Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2018
- Suleiman Abid A. Almayatah, 2018, "The Impact of Islamic Banks on Financial Soundness Indicators," International Review of Management and Marketing, Econjournals, volume 8, issue 3, pages 26-31.
- Elnahass, Marwa & Izzeldin, Marwan & Steele, Gerald, 2018, "Capital and Earnings Management: Evidence from Alternative Banking Business Models," The International Journal of Accounting, Elsevier, volume 53, issue 1, pages 20-32, DOI: 10.1016/j.intacc.2018.02.002.
- König-Kersting, Christian & Trautmann, Stefan T., 2018, "Countercyclical risk aversion: Beyond financial professionals," Journal of Behavioral and Experimental Finance, Elsevier, volume 18, issue C, pages 94-101, DOI: 10.1016/j.jbef.2018.03.001.
- Papadovasilaki, Dimitra & Guerrero, Federico & Sundali, James, 2018, "The effect of early and salient investment experiences on subsequent asset allocations—An experimental study," Journal of Behavioral and Experimental Finance, Elsevier, volume 19, issue C, pages 1-19, DOI: 10.1016/j.jbef.2018.03.002.
- Li, Kun, 2018, "Reaction to news in the Chinese stock market: A study on Xiong’an New Area Strategy," Journal of Behavioral and Experimental Finance, Elsevier, volume 19, issue C, pages 36-38, DOI: 10.1016/j.jbef.2018.03.004.
- Fernández, Ana I. & González, Francisco & Suárez, Nuria, 2018, "Bank supply shocks and the substitution between bank and nonbank debt," Journal of Corporate Finance, Elsevier, volume 48, issue C, pages 122-147, DOI: 10.1016/j.jcorpfin.2017.10.010.
- Gonçalves, Adalto Barbaceia & Schiozer, Rafael F. & Sheng, Hsia Hua, 2018, "Trade credit and product market power during a financial crisis," Journal of Corporate Finance, Elsevier, volume 49, issue C, pages 308-323, DOI: 10.1016/j.jcorpfin.2018.01.009.
- Goel, Manisha & Zemel, Michelle, 2018, "Switching to bonds when loans are scarce: Evidence from four U.S. crises," Journal of Corporate Finance, Elsevier, volume 52, issue C, pages 1-27, DOI: 10.1016/j.jcorpfin.2018.05.006.
- Blasques, Francisco & Bräuning, Falk & Lelyveld, Iman van, 2018, "A dynamic network model of the unsecured interbank lending market," Journal of Economic Dynamics and Control, Elsevier, volume 90, issue C, pages 310-342, DOI: 10.1016/j.jedc.2018.03.015.
- Di Gangi, Domenico & Lillo, Fabrizio & Pirino, Davide, 2018, "Assessing systemic risk due to fire sales spillover through maximum entropy network reconstruction," Journal of Economic Dynamics and Control, Elsevier, volume 94, issue C, pages 117-141, DOI: 10.1016/j.jedc.2018.07.001.
2017
- Rodica PERCIUN & Dorina CLICHICI, 2017, "Тhe Management Of Financial Stability In National Strategies," Economy and Sociology, The Journal Economy and Sociology, issue 1-2, pages 23-32.
- Ahmed Belouafi, 2017, "Book Review: Between Debt and the Devil: Money, Credit, and Fixing Global Finance. Adair Turner (Editor), Reviewed by: Ahmad Belouafi مراجعة علمية لكتاب: بين الدَّيْن والشيطان: النقود والائتمان وإصلاح النظام المالي - لآدير ترنر - مراجعة: أحمد بلوافي," Book reviews and book reports published in the Journal of King Abdulaziz University: Islamic Economics., King Abdulaziz University, Islamic Economics Institute., number 15, Oct, DOI: 10.4197/Islec.30-3.14.
- Mehdi Hadian, 2017, "Procyclicality and The Intensity of Basel III Measures in Islamic Banking: Some Evidence from Iran التقلبات الدورية ومدى تأثير مقررات بازل (3) على الخدمات المصرفية الإسلامية: دروس من التجربة الإيرانية," Journal of King Abdulaziz University: Islamic Economics, King Abdulaziz University, Islamic Economics Institute., volume 30, issue 2, pages 33-44, July, DOI: 10.4197/Islec.30-2.3.
