Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2025
- Sergio A. Correia & Stephan Luck & Emil Verner, 2025, "Failing Banks," Working Paper, Federal Reserve Bank of Richmond, number 25-04, Jun, DOI: 10.21144/wp25-04.
- Sergio A. Correia & Stephan Luck & Emil Verner, 2025, "Supervising Failing Banks," Working Paper, Federal Reserve Bank of Richmond, number 25-10, Oct, DOI: 10.21144/wp25-10.
- Alexander Abramov & Alexander Radygin & Maria Chernova, 2025, "Global and Russian financial markets in 2024," Published Papers, Gaidar Institute for Economic Policy, number ppaper-2025-1406, revised 2025.
- Mario Cerrato & Shengfeng Mei, 2025, "Quantitative Easing, Banks’ Funding Costs, and Credit Line Prices," Working Papers, Business School - Economics, University of Glasgow, number 2025_03, Mar.
- Juan Cortina & Claudio Raddatz & Sergio Schmukler & Tomas Williams, 2025, "Green versus Conventional Corporate Debt: From Issuances to Emissions," Working Papers, The George Washington University, The Center for Economic Research, number 2025-012, Nov.
- Jérôme Héricourt & Jean Imbs & Lise Patureau, 2025, "The collateral channel within and between countries," Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers), HAL, number hal-04929440, Feb.
- Maroua Boualam & Khalid Rguibi, 2025, "Corrélation entre le contexte économique et l'intensité des biais cognitifs au Maroc Correlation between the economic context and the intensity of cognitive biases in Morocco," Post-Print, HAL, number hal-05204532, Aug.
- Jérôme Héricourt & Jean Imbs & Lise Patureau, 2025, "The collateral channel within and between countries," Working Papers, HAL, number hal-04929440, Feb.
- UGAI, Hiroshi & OSADA, Takeshi, 2025, "Reversal of the BoJ's Balance Sheet Policy and Liquidity Dependence," Discussion paper series, Hitotsubashi Institute for Advanced Study, Hitotsubashi University, number HIAS-E-147, Sep.
- Arce, Fernando & Morgan, Jan & Werquin, Nicolas, 2025, "Tax Revolts and Sovereign Defaults," IDB Publications (Working Papers), Inter-American Development Bank, number 14144, Jun, DOI: http://dx.doi.org/10.18235/0013572.
- Indra Tumbelaka, 2025, "Loan Restructuring And Deposit Growth: Evidence From The Market Discipline During The Covid-19 Outbreak," Bulletin of Monetary Economics and Banking, Bank Indonesia, volume 28, issue 2, pages 199-216, July, DOI: https://doi.org/10.59091/2460-9196..
- K P Prabheesh & Vishuddhi Jayawickrema, 2025, "Early Warning Models For Anticipating Crisis: Insights From Sri Lanka," Bulletin of Monetary Economics and Banking, Bank Indonesia, volume 28, issue 3, pages 349-366, October, DOI: https://doi.org/10.59091/2460-9196..
- F. Boissay & F. Collard & C. Manea & A. Shapiro, 2025, "Monetary Tightening and Financial Stress During Supply- versus Demand-Driven Inflation," International Journal of Central Banking, International Journal of Central Banking, volume 21, issue 2, pages 147-220, April.
- Pedro Gomis-Porqueras & Xiaoyang Li & Romina Ruprecht & Xuan Zhou, 2025, "A Financial Stress Index for a Small Open Economy: The Australian Case," International Journal of Central Banking, International Journal of Central Banking, volume 21, issue 4, pages 191-248, October.
- Simona Malován & Jan Janků & Martin Hodula, 2025, "Macroprudential Policy and Income Inequality: The Trade-Off Between Crisis Prevention and Credit Redistribution," International Journal of Central Banking, International Journal of Central Banking, volume 21, issue 4, pages 249-349, October.
- Lorenzo Zino & Giulia Fracastoro & Anton V. Proskurnikov & Giuseppe Carlo Calafiore, 2025, "On the influence of network structure on the resilience and losses of financial systems," The Journal of Mechanism and Institution Design, Society for the Promotion of Mechanism and Institution Design, University of York, volume 10, issue 1, pages 97-122, December, DOI: 10.22574/jmid.2025.12.004.
- Bitter Lea, 2025, "Banking Crises Under a Central Bank Digital Currency (CBDC)," Journal of Economics and Statistics (Jahrbuecher fuer Nationaloekonomie und Statistik), De Gruyter, volume 245, issue 4-5, pages 479-526, DOI: 10.1515/jbnst-2023-0107.
- Thi Minh Huong Le & Thi Nga My Nguyen & Thi Yen Vinh Tran, 2025, "Spillover Effects of Oil Price Fluctuations on the U.S and Asia–Pacific Stock Markets: A Multivariate EGARCH Analysis," Asia-Pacific Financial Markets, Springer;Japanese Association of Financial Economics and Engineering, volume 32, issue 3, pages 1049-1076, September, DOI: 10.1007/s10690-024-09480-9.
- Iram Hasan & Shveta Singh & Smita Kashiramka, 2025, "Does Socially Responsible Investing Outperform Conventional Investing? A Cross-Country Perspective," Asia-Pacific Financial Markets, Springer;Japanese Association of Financial Economics and Engineering, volume 32, issue 4, pages 1307-1356, December, DOI: 10.1007/s10690-024-09489-0.
- Wael Dammak & Halilibrahim Gökgöz & Ahmed Jeribi, 2025, "Analysis of Gold, Bitcoin, and Gold-Backed Cryptocurrencies as Safe Havens during Global Crises: A Focus on Artificial Intelligence Companies," Computational Economics, Springer;Society for Computational Economics, volume 66, issue 4, pages 2843-2872, October, DOI: 10.1007/s10614-024-10757-4.
- Benjamin Walwai Miba’am & Hasan Güngör, 2025, "Do Uncertainties in US Affect Bitcoin Returns? Evidence from Time Series Analysis," Computational Economics, Springer;Society for Computational Economics, volume 66, issue 5, pages 4303-4327, November, DOI: 10.1007/s10614-024-10842-8.
- Yingdong Wang & Wenzhi Xi, 2025, "Measurement and Early Warning of Systemic Financial Risk in China: Markov Switching Models," Computational Economics, Springer;Society for Computational Economics, volume 66, issue 6, pages 5083-5111, December, DOI: 10.1007/s10614-025-10873-9.
