiFID II: A few shades lighter?," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 329-333, September.
- Fischer, Artur & Murphy, David, 2017, "MiFID II and the relationship between public markets and systematic internalisers," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 334-340, September.
- Felsenthal, Steven M. & Loffreno, Frank, 2017, "US Securities and Exchange Commission suggests greater actions may be required under its custody rule," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 341-346, September.
- Workie, Haimera & Jain, Kavita, 2017, "Distributed ledger technology: Implications of blockchain for the securities industry," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 347-355, September.
- Yanagawa, Eiichiro, 2017, "Securities settlement revolution: Japanese Government Bonds move to T+1 with the advent of a new repo market," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 356-373, September.
- Getz, Liezl De Villiers, 2017, "Resolving the disconnect between risk appetites, tolerances, exposures and monitoring measurements," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 9, issue 4, pages 374-390, September.
- Fisher, Jack & Rachel, Lukasz, 2017, "Assessing vulnerabilities to financial shocks in some key global economies," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 12-35, February.
- Demekas, Dimitri G., 2017, "Stress tests as a systemic risk assessment tool," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 36-44, February.
- Unknown, 2017, "Country risk: A special issue," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 4-6, February.
- Felice, Gregorio De, 2017, "Opinion: Beyond country risk: A comprehensive approach to address banks’ vulnerabilities," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 45-47, February.
- Gereben, Áron, 2017, "Changing the treatment of sovereign exposures in banking regulation: A market impact assessment," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 48-64, February.
- Toksoz, Mina, 2017, "Incorporating external factors into country risk analysis," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 65-73, February.
- Wilkin, Sam, 2017, "Managing political risk in advanced economies," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 7-11, February.
- Wise, Richard, 2017, "Reassessing the risks in emerging markets," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 74-77, February.
- Belhaj, Riadh & Baroudi, Merli & Fiess, Norbert & Olivera, Jonas Campino De & Sperling, Frank & Turner, Tim, 2017, "Exposure exchange agreements among multilateral development banks for sovereign exposures: An innovative risk management tool," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 78-88, February.
- Connell, Matthew, 2017, "The challenge of assessing and shaping bank conduct, ethics and culture: Insights from the social sciences," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 89-98, February.
- Chawla, Gaurav & Forest Jr, Lawrence R. & Aguais, Scott D., 2017, "Convexity and correlation effects in expected credit loss calculations for IFRS9/CECL and stress testing," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 1, pages 99-110, February.
- Unknown, 2017, "Backstopping risk: Capital versus transparency," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 2, pages 116-117, April.
- Moran, Lee & Wilkens, Sascha, 2017, "Capturing initial margin in counterparty risk calculations," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 2, pages 118-129, April.
- Denev, Alexander & Angelini, Orazio, 2017, "Underdetermination and variability of the results in macro-to-micro stress tests: A machine learning approach," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 2, pages 130-149, April.
- Memartoluie, Amir & Saunders, David & Wirjanto, Tony, 2017, "Wrong-way risk bounds in counterparty credit risk management," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 2, pages 150-163, April.
- Kobayashi, Shinya, 2017, "Statutory bail-in for an orderly resolution of insurers," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 2, pages 164-176, April.
- Skoglund, Jimmy, 2017, "Credit risk term-structures for lifetime impairment forecasting: A practical guide," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 2, pages 177-195, April.
- Camillo, Mark, 2017, "Cybersecurity: Risks and management of risks for global banks and financial institutions," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 2, pages 196-200, April.
- Moreira, Fernando, 2017, "Probabilistic causality and decisions on bailouts of financial institutions," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 2, pages 201-212, April.
- Unknown, 2017, "Editorial: Has too big to fail been resolved?," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 3, pages 220-223, August.
- Paisley, Jo, 2017, "Stress testing: Where next?," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 3, pages 224-237, August.
- Skoglund, Jimmy & Chen, Wei, 2017, "Forecast of forecast: An analytical approach to stressed impairment forecasting," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 3, pages 238-256, August.
- Orgeldinger, J., 2017, "Critical appraisal of the Basel fundamental review of the trading book regulations," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 3, pages 257-275, August.
- Verma, Nidhi, 2017, "A deeper understanding of payment shock dynamics," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 3, pages 276-281, August.