- Ahmed Belouafi, 2017, "Monetary Reform: Thoughts and Observations الإصلاح النقدي والمالي: خواطر وتنبيهات," Journal of King Abdulaziz University: Islamic Economics, King Abdulaziz University, Islamic Economics Institute., volume 30, issue 3, pages 267-288, October, DOI: 10.4197/Islec.30-3.11.
- Abdelrahman Yousri Ahmad, 2017, "The Role of Money in Financial Instability and Possibilities of Reformation within an Islamic Financial System دور النقود في زعزعة الاستقرار المالي وإمكانية الإصلاح في إطار نظام تمويل إسلامي," Journal of King Abdulaziz University: Islamic Economics, King Abdulaziz University, Islamic Economics Institute., volume 30, issue 3, pages 187-208, October, DOI: 10.4197/Islec.30-3.7.
- Hisham H. Abdelbaki, 2017, "Money, Conventional Monetary System and Possibility of Monetary Reform النقود والنظام النقدي التقليدي وإمكانية الإصلاح النقدي," Journal of King Abdulaziz University: Islamic Economics, King Abdulaziz University, Islamic Economics Institute., volume 30, issue 3, pages 223-247, October, DOI: 10.4197/Islec.30-3.9.
- Hyeongwoo Kim & Kyunghwan Ko, 2017, "Improving Forecast Accuracy of Financial Vulnerability: PLS Factor Model Approach," Auburn Economics Working Paper Series, Department of Economics, Auburn University, number auwp2017-03, May.
- Mehmet Yazıcı, 2017, "Increasing Ethics Violations in Banking Industry," Journal of Finance Letters (Maliye ve Finans Yazıları), Maliye ve Finans Yazıları Yayıncılık Ltd. Şti., volume 32, issue 107, pages 109-128, April, DOI: https://doi.org/10.33203/mfy.307176.
- Matteo Maggiori, 2017, "Financial Intermediation, International Risk Sharing, and Reserve Currencies," American Economic Review, American Economic Association, volume 107, issue 10, pages 3038-3071, October.
- Christina D. Romer & David H. Romer, 2017, "New Evidence on the Aftermath of Financial Crises in Advanced Countries," American Economic Review, American Economic Association, volume 107, issue 10, pages 3072-3118, October.
- Thais Lærkholm Jensen & Niels Johannesen, 2017, "The Consumption Effects of the 2007–2008 Financial Crisis: Evidence from Households in Denmark," American Economic Review, American Economic Association, volume 107, issue 11, pages 3386-3414, November.
- Mark Egan & Ali Hortaçsu & Gregor Matvos, 2017, "Deposit Competition and Financial Fragility: Evidence from the US Banking Sector," American Economic Review, American Economic Association, volume 107, issue 1, pages 169-216, January.
- Simon Gilchrist & Raphael Schoenle & Jae Sim & Egon Zakrajšek, 2017, "Inflation Dynamics during the Financial Crisis," American Economic Review, American Economic Association, volume 107, issue 3, pages 785-823, March.
- Marco Del Negro & Gauti Eggertsson & Andrea Ferrero & Nobuhiro Kiyotaki, 2017, "The Great Escape? A Quantitative Evaluation of the Fed's Liquidity Facilities," American Economic Review, American Economic Association, volume 107, issue 3, pages 824-857, March.
- Francesco Bianchi & Leonardo Melosi, 2017, "Escaping the Great Recession," American Economic Review, American Economic Association, volume 107, issue 4, pages 1030-1058, April.
- Robert J. Shiller, 2017, "Narrative Economics," American Economic Review, American Economic Association, volume 107, issue 4, pages 967-1004, April.
- Ricardo T. Fernholz & Christoffer Koch, 2017, "Big Banks, Idiosyncratic Volatility, and Systemic Risk," American Economic Review, American Economic Association, volume 107, issue 5, pages 603-607, May.