- Jitendra Kumar Chaurasiya & Bhanu Pratap Singh & Sujit Kumar, 2025, "Do institutional settings condition the effect of macroprudential policies on sovereign default risk? Cross-country evidence," Economic Change and Restructuring, Springer, volume 58, issue 3, pages 1-60, June, DOI: 10.1007/s10644-025-09871-6.
- Lukas Handler & Rainer Jankowitsch, 2025, "Political uncertainty and sovereign bond markets," Financial Markets and Portfolio Management, Springer;Swiss Society for Financial Market Research, volume 39, issue 1, pages 47-97, March, DOI: 10.1007/s11408-024-00461-6.
- Andreas Brunhart, 2025, "Country size and exposure to international economic shocks: new evidence from the Financial Crisis," International Economics and Economic Policy, Springer, volume 22, issue 3, pages 1-49, July, DOI: 10.1007/s10368-025-00659-7.
- David Glancy, 2025, "Bank Relationships and the Geography of PPP Lending," Journal of Financial Services Research, Springer;Western Finance Association, volume 67, issue 3, pages 157-186, June, DOI: 10.1007/s10693-024-00432-y.
- Jyrki Ali-Yrkkö & Natalia Kuosmanen & Mika Pajarinen & Ilkka Ylhäinen, 2025, "Firm Resilience During Long-Term Economic Stagnation: Register-Based Analysis of Finnish Manufacturing Firms," Journal of Industry, Competition and Trade, Springer, volume 25, issue 1, pages 1-25, December, DOI: 10.1007/s10842-025-00450-z.
- Chongyu Wang & Jeffrey P. Cohen & John L. Glascock, 2025, "Geographically Overlapping Real Estate Assets, Liquidity Spillovers, and Liquidity Multiplier Effects," The Journal of Real Estate Finance and Economics, Springer, volume 71, issue 1, pages 118-139, July, DOI: 10.1007/s11146-022-09905-0.
- Nikita Sharma & Sonali Jain, 2025, "Do bank capital and liquidity truly shield against systemic risk: evidence from the global banking sector," Journal of Regulatory Economics, Springer, volume 68, issue 2, pages 173-230, October, DOI: 10.1007/s11149-025-09492-x.
- Martin Hibbeln & Werner Osterkamp, 2025, "The impact of risk retention on the pricing of securitizations," Review of Derivatives Research, Springer, volume 28, issue 1, pages 1-24, April, DOI: 10.1007/s11147-025-09209-4.
- Martin Hibbeln & Ralf Metzler & Werner Osterkamp, 2025, "Not on the same page: comprehensibility of MBS investment prospectuses," Review of Derivatives Research, Springer, volume 28, issue 2, pages 1-37, July, DOI: 10.1007/s11147-025-09213-8.
- Hamad Aldawsari & Taufiq Choudhry & Di Luo, 2025, "CEO power and firm risk at the onset of the 2007 financial crisis and the COVID-19 health crisis: international evidence," Review of Quantitative Finance and Accounting, Springer, volume 64, issue 4, pages 1633-1670, May, DOI: 10.1007/s11156-024-01347-4.
- Shabnam Kazembalaghi & Jerry Coakley & José M. Liñares-Zegarra & Silvio Vismara, 2025, "Digital equity and government support during COVID-19," Small Business Economics, Springer, volume 64, issue 4, pages 1679-1705, April, DOI: 10.1007/s11187-024-00961-9.
- David Heller & Pantelis Karapanagiotis & Øivind A. Nilsen, 2025, "Small and vulnerable during crises? Firm size and financing constraint dynamics," Small Business Economics, Springer, volume 65, issue 1, pages 451-473, June, DOI: 10.1007/s11187-024-00996-y.
- Matteo Ambrois & Vincenzo Butticè & Annalisa Croce & Luca Grilli & Elisa Ughetto, 2025, "The times they are a‐changin’: how venture capital firms change their investment practices under the COVID-19 pandemic," Small Business Economics, Springer, volume 65, issue 2, pages 871-893, August, DOI: 10.1007/s11187-025-01010-9.
- Fabrizio Coricelli & Marco Frigerio & Pietro Vozzella, 2025, "The role of institutions in supporting SME financing through the trade credit channel: an empirical analysis of Italian provinces," Small Business Economics, Springer, volume 65, issue 2, pages 947-972, August, DOI: 10.1007/s11187-025-01013-6.
- Axel Buchner & Pia Helbing & Abdulkadir Mohamed & Hyungseok David Yoon, 2025, "Does the same investment team create value? Evidence from venture capital syndication," Small Business Economics, Springer, volume 65, issue 4, pages 2331-2360, December, DOI: 10.1007/s11187-025-01058-7.
- Masashige Hamano & Yuki Murakami, 2025, "Optimal Government Spending in a Collateral-Constrained Small Open Economy," DEM Discussion Paper Series, Department of Economics at the University of Luxembourg, number 25-02.
- Sidharth J, 2025, "Assessing Market Liquidity Amidst Crisis: Evidence from Indian Stock Market," Working Papers, Madras School of Economics,Chennai,India, number 2025-283, Jun.
- Mario I Blejer, 2025, "Understanding the Persistence of Inflation in Argentina: From Peron to Milei," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 24, issue 4, pages 5-21.
- Joris Tielens & Simone Lenzu & David A. Rivers & Shi Hu, 2025, "Financial shocks, producivity and prices," Working Paper Research, National Bank of Belgium, number 479, Jul.
- Olivier Jeanne, 2025, "From Fiscal Deadlock to Financial Repression: Anatomy of a Fall," NBER Working Papers, National Bureau of Economic Research, Inc, number 33395, Jan.
- Viral V. Acharya & Manasa Gopal & Maximilian Jager & Sascha Steffen, 2025, "Shadow Always Touches the Feet: Implications of Bank Credit Lines to Non-Bank Financial Intermediaries," NBER Working Papers, National Bureau of Economic Research, Inc, number 33590, Mar.
- Joshua Aizenman & Hiro Ito & Donghyun Park & Jamel Saadaoui & Gazi Salah Uddin, 2025, "Global Shocks, Institutional Development, and Trade Restrictions: What Can We Learn from Crises and Recoveries Between 1990 and 2022?," NBER Working Papers, National Bureau of Economic Research, Inc, number 33757, May.
- Viral V. Acharya & Manasa Gopal & Sascha Steffen, 2025, "Fragile Financing? How Corporate Reliance on Shadow Banking Affects their Access to Bank Liquidity," NBER Working Papers, National Bureau of Economic Research, Inc, number 33760, May.