- Zijderveld, Roberto Virreira, 2017, "BCBS IRRBB pillar 2: The new standard for the banking industry," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 3, pages 282-288, August.
- Suetens, David & Flood, Richard & Dicorato-Rura, Cinzia, 2017, "Operational resilience: Developing a comprehensive operational risk strategy," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 3, pages 289-295, August.
- Rattaggi, Mattia L., 2017, "Regulatory reform in banking 10 years after the financial crisis," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 3, pages 296-302, August.
- Unknown, 2017, "The politics of risk: A reflection of volatility in 2017," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 4, pages 312-313, October.
- Elliott, Douglas J., 2017, "Risk management for financial institutions in an age of populism," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 4, pages 314-318, October.
- Hałaj, Grzegorz & Henry, Jérôme, 2017, "Sketching a roadmap for systemic liquidity stress tests," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 4, pages 319-340, October.
- Chang, Carolyn W. & Chang, Jack S.K., 2017, "Hedging the impact of climate change in the catastrophe space," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 4, pages 341-352, October.
- Werther, Guntram Fritz Albin, 2017, "Improving finance and risk management foresight abilities: Growing past the ‘black swan’ mindset through integrative assessment," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 4, pages 353-364, October.
- Caspers, Peter & Giltinan, Paul & Lichters, Roland & Nowaczyk, Nikolai, 2017, "Forecasting initial margin requirements: A model evaluation," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 4, pages 365-394, October.
- Perilioglu, Ahmet & Perilioglu, Karina, 2017, "Smoothing transition probability matrices under a risk sensitive approach," Journal of Risk Management in Financial Institutions, Henry Stewart Publications, volume 10, issue 4, pages 395-411, October.
- Gabriel Lee & Binh Nguyen Thanh & Johannes Strobel, 2017, "Effects of Macroeconomic Uncertainty and Labor Demand Shocks on the Housing Market," Working Papers, Bavarian Graduate Program in Economics (BGPE), number 170, Jun.
- Sharon Kozicki & Jill Vardy, 2017, "Communicating Uncertainty in Monetary Policy," Discussion Papers, Bank of Canada, number 17-14, DOI: 10.34989/sdp-2017-14.
- Walter Engert & Ben Fung, 2017, "Central Bank Digital Currency: Motivations and Implications," Discussion Papers, Bank of Canada, number 17-16, DOI: 10.34989/sdp-2017-16.
- Wataru Miyamoto & Thuy Lan Nguyen & Dmitriy Sergeyev, 2017, "Government Spending Multipliers Under the Zero Lower Bound: Evidence from Japan," Staff Working Papers, Bank of Canada, number 17-40, DOI: 10.34989/swp-2017-40.
- Jing Yang & Ben Tomlin & Olivier Gervais, 2017, "Alternative Scenario to the October 2017 MPR Base-Case Projection: Higher Potential Growth," Staff Analytical Notes, Bank of Canada, number 17-18, DOI: 10.34989/san-2017-18.
- André Binette & Dmitri Tchebotarev, 2017, "Evaluating Real GDP Growth Forecasts in the Bank of Canada Monetary Policy Report," Staff Analytical Notes, Bank of Canada, number 17-21, DOI: 10.34989/san-2017-21.
- Xisong Jin & Francisco Nadal De Simone, 2017, "Systemic Financial Sector and Sovereign Risks," BCL working papers, Central Bank of Luxembourg, number 109, Jun.
- Federico Lubello & Abdelaziz Rouabah, 2017, "Capturing macroprudential regulation effectiveness: A DSGE approach with shadow intermediaries," BCL working papers, Central Bank of Luxembourg, number 114, Oct.
- Simone Auer, 2017, "A Financial Conditions Index for the CEE economies," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1145, Oct.
- Luis E. Arango & Javier Pantoja & Carlos Velásquez, 2017, "Effects of the central bank’s communications in Colombia. A content analysis," Borradores de Economia, Banco de la Republica de Colombia, number 1024, Oct, DOI: 10.32468/be.1024.
- Oscar Valencia & Daniel Osorio & Pablo Garay, 2017, "The role of capital requirements and credit composition in the transmission of macroeconomic and financial shocks," Revista ESPE - Ensayos sobre Política Económica, Banco de la Republica de Colombia, volume 35, issue 84, pages 203-221, December, DOI: 10.1016/j.espe.2017.09.001.