- Markus K. Brunnermeier & Michael Sockin & Wei Xiong, 2017, "China's Gradualistic Economic Approach and Financial Markets," American Economic Review, American Economic Association, volume 107, issue 5, pages 608-613, May.
- Christopher Gust & Edward Herbst & David López-Salido & Matthew E. Smith, 2017, "The Empirical Implications of the Interest-Rate Lower Bound," American Economic Review, American Economic Association, volume 107, issue 7, pages 1971-2006, July.
- Stephanie Schmitt-Grohé & Martín Uribe, 2017, "Liquidity Traps and Jobless Recoveries," American Economic Journal: Macroeconomics, American Economic Association, volume 9, issue 1, pages 165-204, January.
- Fabrice Collard & Harris Dellas & Behzad Diba & Olivier Loisel, 2017, "Optimal Monetary and Prudential Policies," American Economic Journal: Macroeconomics, American Economic Association, volume 9, issue 1, pages 40-87, January.
- Yuliya Demyanyk & Dmytro Hryshko & María Jose Luengo-Prado & Bent E. Sørensen, 2017, "Moving to a Job: The Role of Home Equity, Debt, and Access to Credit," American Economic Journal: Macroeconomics, American Economic Association, volume 9, issue 2, pages 149-181, April.
- Galo Nuño & Carlos Thomas, 2017, "Bank Leverage Cycles," American Economic Journal: Macroeconomics, American Economic Association, volume 9, issue 2, pages 32-72, April.
- Lee E. Ohanian, 2017, "The Great Recession in the Shadow of the Great Depression: A Review Essay on Hall of Mirrors: The Great Depression, the Great Recession, and the Uses and Misuses of History, by Barry Eichengreen," Journal of Economic Literature, American Economic Association, volume 55, issue 4, pages 1583-1601, December.
- Georgios Bertsatos & Plutarchos Sakellaris, 2017, "Did the Financial Crisis affect the Market Valuation of Large Systemic U.S. Banks?," Working Papers, Athens University Of Economics and Business, Department of Economics, number 201709, Sep.
- Ionuţ JIANU & Laura-Mădălina PÎRȘCOVEANU & Maria-Daniela TUDORACHE, 2017, "The impact of financial risks on economic growth in EU-15," Theoretical and Applied Economics, Asociatia Generala a Economistilor din Romania / Editura Economica, volume 0, issue 1(610), S, pages 23-44, Spring.
- Hong Puah, Chin & Kuek, Tai Hock & Arip, M. Affendy, 2017, "Assessing Thailand’s financial vulnerability: An early warning approach," Business and Economic Horizons (BEH), Prague Development Center (PRADEC), volume 13, issue 4, October, DOI: 10.22004/ag.econ.285104.
- ALIN MARIUS ANDRIES & Simona MUTU, 2017, "Bank Business Models And Performance During Crisis In Central And Eastern Europe," Review of Economic and Business Studies, Alexandru Ioan Cuza University, Faculty of Economics and Business Administration, issue 20, pages 79-113, December.
- Ignacio MARTÃ NEZ & Gabriel MURSA, 2017, "From Orthodoxy To Heterodoxy: Financial Crisis Literature Compared," Scientific Annals of Economics and Business (continues Analele Stiintifice), Alexandru Ioan Cuza University, Faculty of Economics and Business Administration, volume 63, issue 3, pages 71-87, January.
- Ignacio MARTÃ NEZ & Gabriel MURSA, 2017, "From Orthodoxy To Heterodoxy: Financial Crisis Literature Compared," Scientific Annals of Economics and Business (continues Analele Stiintifice), Alexandru Ioan Cuza University, Faculty of Economics and Business Administration, volume 63, issue si, pages 71-87, January, DOI: 10.1515/saeb-2016-0136.
- Borel-Mathurin, Fabrice & Loisel, Stephane & Segers, Johan, 2017, "Reevaluation of the capital charge in insurance after a large shock: empirical and theoretical views," LIDAM Discussion Papers ISBA, Université catholique de Louvain, Institute of Statistics, Biostatistics and Actuarial Sciences (ISBA), number 2017006, Jan.