- Jose Portela & Eduardo S. Schwartz & Jaime Aparicio Garcia, 2025, "Litigation Risk and the Valuation of Legal Claims: A Real Option Approach," NBER Working Papers, National Bureau of Economic Research, Inc, number 33790, May.
- Wenhao Li & Ye Li, 2025, "Firm Quality Dynamics and the Slippery Slope of Credit Intervention," NBER Working Papers, National Bureau of Economic Research, Inc, number 33796, May.
- Jihene Arfaoui & Harald Uhlig, 2025, "Maturity Risks and Bank Runs," NBER Working Papers, National Bureau of Economic Research, Inc, number 33955, Jun.
- Pawel Janas, 2025, "Public Goods Under Financial Distress," NBER Working Papers, National Bureau of Economic Research, Inc, number 34011, Jul.
- Viral V. Acharya & Raghuram Rajan & Zhi Quan (Bill) Shu, 2025, "When is Less More? Bank Arrangements for Liquidity vs Central Bank Support," NBER Working Papers, National Bureau of Economic Research, Inc, number 34099, Aug.
- Valentin Haddad & Tyler Muir, 2025, "Intermediaries and Asset Prices," NBER Working Papers, National Bureau of Economic Research, Inc, number 34146, Aug.
- Győző Gyöngyösi & Judit Rariga & Emil Verner, 2025, "The Foreign Currency Fisher Channel: Evidence from Households," NBER Working Papers, National Bureau of Economic Research, Inc, number 34234, Sep.
- Haelim Anderson & Matthew S. Jaremski, 2025, "Interest Rate Caps and Bank Loan Supply: Locking out the Small Borrower in the Great Depression," NBER Working Papers, National Bureau of Economic Research, Inc, number 34277, Sep.
- Matthew Baron & Luc Laeven & Julien Pénasse & Yevhenii Usenko, 2025, "Permanent Capital Losses after Banking Crises," NBER Working Papers, National Bureau of Economic Research, Inc, number 34288, Sep.
- Sergio A. Correia & Stephan Luck & Emil Verner, 2025, "Supervising Failing Banks," NBER Working Papers, National Bureau of Economic Research, Inc, number 34343, Oct.
- Victoria Ivashina, 2025, "The Role of Private Debt in the Financial Ecosystem," NBER Working Papers, National Bureau of Economic Research, Inc, number 34426, Oct.
- Chuck Fang & Itay Goldstein, 2025, "Target Allocation Funds, Strategic Complementarities, and Market Fragility," NBER Working Papers, National Bureau of Economic Research, Inc, number 34509, Nov.
- Jorge Miranda-Pinto & Eugenio I. Rojas & Felipe Saffie & Alvaro Silva, 2025, "Connected for Better or Worse? The Role of Production Networks in Financial Crises," NBER Working Papers, National Bureau of Economic Research, Inc, number 34604, Dec.
- Ibrahim Salah Ali Alkhadrawi & Dirin Mchirgui & Younes Boujelbene, 2025, "On the Connectedness Between Bitcoin, Gold, Gold-Backed Cryptocurrencies and the G7 Banking Sector Stock Indices During Crises: Evidence from Quantile Vector Autoregression and Temporal Frequency Conn," Economic Alternatives, University of National and World Economy, Sofia, Bulgaria, issue 4, pages 990-1025, Desember.
- George M Constantinides, 2025, "Welfare Costs of Idiosyncratic and Aggregate Consumption Shocks," The Review of Asset Pricing Studies, Society for Financial Studies, volume 15, issue 2, pages 103-120.
- Ohad Kadan & Asaf Manela, 2025, "Liquidity and the strategic value of information," Review of Finance, European Finance Association, volume 29, issue 1, pages 1-32.
- Agnese Leonello & Caterina Mendicino & Ettore Panetti & Davide Porcellacchia, 2025, "Saving externality: when depositing too much breaks the bank," Review of Finance, European Finance Association, volume 29, issue 2, pages 501-530.
- Sulkhan Chavleishvili & Manfred Kremer, 2025, "CISS of death: measuring financial crises in real time," Review of Finance, European Finance Association, volume 29, issue 3, pages 685-710.
- Iñaki Aldasoro & Sebastian Doerr & Haonan Zhou, 2025, "Non-bank lending during crises," Review of Finance, European Finance Association, volume 29, issue 6, pages 1809-1832.
- Shiyang Huang & Wenxi Jiang & Xiaoxi Liu & Xin Liu, 2025, "Does Liquidity Management Induce Fragility in Treasury Prices? Evidence from Bond Mutual Funds," The Review of Financial Studies, Society for Financial Studies, volume 38, issue 2, pages 337-380.
- Ron Kaniel & Pingle Wang, 2025, "Unmasking Mutual Fund Derivative Use," The Review of Financial Studies, Society for Financial Studies, volume 38, issue 4, pages 1120-1166.
- Nikolaos Artavanis & Brian Jonghwan Lee & Stavros Panageas & Margarita Tsoutsoura, 2025, "Cross-Subsidization of Bad Credit in a Lending Crisis," The Review of Financial Studies, Society for Financial Studies, volume 38, issue 5, pages 1464-1501.
- Christopher Hansman & Harrison Hong & Wenxi Jiang & Yu-Jane Liu & Juan-Juan Meng, 2025, "Effects of Credit Expansions on Stock Market Booms and Busts," The Review of Financial Studies, Society for Financial Studies, volume 38, issue 5, pages 1502-1544.
- Christoph Hambel & Frederick Van Der Ploeg, 2025, "Policy Transition Risk, Carbon Premiums, and Asset Prices," Economics Series Working Papers, University of Oxford, Department of Economics, number 1075, Mar.
- Hassan Zada & Mirzat Ullah & Kazi Sohag, 2025, "Examining the role of jumps on the returns and integrated volatility of emerging Asian stock markets during global financial crises and Covid-19: an application of the swap variance jump approach," Journal of Asset Management, Palgrave Macmillan, volume 26, issue 1, pages 30-43, February, DOI: 10.1057/s41260-025-00395-2.
- Moritz Wehking & Tim Alexander Herberger, 2025, "Sector-based portfolio changes of private equity funds during economic shocks," Journal of Asset Management, Palgrave Macmillan, volume 26, issue 6, pages 697-706, October, DOI: 10.1057/s41260-025-00406-2.
- Tolulope Fadina & Komla Agudze & Chikaodinaka Iwuagwu, 2025, "Are CLO markets that contagious? Evidence from COVID-19 induced sell-off in the financial markets," Journal of Asset Management, Palgrave Macmillan, volume 26, issue 6, pages 676-696, October, DOI: 10.1057/s41260-025-00425-z.