- Adnan Bashir & Arshad Hassan, 2017, "Interrelationship Among Basel Capital Regulation, Risk, and Efficiency in Pakistani Commercial Banks," Business & Economic Review, Institute of Management Sciences, Peshawar, Pakistan, volume 9, issue 2, pages 165-186, June, DOI: dx.doi.org/10.22547/BER/9.2.7.
- Niaz Hussain Ghumro & Mohd Zaini Abd Karim, 2017, "The Role Of Remittances In The Stability Of Money Demand In Pakistan: A Cointegration Analysis," Economic Annals, Faculty of Economics and Business, University of Belgrade, volume 62, issue 213, pages 45-66, April - J.
- Ninlias, E. & Torre, G., 2017, "La monnaie fiduciaire en France en 2016," Bulletin de la Banque de France, Banque de France, issue 212, pages 5-14.
- E. Ninlias & G. Torre, 2017, "Euro banknotes and coins in France in 2016," Quarterly selection of articles - Bulletin de la Banque de France, Banque de France, issue 47, pages 5-14, Autumn.
- Hugo Rodríguez Mendizábal, 2017, "Narrow Banking with Modern Depository Institutions: Is there a Reason to Panic?," Working Papers, Barcelona School of Economics, number 955, Feb.
- Masayuki Inui & Nao Sudo & Tomoaki Yamada, 2017, "The effects of monetary policy shocks on inequality in Japan," BIS Working Papers, Bank for International Settlements, number 642, Jun.
- Pierre-Richard Agénor & Enisse Kharroubi & Leonardo Gambacorta & Giovanni Lombardo & Luiz Awazu Pereira da Silva, 2017, "The international dimensions of macroprudential policies," BIS Working Papers, Bank for International Settlements, number 643, Jun.
- George Economides & Anastasios Xepapadeas, 2018, "Monetary policy under climate change," Working Papers, Bank of Greece, number 247, May.
- Masayuki Inui & Nao Sudo & Tomoaki Yamada, 2017, "Effects of Monetary Policy Shocks on Inequality in Japan," Bank of Japan Working Paper Series, Bank of Japan, number 17-E-3, May.
- Domenico CORTESE, 2017, "The dominion of means over ends. Modern bank credit and Max Weber’s irrational rationalization," The Journal of Philosophical Economics, Bucharest Academy of Economic Studies, The Journal of Philosophical Economics, volume 10, issue 2, pages 65-101, May.
- Paul J.J. Welfens & Samir Kadiric, 2017, "Neuere Finanzmarktaspekte von Bankenkrise, QE-Politik und EU-Bankenaufsicht," EIIW Discussion paper, Universitätsbibliothek Wuppertal, University Library, number disbei239, Jul.
- Christophe Blot & Jérôme Creel & Paul Hubert & Fabien Labondance, 2017, "Les effets redistributifs des politiques monétaires de la BCE," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 165-180.
- Christophe Blot & Paul Hubert, 2017, "Le risque bancaire en zone euro," Revue de l'OFCE, Presses de Sciences-Po, volume 0, issue 2, pages 157-176.
- Christopher Weber, 2017, "The Collateral Policy of Central Banks - An Analysis Focusing on the Eurosystem," ifo Beiträge zur Wirtschaftsforschung, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, number 72, April.
- N. Gregory Mankiw & Ricardo Reis, 2017, "Friedman’s Presidential Address in the Evolution of Macroeconomic Thought," Discussion Papers, Centre for Macroeconomics (CFM), number 1732, Nov.
- Richard Senner & Didier Sornette, 2017, "The 'New Normal' of the Swiss Balance of Payments in a Global Perspective: Central Bank Intervention, Global Imbalances and the Rise of Sovereign Wealth Funds," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 17-22, Jun.
- Richard Senner & Didier Sornette, 2017, "A Sovereign Wealth Fund for Switzerland," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 17-24, Sep.
- Gino Cateau, 2017, "Price-level versus inflation targeting under model uncertainty," Canadian Journal of Economics, Canadian Economics Association, volume 50, issue 2, pages 522-540, May, DOI: 10.1111/caje.12268.