- Annamária Artner, 2017, "Cycles of Nationalisation and Privatisation and the Role of the State in Ireland," Acta Oeconomica, Akadémiai Kiadó, Hungary, volume 67, issue 4, pages 557-583, December.
- Fabio Berton & Sauro Mocetti & Andrea F. Presbitero & Matteo Richiardi, 2017, "Banks, Firms, and Jobs," Mo.Fi.R. Working Papers, Money and Finance Research group (Mo.Fi.R.) - Univ. Politecnica Marche - Dept. Economic and Social Sciences, number 136, Jan.
- Francesco Marchionne & Beniamino Pisicoli & Michele Fratianni, 2017, "Regulation, financial crises, and liberalization traps," Mo.Fi.R. Working Papers, Money and Finance Research group (Mo.Fi.R.) - Univ. Politecnica Marche - Dept. Economic and Social Sciences, number 143, Nov.
- Neantro Saavedra-Rivano & Joanilio Rodolpho Teixeira, 2017, "Magic hypercube and index of welfare and sustainability," Economia, ANPEC - Associação Nacional dos Centros de Pós-Graduação em Economia [Brazilian Association of Graduate Programs in Economics], volume 17, issue 1, pages 88-97.
- Stephen G. Ryan, 2017, "Do the Effects of Accounting Requirements on Banks’ Regulatory Capital Adequacy Undermine Financial Stability?," Annual Review of Financial Economics, Annual Reviews, volume 9, issue 1, pages 1-20, November, DOI: 10.1146/annurev-financial-110716-03.
- Miguel Angel Saldarriaga, 2017, "Credit Booms in Commodity Exporters," Working Papers, Peruvian Economic Association, number 98, Jun.
- Norman Loayza & Amine Ouazad & Romain Ranciere, 2017, "Financial Development, Growth, and Crisis: Is There a Trade-Off?," Working Papers, Peruvian Economic Association, number 114, Dec.
- Aurelio F. Bariviera, 2017, "The inefficiency of Bitcoin revisited: a dynamic approach," Papers, arXiv.org, number 1709.08090, Sep.
- Maria CIUREA, 2017, "Consideration On The Contribution Of The Aggregate Supply To The Gdp In The Romanian Economy For The Period 2010-2015 Post Crisis Influences," Internal Auditing and Risk Management, Athenaeum University of Bucharest, volume 47, issue 3, pages 31-40, Supplemen.
- Ljerka Cerovic & Stella Suljic Nikolaj & Dario Maradin, 2017, "Comparative Analysis Of Conventional And Islamic Banking: Importance Of Market Regulation," Economic Thought and Practice, Department of Economics and Business, University of Dubrovnik, volume 26, issue 1, pages 241-263, june.
- Judit Kapas, 2017, "How Cultural Values Affect Economic Growth: A Critical Assessment Of The Literature," Economic Thought and Practice, Department of Economics and Business, University of Dubrovnik, volume 26, issue 1, pages 265-285, june.
- Brunella Bruno & Immacolata Marino, 2017, "Bad loans and resource allocation in crisis years: Evidence from European banks," BAFFI CAREFIN Working Papers, BAFFI CAREFIN, Centre for Applied Research on International Markets Banking Finance and Regulation, Universita' Bocconi, Milano, Italy, number 1752.
- Inna Strelchenko, 2017, "Modelling Of Scenarios Of The Crisis Phenomena Transfer Among Financial Markets," Baltic Journal of Economic Studies, Publishing house "Baltija Publishing", volume 3, issue 2, DOI: 10.30525/2256-0742/2017-3-2-136-140.
- Yuriy Schedrin, 2017, "Perspective Directions For The Development Of Ukrainian Anti-Crisis Strategy In Modern Conditions Of Aggravation Of The Socio-Economic Situation," Baltic Journal of Economic Studies, Publishing house "Baltija Publishing", volume 3, issue 3, DOI: 10.30525/2256-0742/2017-3-3-77-85.