- Clemens M. Graf von Luckner & Josefin Meyer & Carmen M. Reinhart & Christoph Trebesch, 2025, "Sovereign Haircuts: 200 Years of Creditor Losses," IMF Economic Review, Palgrave Macmillan;International Monetary Fund, volume 73, issue 1, pages 150-195, March, DOI: 10.1057/s41308-024-00268-5.
- Vihang Errunza & Basma Majerbi & Maxwell Tuuli, 2025, "Learning from Biodiversity: Is Diversity in Financial Ecosystems Important for Economic Growth and Stability?," IMF Economic Review, Palgrave Macmillan;International Monetary Fund, volume 73, issue 3, pages 890-949, September, DOI: 10.1057/s41308-024-00237-y.
- Diana Zigraiova & Aitor Erce, 2025, "Quantifying Risks to Sovereign Market Access," IMF Economic Review, Palgrave Macmillan;International Monetary Fund, volume 73, issue 4, pages 1302-1364, December, DOI: 10.1057/s41308-024-00244-z.
- David Aikman & Kristina Bluwstein & Sudipto Karmakar, 2025, "A Tail of Three Occasionally Binding Constraints: A Modelling Approach to GDP-at-Risk," IMF Economic Review, Palgrave Macmillan;International Monetary Fund, volume 73, issue 4, pages 1053-1089, December, DOI: 10.1057/s41308-024-00253-y.
- Ulrich Krüger & Christoph Roling & Leonid Silbermann & Lui-Hsian Wong, 2025, "Bank’s strategic interaction, adverse price dynamics and systemic liquidity risk," Journal of Banking Regulation, Palgrave Macmillan, volume 26, issue 1, pages 1-24, March, DOI: 10.1057/s41261-024-00240-3.
- Renata Karkowska & Zbigniew Korzeb & Anna Matysek & Paweł Niedziółka, 2025, "Governance, business model and size as drivers of loan’s portfolio management and provisioning in European banks," Journal of Banking Regulation, Palgrave Macmillan, volume 26, issue 3, pages 590-609, September, DOI: 10.1057/s41261-025-00277-y.
- André Ebner & Christiane Westhoff, 2025, "Joining up prudential and resolution regulation for systemically important banks," Journal of Banking Regulation, Palgrave Macmillan, volume 26, issue 4, pages 732-759, December, DOI: 10.1057/s41261-024-00267-6.
- Carlos Madeira, 2025, "Evolution of the financial policy framework in the Middle East and North Africa over the last 35 years," Journal of Banking Regulation, Palgrave Macmillan, volume 26, issue 4, pages 649-660, December, DOI: 10.1057/s41261-025-00282-1.
- Clark Granger & María Inés Agudelo, 2025, "Preparation for a systemic financial crisis: resolution framework, evidence and lessons learned from the late 90s financial crisis in Colombia," Journal of Banking Regulation, Palgrave Macmillan, volume 26, issue 4, pages 809-826, December, DOI: 10.1057/s41261-025-00287-w.
- Bastien Buchwalter & Francis X. Diebold & Kamil Yilmaz, 2025, "Clustered Network Connectedness:A New Measurement Frameworkwith Application to Global Equity Markets," PIER Working Paper Archive, Penn Institute for Economic Research, Department of Economics, University of Pennsylvania, number 25-009, Feb.
- Engelbert Stockhammer, 2025, "Two types of Minsky cycles: investment-corporate debt cycles and speculative house price cycles," Working Papers, Post Keynesian Economics Society (PKES), number PKWP2513, May.
- Baumann, Michael Heinrich & Janischewski, Anja, 2025, "What are asset price bubbles? A survey on definitions of financial bubbles," MPRA Paper, University Library of Munich, Germany, number 123676, Feb.
- UZ AKDOGAN, Idil & HALICIOGLU, Ferda & Demir, Ishak, 2025, "Measuring Currency Risk Premium: The Case of Turkey," MPRA Paper, University Library of Munich, Germany, number 123742.
- Huang, Guangming, 2025, "Creating and Stabilizing an Enormous Bubble Economy Similar to the Great Depression," MPRA Paper, University Library of Munich, Germany, number 123911, Mar.
- Harashima, Taiji, 2025, "Disinformation and “Bad” Financial Speculations: A Mechanism behind Financial Crises," MPRA Paper, University Library of Munich, Germany, number 124877, Jun.
- Drenkovska, Marija & Lenarčič, Črt, 2025, "Financial markets stress indicator for Slovenia (FIMSIS)," MPRA Paper, University Library of Munich, Germany, number 125551, Jul.
- Ozili, Peterson K, 2025, "Reflecting on the recent banking crisis, what are the new financial stability determinants?," MPRA Paper, University Library of Munich, Germany, number 125565.
- Kikuchi, Tatsuru, 2025, "Dynamic Spatial Treatment Effects and Network Fragility: Theory and Evidence from European Banking," MPRA Paper, University Library of Munich, Germany, number 126721.
- Kikuchi, Tatsuru, 2025, "Dynamic Spatial Treatment Effects and Network Fragility: Theory and Evidence from the 2008 Financial Crisis," MPRA Paper, University Library of Munich, Germany, number 126725.
- Gheorghe-Alexandru Tarta, 2025, "Assessing the Early Warning Capabilities of GaR: A Probabilistic Approach to Recession Detection in CEE Economies," Prague Economic Papers, Prague University of Economics and Business, volume 2025, issue 3, pages 304-346, DOI: 10.18267/j.pep.897.
- Daniel Maas & Roberto Panzica & Martín Saldías, 2025, "Developing a Financial Stability Network Model: The Macroprudential Two-Mode Network (M2MN) toolbox," Working Papers, Banco de Portugal, Economics and Research Department, number w202512.
- Martín Saldias & Roberto Panzica, 2025, "Uncovering transition risk: A new stress testing approach for the banking sector," Working Papers, Banco de Portugal, Economics and Research Department, number w202520.
- Martín Saldias & Sophia Mizinski, 2025, "Sectoral Interconnectedness in Portugal and the Role of Non-Bank Financial Institutions," Working Papers, Banco de Portugal, Economics and Research Department, number w202521.
- Botero-Ramírez, Oscar David & Murcia, Andrés & Villamizar-Villegas, Mauricio, 2025, "Foreign investment dynamics: The impact of benchmark-driven versus unconstrained investors on local credit conditions," Working papers, Red Investigadores de Economía, number 112, May.