- Paul Beaudry & Francisco Ruge-Murcia, 2017, "Canadian inflation targeting," Canadian Journal of Economics, Canadian Economics Association, volume 50, issue 5, pages 1556-1572, December, DOI: 10.1111/caje.12307.
- Oxana Babecka Kucharcukova & Renata Pasalicova, 2017, "Firm Investment, Financial Constraints and Monetary Transmission: An Investigation with Czech Firm-Level Data," Working Papers, Czech National Bank, Research and Statistics Department, number 2017/16, Dec.
- Maria Camila Ortiz Gelvez, 2017, "Transmisi√≥n de la pol√≠tica monetaria en Colombia: El car√°cter heterog√©neo del canal de pr√©stamos bancarios," Documentos CEDE, Universidad de los Andes, Facultad de Economía, CEDE, number 15288, Jan.
- Jhon Antuny Pabón León & Liliana Marcela Bastos Osorio & Johanna Milena Mogrovejo Andrade, 2016, "El diferencial cambiario en la frontera Norte de Santander, Colombia y Venezuela. ¿La economía o la política?," Revista Tendencias, Universidad de Narino, volume 17, issue 2, pages 136-165, DOI: 10.22267/rtend.161702.8.
- Brand, Thomas & Isoré, Marlène & Tripier, Fabien, 2017, "Uncertainty Shocks and Firm Dynamics: Search and Monitoring in the Credit Market," CEPREMAP Working Papers (Docweb), CEPREMAP, number 1707, Dec.
- Bilbiie, Florin & Ragot, Xavier, 2017, "Optimal Monetary Policy and Liquidity with Heterogeneous Households," CEPR Discussion Papers, Centre for Economic Policy Research, number 11814, Jan.
- Ilzetzki, Ethan & Reinhart, Carmen & Rogoff, Kenneth, 2017, "Exchange Arrangements Entering the 21st Century: Which Anchor Will Hold?," CEPR Discussion Papers, Centre for Economic Policy Research, number 11826, Feb.
- Gambacorta, Leonardo & Agénor, Pierre-Richard & Kharroubi, Enisse & Lombardo, Giovanni & Pereira da Silva, Luiz A., 2017, "The International Dimensions of Macroprudential Policies," CEPR Discussion Papers, Centre for Economic Policy Research, number 12108, Jun.
- Gerlach, Stefan, 2017, "Long-run Money Demand in Switzerland," CEPR Discussion Papers, Centre for Economic Policy Research, number 12356, Oct.
- Mankiw, N Gregory, 2017, "Friedman’s Presidential Address in the Evolution of Macroeconomic Thought," CEPR Discussion Papers, Centre for Economic Policy Research, number 12442, Nov.
- Cukierman, Alex, 2017, "The behavior of the money multiplier during and after the subprime crisis: Implications for the transmission mechanism of monet," CEPR Discussion Papers, Centre for Economic Policy Research, number 12490, Dec.
- Louis Larue, 2017, "The Philosophy of Debt Alexander DOUGLAS, Abingdon: Routledge, 2016. 164 pp," LIDAM Discussion Papers IRES, Université catholique de Louvain, Institut de Recherches Economiques et Sociales (IRES), number 2017017, Oct.
- Liutang Gong & Chan Wang & Heng-fu Zou, 2017, "Optimal Exchange-Rate Policy in a Model of Local-Currency Pricing with Vertical Production and Trade," CEMA Working Papers, China Economics and Management Academy, Central University of Finance and Economics, number 603, Feb.
- Liutang Gong & Chan Wang & Fuyang Zhao & Heng-fu Zou, 2017, "Land-price dynamics and macroeconomic fluctuations with nonseparable preferences," CEMA Working Papers, China Economics and Management Academy, Central University of Finance and Economics, number 605, Oct.
- Grégory Levieuge & Jean-Paul Pollin, 2017, "Ambitions and Limits of Financial Disintermediation in the Euro Area," Vierteljahrshefte zur Wirtschaftsforschung / Quarterly Journal of Economic Research, DIW Berlin, German Institute for Economic Research, volume 86, issue 1, pages 29-41, DOI: 10.3790/vjh.86.1.29.
- Helder Ferreira de Mendonça & Vitor R. C. Britto, 2017, "Interest rate and credit channel for households and firms: Evidence from a large emerging economy," Economics Bulletin, AccessEcon, volume 37, issue 1, pages 586-604.
- Artem Meshcheryakov & Stoyu I Ivanov, 2017, "Investor's sentiment in predicting the Effective Federal Funds Rate," Economics Bulletin, AccessEcon, volume 37, issue 4, pages 2767-2796.
- Cleiton Silva de Jesus & Thiago Rios Lopes & Silvana Dantas Guimarães, 2017, "Monetary policy credibility and inflation in an emerging economy," Economics Bulletin, AccessEcon, volume 37, issue 2, pages 778-789.
- Eric Strobl & Sandrine Kablan, 2017, "How do natural disasters impact the exchange rate: an investigation through small island developing states (SIDS)?," Economics Bulletin, AccessEcon, volume 37, issue 3, pages 2274-2281.
- Frederik Neugebauer & Ralf Fendel & Nils Niederhagen, 2017, "A Note on the Reactions of Real Yields to Different Types of Forward Guidance in the US," Economics Bulletin, AccessEcon, volume 37, issue 4, pages 2703-2710.
- Rabiul Islam & Ahmad Bashawir Abdul Ghani & Emil Mahyudin & Narmatha Manickam, 2017, "Determinants of Factors that Affecting Inflation in Malaysia," International Journal of Economics and Financial Issues, Econjournals, volume 7, issue 2, pages 355-364.
- Erwin Bramana Karnadi & Putu Rusta Adijaya, 2017, "Redenomination: Why is It Effective in One Country but Not in Another?," International Journal of Economics and Financial Issues, Econjournals, volume 7, issue 3, pages 186-195.
- Marianna Oliskevych & Iryna Lukianenko, 2017, "Structural Change and Labor Market Integration: Evidence from Ukraine," International Journal of Economics and Financial Issues, Econjournals, volume 7, issue 3, pages 501-509.
- Ayoob Dorraji & Gholamreza Abbasi, 2017, "Study the Relation between Banking System Concentration and Unemployment Rate in Iran," International Journal of Economics and Financial Issues, Econjournals, volume 7, issue 4, pages 28-32.
- Theologos Dergiades & Costas Milas & Theodore Panagiotidis, 2017, "An assessment of the inflation targeting experience," Bank of Estonia Working Papers, Bank of Estonia, number wp2017-11, Nov, revised 09 Nov 2017, DOI: 10.23656/25045520/112017/0150.
- Chen, Hongyi & Chow, Kenneth & Tillmann, Peter, 2017, "The effectiveness of monetary policy in China: Evidence from a Qual VAR," China Economic Review, Elsevier, volume 43, issue C, pages 216-231, DOI: 10.1016/j.chieco.2017.02.006.
- Faia, Ester, 2017, "Sovereign risk, bank funding and investors’ pessimism," Journal of Economic Dynamics and Control, Elsevier, volume 79, issue C, pages 79-96, DOI: 10.1016/j.jedc.2017.03.010.
- Fratianni, Michele & Giri, Federico, 2017, "The tale of two great crises," Journal of Economic Dynamics and Control, Elsevier, volume 81, issue C, pages 5-31, DOI: 10.1016/j.jedc.2017.05.004.
- Gong, Liutang & Wang, Chan & Zhao, Fuyang & Zou, Heng-fu, 2017, "Land-price dynamics and macroeconomic fluctuations with nonseparable preferences," Journal of Economic Dynamics and Control, Elsevier, volume 83, issue C, pages 149-161, DOI: 10.1016/j.jedc.2017.07.008.
- Koong, Seow Shin & Law, Siong Hook & Ibrahim, Mansor H., 2017, "Credit expansion and financial stability in Malaysia," Economic Modelling, Elsevier, volume 61, issue C, pages 339-350, DOI: 10.1016/j.econmod.2016.10.013.
- Loberto, Michele & Perricone, Chiara, 2017, "Does trend inflation make a difference?," Economic Modelling, Elsevier, volume 61, issue C, pages 351-375, DOI: 10.1016/j.econmod.2016.11.002.
- Xie, Taojun & Liu, Jingting & Alba, Joseph D. & Chia, Wai-Mun, 2017, "Does wage-inflation targeting complement foreign exchange intervention? An evaluation of a multi-target, two-instrument monetary policy framework," Economic Modelling, Elsevier, volume 62, issue C, pages 68-81, DOI: 10.1016/j.econmod.2017.01.013.