- Khan Muhammad Niaz, 2025, "Assessing the Impact of Geopolitical Crises on Global Financial Markets: Insights from the Novel TVP-VAR Model," Journal of Economic Integration, Center for Economic Integration, Sejong University, volume 40, issue 1, pages 29-52.
- Maxim V. Koshkarev & Asan A. Satmurzaev, 2025, "The Role of Sustainable Industry Clusters in Regional Competitiveness in Times of Crisis," Economic Consultant, Scientific and Educational Initiative LLC, issue 4, pages 39-54, December, DOI: 10.46224/ecoc.2025.4.3.
- Andreea Rotarescu, 2025, "Productivity Slowdown and Firm Exit: The Ins and Outs of Banking Crises," Working Papers, Wake Forest University, Economics Department, number 129, Jul.
- Shuo YANG, 2025, "Identifying Multiple Bubbles and Time-Varying Contagion Effect between Iron Ore and China's Stock Markets: A New Recursive Evolving Test," Journal for Economic Forecasting, Institute for Economic Forecasting, volume 0, issue 1, pages 81-100, April.
- Catherine Georgiou, 2025, "Puzzling behavioral mechanisms under extreme market conditions: A bibliometric and systematic literature review," Bulletin of Applied Economics, Risk Market Journals, volume 12, issue 2, pages 209-229.
- Jesús Antonio López Cabrera & Enrique González Mata & Juan Quiñonez Wu, 2025, "Monetary Policy Reaction to COVID-19 and Their Economic Impact in Central America and the Dominican Republic," Journal of Emerging Market Finance, Institute for Financial Management and Research, volume 24, issue 1, pages 7-36, March, DOI: 10.1177/09726527241257755.
- Taiwo Aderogba & Ibrahim Ayoade Adekunle & Olayinka Esther Atoyebi, 2025, "Post-Crisis Bank Profitability in BRICS: A CAMEL Approach," Journal of Emerging Market Finance, Institute for Financial Management and Research, volume 24, issue 3, pages 360-384, September, DOI: 10.1177/09726527251335991.
- Soumya Sankar Chakraborty & Mehul Raithatha & Tara Shankar Shaw, 2025, "Market Valuation of Cash Holdings: Role of Default Risk During COVID-19," Journal of Emerging Market Finance, Institute for Financial Management and Research, volume 24, issue 4, pages 461-485, December, DOI: 10.1177/09726527251359027.
- Shaun K. Brog & Yeo Hyub Yoon, 2025, "The Institutional Evolution of the US Financial System 1945–2023: Policy Implications of the Long-Wave Financial Cycle and Thwarting System Asymmetries," Review of Radical Political Economics, Union for Radical Political Economics, volume 57, issue 4, pages 744-755, December, DOI: 10.1177/04866134251343364.
- Farid Irani & Abobaker Al.Al. Hadood & Korhan K. Gökmenoğlu & Seyed Alireza Athari, 2025, "Impact of Financial Market uncertainty and Financial Crises on Dynamic Stock—Foreign Exchange Market Correlations: A New Perspective," SAGE Open, , volume 15, issue 1, pages 21582440251, January, DOI: 10.1177/21582440251314719.
- Florin Aliu & Artor Nuhiu, 2025, "Analyzing the Interconnectedness Within the Volatile Crypto Market: Evidence from Two Consequent Non-economic Shocks," SAGE Open, , volume 15, issue 2, pages 21582440251, June, DOI: 10.1177/21582440251340458.
- Meng-Shiuh Chang & PengCheng Huang & LinSiDi Zhang & Liang Jiang, 2025, "The Asymmetric Effect of Market Uncertainty on Safe havens, Inverted Asymmetry and Contagion During COVID-19 Periods," SAGE Open, , volume 15, issue 3, pages 21582440251, September, DOI: 10.1177/21582440251378567.
- Emmanuel Caiazzo & Alberto Zazzaro, 2025, "Price Stability and Financial Stability: Designing the Central Bank Mandate," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 767, Nov.
- Hubert János Kiss & Alfonso Rosa García & Lukas Voellmy, 2025, "Redemption fees and gates in the lab," Working Papers, Swiss National Bank, number 2025-10.
- Mohammad Zoynul Abedin & Mahmudul Hasan Moon & M. Kabir Hassan & Petr Hajek, 2025, "Deep learning-based exchange rate prediction during the COVID-19 pandemic," Annals of Operations Research, Springer, volume 345, issue 2, pages 1335-1386, February, DOI: 10.1007/s10479-021-04420-6.
- Daniel Felix Ahelegbey & Roberto Casarin & Emmanuel Senyo Fianu & Luigi Grossi, 2025, "Structural changes in contagion channels: the impact of COVID-19 on the Italian electricity market," Annals of Operations Research, Springer, volume 345, issue 2, pages 1035-1060, February, DOI: 10.1007/s10479-024-05893-x.
- Tamara Teplova & Sergei Gurov, 2025, "Nonlinear intraday trading invariance in the Russian stock market," Annals of Operations Research, Springer, volume 352, issue 3, pages 441-469, September, DOI: 10.1007/s10479-022-04683-7.
- Javed Bin Kamal & Shakil Bin Kashem & Salim Rashid, 2025, "Islamic Versus Mainstream Bank Behavior Using Agent-Based Modelling Simulation," Contributions to Economics, Springer, chapter 0, in: Farhad Taghizadeh-Hesary & Hassanudin Mohd Thas Thaker & M. Ishaq Bhatti & Anwar Allah Pitchay, "Islamic Financial Markets and Institutions", DOI: 10.1007/978-981-96-8650-6_3.
- Yi-Chi Chen & Guo Yu, 2025, "Different time different answer? Determinants of economic growth with error control via group knockoffs," Empirical Economics, Springer, volume 68, issue 5, pages 2225-2254, May, DOI: 10.1007/s00181-024-02694-w.
- Hong Lee & Joseph R. Mason, 2025, "Appraisal quality and loan characteristics: evidence from Newcomb–Benford Law," Empirical Economics, Springer, volume 69, issue 6, pages 3721-3758, December, DOI: 10.1007/s00181-025-02814-0.
- Meera Ancy Vincent & Pranab Kumar Das & Samaresh Bardhan, 2025, "Firm investment, financial constraints and agency costs: evidence from India," Empirical Economics, Springer, volume 69, issue 6, pages 3463-3509, December, DOI: 10.1007/s00181-025-02830-0.
- Carlo Boselli & Stefano Costa & Marco Rinaldi & Claudio Vicarelli, 2025, "The pandemic crisis in Italy: an assessment through a new classifier of firm economic-financial solidity," Economia e Politica Industriale: Journal of Industrial and Business Economics, Springer;Associazione Amici di Economia e Politica Industriale, volume 52, issue 2, pages 451-471, June, DOI: 10.1007/s40812-024-00328-x.
- Heike Joebges & Hansjörg Herr & Christian Kellermann, 2025, "Crypto assets as a threat to financial market stability," Eurasian Economic Review, Springer;Eurasia Business and Economics Society, volume 15, issue 2, pages 473-502, June, DOI: 10.1007/s40822-025-00311-4.
- Gour Gobinda Goswami & Muhammad Yahya & Mahnaz Aftabi Atique & Gazi Salah Uddin, 2025, "Impact of financial and energy market uncertainties on ASEAN-5 markets," Eurasian Economic Review, Springer;Eurasia Business and Economics Society, volume 15, issue 4, pages 1261-1283, December, DOI: 10.1007/s40822-025-00327-w.
- Shiwangi Sethi & Mohinder Singh & Amit Kumar Basantaray, 2025, "A macro–micro framework for predicting bank distress: empirical insights," Indian Economic Review, Springer, volume 60, issue 1, pages 163-183, June, DOI: 10.1007/s41775-025-00247-1.
- Robert Stewart & Murshed Chowdhury, 2025, "How does institutional quality respond to banking crises occurrences?," International Review of Economics, Springer;Happiness Economics and Interpersonal Relations (HEIRS), volume 72, issue 2, pages 1-40, December, DOI: 10.1007/s12232-025-00496-9.
- Massimiliano Affinito & Raffaele Santioni & Luca Tomassetti, 2025, "Inside Household Debt: Disentangling Mortgages and Consumer Credit, and Household and Bank Factors. Evidence from Italy," Italian Economic Journal: A Continuation of Rivista Italiana degli Economisti and Giornale degli Economisti, Springer;Società Italiana degli Economisti (Italian Economic Association), volume 11, issue 2, pages 773-814, July, DOI: 10.1007/s40797-025-00319-4.
- Kamil Fortuna & Janusz Szwabiński, 2025, "An unified framework for modeling credit cycles and systemic risk assessment," Journal of Economic Interaction and Coordination, Springer;Society for Economic Science with Heterogeneous Interacting Agents, volume 20, issue 2, pages 519-546, April, DOI: 10.1007/s11403-024-00439-7.
- Ananya Bhatia & Jagdeep Kumar, 2025, "Assessing the Impact of COVID-19 on Financial Performance of Public and Private Banks in India," Journal of Quantitative Economics, Springer;The Indian Econometric Society (TIES), volume 23, issue 2, pages 601-620, June, DOI: 10.1007/s40953-024-00437-3.
- Samik Shome & Sushma Verma, 2025, "Zombie firms: a systematic review and future research directions," Management Review Quarterly, Springer, volume 75, issue 3, pages 2309-2368, September, DOI: 10.1007/s11301-024-00435-y.
- Annalisa Croce & Elisa Ughetto & Andrea Fronzetti Colladon, 2025, "Investment strategies of bank-affiliated and independent venture capitalists: a focus on innovation in the fintech sector in the wake of the global financial crisis," Review of Managerial Science, Springer, volume 19, issue 10, pages 2969-3012, October, DOI: 10.1007/s11846-025-00838-5.
- Thomas Kaspereit, 2025, "Forecasting Share Redemption Suspensions and Net Asset Value Decreases of Open-End Real Estate Funds: The Role of Investment Ratings," Schmalenbach Journal of Business Research, Springer, volume 77, issue 2, pages 357-405, June, DOI: 10.1007/s41471-025-00206-9.
- Muhammad Jawad & Sidra Nazir & Md. Saiful Islam, 2025, "Examining exchange rate bubbles in Pakistan: application of sequential ADF tests," SN Business & Economics, Springer, volume 5, issue 9, pages 1-24, September, DOI: 10.1007/s43546-025-00896-7.
- Lars Jonung, 2025, "The Problems of Inflation Targeting Originate in the Monetary Theory of Knut Wicksell," Springer Studies in the History of Economic Thought, Springer, in: Muriel Dal Pont Legrand & Harald Hagemann, "Waving the Swedish Flag in Economics", DOI: 10.1007/978-3-031-71511-2_3.
- Mardi Dungey & Thomas Flavin & Lisa Sheenan, 2025, "Banks and sovereigns: did adversity bring them closer?," The European Journal of Finance, Taylor & Francis Journals, volume 31, issue 9, pages 1089-1114, June, DOI: 10.1080/1351847X.2021.1910056.
- Yannick Malevergne & Didier Sornette & Ran Wei, 2025, "A model of financial bubbles and drawdowns with non-local behavioral self-referencing," Quantitative Finance, Taylor & Francis Journals, volume 25, issue 4, pages 591-616, April, DOI: 10.1080/14697688.2025.2479633.
- Servaas Storm, 2025, "The AI Bubble and the U.S. Economy: How Long Do 'Hallucinations' Last?," Working Papers Series, Institute for New Economic Thinking, number inetwp240, Sep, DOI: 10.36687/inetwp240.
- Pierre Ghislain BATILA NGOUALA KOMBO, 2025, "Financial stability and monetary stability: the role of macroprudential and monetary policy coordination in CEMAC," Region et Developpement, Region et Developpement, LEAD, Universite du Sud - Toulon Var, volume 61, pages 97-109.
- Arvind Krishnamurthy & Wenhao Li, 2025, "Dissecting Mechanisms of Financial Crises: Intermediation and Sentiment," Journal of Political Economy, University of Chicago Press, volume 133, issue 3, pages 935-985, DOI: 10.1086/733423.
- Adam Gersl & Pervin Dadashova & Yuliya Bazhenova & Anatolii Hlazunov & Danylo Krasovytskyi, 2025, "The Financial Cycle Index of Ukraine," Working Papers, National Bank of Ukraine, number 01/2025, Apr, DOI: 10.26531/vnbu2025.wp01.
- Marcella Lucchetta, 2025, "Bank Heterogeneity and Crisis Migration: A General Equilibrium Analysis of Systemic Risk," Working Papers, Department of Economics, University of Venice "Ca' Foscari", number 2025: 05.
- Marcella Lucchetta, 2025, "Crisis-Proofing Heterogeneous Banks," Working Papers, Department of Economics, University of Venice "Ca' Foscari", number 2025: 08.
- Eliana Lauretta & Andrew William Mullineux, 2025, "The Unresolved Dilemma of the Finance-Growth Nexus: a Critical Survey and Future Research Agenda," Rivista Internazionale di Scienze Sociali, Vita e Pensiero, Pubblicazioni dell'Universita' Cattolica del Sacro Cuore, volume 133, issue 3, pages 259-300.