- Balcilar, Mehmet & Katzke, Nico & Gupta, Rangan, 2017, "Do precious metal prices help in forecasting South African inflation?," The North American Journal of Economics and Finance, Elsevier, volume 40, issue C, pages 63-72, DOI: 10.1016/j.najef.2017.01.007.
- Cukierman, Alex, 2017, "Money growth and inflation: Policy lessons from a comparison of the US since 2008 with hyperinflation Germany in the 1920s," Economics Letters, Elsevier, volume 154, issue C, pages 109-112, DOI: 10.1016/j.econlet.2017.02.036.
- Charléty, Patricia & Romelli, Davide & Santacreu-Vasut, Estefania, 2017, "Appointments to central bank boards: Does gender matter?," Economics Letters, Elsevier, volume 155, issue C, pages 59-61, DOI: 10.1016/j.econlet.2017.03.019.
- Andolfatto, David & Martin, Fernando M. & Zhang, Shengxing, 2017, "Rehypothecation and liquidity," European Economic Review, Elsevier, volume 100, issue C, pages 488-505, DOI: 10.1016/j.euroecorev.2017.09.010.
- Ruge-Murcia, Francisco & Riboni, Alessandro, 2017, "Collective versus individual Decision-Making: A case study of the Bank of Israel Law," European Economic Review, Elsevier, volume 93, issue C, pages 73-89, DOI: 10.1016/j.euroecorev.2017.01.003.
- Mumtaz, Haroon & Theophilopoulou, Angeliki, 2017, "The impact of monetary policy on inequality in the UK. An empirical analysis," European Economic Review, Elsevier, volume 98, issue C, pages 410-423, DOI: 10.1016/j.euroecorev.2017.07.008.
- Huang, Ho-Chuan (River) & Yeh, Chih-Chuan, 2017, "Level, structure, and volatility of financial development and inflation targeting," Journal of Empirical Finance, Elsevier, volume 44, issue C, pages 108-124, DOI: 10.1016/j.jempfin.2017.09.006.
- Vithessonthi, Chaiporn & Schwaninger, Markus & Müller, Matthias O., 2017, "Monetary policy, bank lending and corporate investment," International Review of Financial Analysis, Elsevier, volume 50, issue C, pages 129-142, DOI: 10.1016/j.irfa.2017.02.007.
- Thornton, John & Vasilakis, Chrysovalantis, 2017, "Inflation targeting and the cyclicality of monetary policy," Finance Research Letters, Elsevier, volume 20, issue C, pages 296-302, DOI: 10.1016/j.frl.2016.10.012.
- Vašíček, Bořek & Žigraiová, Diana & Hoeberichts, Marco & Vermeulen, Robert & Šmídková, Kateřina & de Haan, Jakob, 2017, "Leading indicators of financial stress: New evidence," Journal of Financial Stability, Elsevier, volume 28, issue C, pages 240-257, DOI: 10.1016/j.jfs.2016.05.005.
- Mester, Loretta J., 2017, "The nexus of macroprudential supervision, monetary policy, and financial stability," Journal of Financial Stability, Elsevier, volume 30, issue C, pages 177-180, DOI: 10.1016/j.jfs.2017.07.003.
- Allen, Kyle D. & Hein, Scott E. & Whitledge, Matthew D., 2017, "The evolution of the Federal Reserve’s Term Auction Facility and FDIC-insured bank utilization," Journal of Financial Stability, Elsevier, volume 31, issue C, pages 154-166, DOI: 10.1016/j.jfs.2017.07.005.
- Céspedes, Luis Felipe & Chang, Roberto & Velasco, Andrés, 2017, "Financial intermediation, real exchange rates, and unconventional policies in an open economy," Journal of International Economics, Elsevier, volume 108, issue S1, pages 76-86, DOI: 10.1016/j.jinteco.2016.12.012.
- Arestis, Philip & Phelps, Peter, 2017, "Financial market implications of monetary policy coincidences: Evidence from the UK and Euro Area government-bond markets," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 49, issue C, pages 88-102, DOI: 10.1016/j.intfin.2017.02.006.
- Valencia, Fabián, 2017, "Aggregate uncertainty and the supply of credit," Journal of Banking & Finance, Elsevier, volume 81, issue C, pages 150-165, DOI: 10.1016/j.jbankfin.2017.05.001.
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