- Sadraoui Tarek & Neffati Mohamed & Achour Wafa, 2025, "Unraveling the Asymmetric Dynamics of Oil Price Shocks and Market Volatility on Stock Returns: Evidence from Nardl Panel Approach," Economics, Sciendo, volume 13, issue 3, pages 125-145, DOI: 10.2478/eoik-2025-0059.
- Stričević Ljiljana & Bursać Nataša Martić & Gocić Milena, 2025, "Sustainable Management of Water Resources in Urban Areas: Case Study Rasina District," Economic Themes, Sciendo, volume 63, issue 1, pages 1-22, DOI: 10.2478/ethemes-2025-0001.
- Ramadhanti Wita & Praptapa Agung & Suyono Eko & Nasir Nor Saidi Mohamed, 2025, "Corporate Governance and Corporate Risk Management on Indonesian and Malaysian Banking Industry Performance during the COVID-19 Pandemic," Folia Oeconomica Stetinensia, Sciendo, volume 25, issue 2, pages 214-235, DOI: 10.2478/foli-2025-0030.
- Müller Karsten, 2025, "Mit der Global Macro Database langfristige Trends und Kosten von Finanzkrisen erkennen," Wirtschaftsdienst, Sciendo, volume 105, issue 11, pages 847-850, DOI: 10.2478/wd-2025-0213.
- Masashige Hamano & Yuki Murakami, 2025, "Frequency and Severity of Current Account Reversals: An Analysis with a Rational Expectations Regime Switching DSGE Model," Working Papers, Waseda University, Faculty of Political Science and Economics, number 2422, Feb.
- Cortina Lorente, Juan Jose & Raddatz, Claudio & Schmukler, Sergio & Williams, Tomas, 2025, "Green versus Conventional Corporate Debt: From Issuances to Emissions," Policy Research Working Paper Series, The World Bank, number 11226, Oct.
- Jesús Fernández‐Villaverde & Samuel Hurtado & Galo Nuño, 2025, "Corrigendum: Financial Frictions and the Wealth Distribution," Econometrica, Econometric Society, volume 93, issue 4, pages 1491-1496, July, DOI: 10.3982/ECTA22259.
- Christopher Cotter & Peter L. Rousseau, 2025, "Correspondent Banking, Systemic Risk, and the Panic of 1893," Journal of Money, Credit and Banking, Blackwell Publishing, volume 57, issue 4, pages 1023-1044, June, DOI: 10.1111/jmcb.13156.
- Christoffer Koch & Gary Richardson & Patrick Van Horn, 2025, "Countercyclical Capital Buffers: A Cautionary Tale," Journal of Money, Credit and Banking, Blackwell Publishing, volume 57, issue 4, pages 793-832, June, DOI: 10.1111/jmcb.13087.
- Gianluca Benigno & Andrew Foerster & Christopher Otrok & Alessandro Rebucci, 2025, "Estimating macroeconomic models of financial crises: An endogenous regime‐switching approach," Quantitative Economics, Econometric Society, volume 16, issue 1, pages 1-47, January, DOI: 10.3982/QE2038.
- Wael Dammak & Halilibrahim Gã–Kgã–Z & Ahmed Jeribi, 2025, "Time–Frequency Connectedness In Global Banking: Volatility And Return Dynamics Of Brics And G7 Banks," Global Economy Journal (GEJ), World Scientific Publishing Co. Pte. Ltd., volume 25, issue 01n02, pages 1-37, July, DOI: 10.1142/S2194565925500046.
- Piotr Bańbuła & Artur Rutkowski, 2025, "When and at What Level? Calibration of the Countercyclical Capital Buffer Using Early Warning Models," Quarterly Journal of Finance (QJF), World Scientific Publishing Co. Pte. Ltd., volume 15, issue 01, pages 1-33, March, DOI: 10.1142/S201013922550003X.
- Tu Thi Thanh Tran & Nhung Hong Do & Yen Thi Nguyen, 2025, "Determinants of Operational Risk of the Commercial Bank After the Financial Crisis: Empirical Evidence from Vietnam," Review of Pacific Basin Financial Markets and Policies (RPBFMP), World Scientific Publishing Co. Pte. Ltd., volume 28, issue 01, pages 1-31, March, DOI: 10.1142/S0219091525500055.
- Hyun-Jung Nam & Mehmet Huseyin Bilgin & Doojin Ryu, 2025, "Threshold Effects Of Trade Openness On Financial Development: The Case Of The Asean Region," The Singapore Economic Review (SER), World Scientific Publishing Co. Pte. Ltd., volume 70, issue 01, pages 125-155, March, DOI: 10.1142/S0217590824500486.
- Martino, Edoardo & Perotti, Enrico, 2025, "Containing Runs on Solvent Banks: Prioritizing Recovery over Resolution," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 1-30, April.
- Arnold, Vincient, 2025, "Brazil: Banco BTG Pactual Emergency Liquidity Program, 2015," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 107-127, April.
- Keanie, Adam & Brougher, Leo, 2025, "Canada: Canadian Commercial Bank Emergency Liquidity Program, 1985," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 128-145, April.
- Schaefer-Brown, Stella, 2025, "Cyprus: Laiki Bank Ad Hoc Emergency Liquidity Assistance, 2011," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 146-165, April.
- Decker, Bailey, 2025, "Denmark: Roskilde Bank Emergency Liquidity Program, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 166-188, April.
- George, Ayodeji & Alden, Sophia, 2025, "Germany: IKB Deutsche Industriebank Emergency Liquidity Program, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 189-202, April.
- Alden, Sophia & Brougher, Leo, 2025, "Iceland: Kaupthing Emergency Liquidity Program, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 203-229, April.
- Arnold, Vincient, 2025, "Indonesia: Bank Century Emergency Liquidity Program," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 230-259, April.
- Gupta, Salil & Khairallah, Mahdi & Nik Moktar, Nik Adlina, 2025, "Ireland: Anglo Irish Bank Emergency Liquidity Assistance, 2009," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 260-293, April.
- Ardimento, Kopal, 2025, "Italy: Banco Ambrosiano Emergency Liquidity Program, 1982," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 294-308, April.
- Decker, Bailey, 2025, "Latvia: Parex Bank Emergency Liquidity Program, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 309-339, April.
- Jaremski, Matthew & Richardson, Gary & Vossmeyer, Angela, 2025, "Fighting "Fear Itself": The Bank Holiday of March 1933," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 31-56, April.
- Arnold, Vincient, 2025, "Moldova: Consortium of Banks Emergency Liquidity Program, 2014," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 340-370, April.
- Hoffner, Benjamin, 2025, "Russia: Otkritie Emergency Liquidity Program, 2017," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 371-394, April.
- Arnold, Vincient & Swaminathan, Lakshimi, 2025, "Spain: Caja de Ahorros Castilla-La Mancha Emergency Liquidity Assistance, 2009," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 395-413, April.
- Alden, Sophia & French, Jack, 2025, "Sweden: Carnegie Investment Bank AB Emergency Liquidity Program, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 414-431, April.
- French, Jack & Heaphy, Owen & Kelly, Steven, 2025, "Switzerland: Credit Suisse Emergency Liquidity Program, 2023," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 432-463, April.
- Decker, Bailey & French, Jack, 2025, "United Kingdom: HBOS and RBS Emergency Liquidity Program, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 464-494, April.
- Decker, Bailey & French, Jack & Shyu, Eming, 2025, "United Kingdom: Northern Rock Emergency Liquidity Program, 2007," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 495-526, April.
- Arnold, Vincient, 2025, "United States: Bank of America Emergency Liquidity Program, 2009," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 527-554, April.
- Arnold, Vincient, 2025, "United States: Bear Stearns Emergency Liquidity Assistance, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 555-585, April.
- Kelly, Steven & Arnold, Vincient & Feldberg, Greg & Metrick, Andrew, 2025, "Ad Hoc Emergency Liquidity Programs in the 21st Century," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 57-106, April.
- Arnold, Vincient, 2025, "United States: Citigroup Emergency Liquidity Program, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 586-622, April.
- Gupta, Salil & French, Jack & Kelly, Steven, 2025, "United States: First Republic Bank Emergency Liquidity Program, 2023," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 623-653, April.
- George, Ayodeji & Kelly, Steven, 2025, "United States: Lehman Brothers Broker-Dealer Emergency Liquidity Program, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 654-682, April.
- Porfirio Martinez, Marco, 2025, "Liquidity Facilities Provided to Banks during the Dominican Republic Financial Crisis of 2003," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 683-689, April.
- McLaughlin, Susan, 2025, "Eliminating Discount Window Stigma: What Can We Learn from Abroad?," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 690-706, April.
- Haggerty, Maryann, 2025, "Lessons Learned: Jesper Berg," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 707-710, April.
- Chute Lynch, Mary Anne, 2025, "Lessons Learned: J. Christopher Flowers," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 711-714, April.
- Cardona, Mercedes, 2025, "Lessons Learned: Giorgio Gobbi," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 715-717, April.
- Chute Lynch, Mary Anne & Wiggins, Rosalind, 2025, "Lessons Learned: Philip Lane," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 718-721, April.
- Cardona, Mercedes, 2025, "Lessons Learned: Fabrizio Lopez-Gallo," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 722-724, April.
- Haggerty, Maryann, 2025, "Lessons Learned: Cecilia Skingsley," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 7, issue 1, pages 725-728, April.
- Karlo Vujeva, 2025, "Kvantitativno labavljenje, princip razdvajanja i monetarna transmisija u sustavu obilnih rezervi," EFZG Working Papers Series, Faculty of Economics and Business, University of Zagreb, number 2506, Dec.
- Ballensiefen, Benedikt Fabian, 2025, "Collateral choice," CFR Working Papers, University of Cologne, Centre for Financial Research (CFR), number 25-05.
- Gáspár, Attila & Sandström, Alexandra & Watson, Taylor & Wochner, Timo, 2025, "Electoral Cycles in Macroprudential Regulation - A Replication of Müller (2023)," I4R Discussion Paper Series, The Institute for Replication (I4R), number 204.
- Koetter, Michael & Noth, Felix & Wöbbeking, Carl Fabian, 2025, "Contractionary macroprudential policy, collateral valuation, and risk-shifting in EU banking," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 4/2025, revised 2025, DOI: 10.18717/dp8vbg-3v09.
- Ezra, Dvir Aviam, 2025, "Disclosure regulations during crisis: The case of TASE after October 7th," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 454, DOI: 10.2139/ssrn.5411504.
- Mihaylovski, Peter, 2025, "Recourse versus non-recourse mortgage debt and costly state verification," WiSo-HH Working Paper Series, University of Hamburg, Faculty of Business, Economics and Social Sciences, WISO Research Laboratory, number 89.
- Wiechers, Lukas, 2025, "A Realtime Analysis of Fundamentals and Bubbles in the S&P 500," VfS Annual Conference 2025 (Cologne): Revival of Industrial Policy, Verein für Socialpolitik / German Economic Association, number 325420.
- Babatunde Lawrence & Fabian Moodley, 2025, "Does ESG Compliance Drive Commercial Banks Stock Returns? Evidence from the South African Market," Finance, Accounting and Business Analysis, University of National and World Economy, Institute for Economics and Politics, volume 7, issue 2, pages 198-207, December.
- Antje Berndt & Darrell Duffie & Yichao Zhu, 2025, "The Decline of Too Big to Fail," American Economic Review, American Economic Association, volume 115, issue 3, pages 945-974, March, DOI: 10.1257/aer.20220846.
- Diana Bonfim & Miguel A. Ferreira & Francisco Queiró & Sujiao (Emma) Zhao, 2025, "Fiscal Policy and Credit Supply in a Crisis," American Economic Review, American Economic Association, volume 115, issue 6, pages 1896-1935, June, DOI: 10.1257/aer.20221499.
- Wenhao Li, 2025, "Public Liquidity and Financial Crises," American Economic Journal: Macroeconomics, American Economic Association, volume 17, issue 2, pages 245-284, April, DOI: 10.1257/mac.20210412.
- Katarzyna Bilicka & İrem Güçeri & Evangelos Koumanakos, 2025, "Dividend Taxation and Firm Performance with Heterogeneous Payout Responses," American Economic Journal: Economic Policy, American Economic Association, volume 17, issue 2, pages 1-29, May, DOI: 10.1257/pol.20230109.
- Gauti B. Eggertsson & Sergei K. Egiev, 2025, "Liquidity Traps: A Unified Theory of the Great Depression and the Great Recession," Journal of Economic Literature, American Economic Association, volume 63, issue 4, pages 1424-1551, December, DOI: 10.1257/jel.20241306.
Printed from https://ideas.repec.org/j/G01-2.html