- Svitlana Pokrason, 2017, "A Healthy Dose Of Pessimism? Influence Of The Ukrainian Economy On Its Banking Sector Credit Ratings," Baltic Journal of Economic Studies, Publishing house "Baltija Publishing", volume 3, issue 4, DOI: 10.30525/2256-0742/2017-3-4-216-223.
- Nadiia Davydenko & Yurii Pasichnyk, 2017, "Features Of Socio-Economic Development Of The Baltic States And Ukraine," Baltic Journal of Economic Studies, Publishing house "Baltija Publishing", volume 3, issue 5, DOI: 10.30525/2256-0742/2017-3-5-97-102.
- Nikolaos I. Papanikolaou, 2017, "A Dual Early Warning Model of Bank Distress," BAFES Working Papers, Department of Accounting, Finance & Economic, Bournemouth University, number BAFES11, Nov.
- Nikolaos I. Papanikolaou, 2017, "To Be Bailed Out or To Be Left to Fail? A Dynamic Competing Risks Hazard Analysis," BAFES Working Papers, Department of Accounting, Finance & Economic, Bournemouth University, number BAFES12, Dec.
- Giancarlo Durante & Luigi Prosperetti, 2017, "Restructuring European banks," BANCARIA, Bancaria Editrice, volume 1, pages 11-17, January.
- Fabrizio Fornezza, 2017, "Consumers after the crisis. A new bank strategy on the road to happiness," BANCARIA, Bancaria Editrice, volume 4, pages 50-52, April.
- Paolo Bono & Angela Condoluci, 2017, "Mutual guarantee credit institutions: the new Italian major Confidi," BANCARIA, Bancaria Editrice, volume 5, pages 77-82, May.
- Fabrizio Fornezza, 2017, "Financial advisors, the new keys: flexibility, technology, learning," BANCARIA, Bancaria Editrice, volume 7, pages 68-76, July.
- Federica Sist & Claudio Giannotti & Massimo Caratelli, 2017, "Financial advisors process: the role of digitization and Fintech," BANCARIA, Bancaria Editrice, volume 11, pages 72-79, November.
- Viktor Dinev, 2017, "“Macroeconomic Imbalances” Factor for the Euro Area Debt Crisis," Economic Studies journal, Bulgarian Academy of Sciences - Economic Research Institute, issue 3, pages 142-177.
- July Radev, 2017, "Monetary policy and the dynamic disequilibrium," Economic Thought journal, Bulgarian Academy of Sciences - Economic Research Institute, issue 1, pages 96-114.
- Viktor M. Dinev, 2017, "Risks and benefits for new member states of the European Union in their entry in the Euro area in the context of the debt crisis," Economic Thought journal, Bulgarian Academy of Sciences - Economic Research Institute, issue 3, pages 112-130.
- Jorge Cruz Lopez & Mark Manning, 2017, "Who Pays? CCP Resource Provision in the Post-Pittsburgh World," Discussion Papers, Bank of Canada, number 17-17, DOI: 10.34989/sdp-2017-17.
- Jose Fique, 2017, "The MacroFinancial Risk Assessment Framework (MFRAF), Version 2.0," Technical Reports, Bank of Canada, number 111, DOI: 10.34989/tr-111.
- Jonathan Witmer, 2017, "Strategic Complementarities and Money Market Fund Liquidity Management," Staff Working Papers, Bank of Canada, number 17-14, DOI: 10.34989/swp-2017-14.
- Toni Ahnert & Co-Pierre Georg, 2017, "Information Contagion and Systemic Risk," Staff Working Papers, Bank of Canada, number 17-29, DOI: 10.34989/swp-2017-29.
- Thibaut Duprey & Benjamin Klaus, 2017, "How to Predict Financial Stress? An Assessment of Markov Switching Models," Staff Working Papers, Bank of Canada, number 17-32, DOI: 10.34989/swp-2017-32.
- Ricardo Correa & Teodora Paligorova & Horacio Sapriza & Andrei Zlate, 2017, "Cross-Border Bank Flows and Monetary Policy: Implications for Canada," Staff Working Papers, Bank of Canada, number 17-34, DOI: 10.34989/swp-2017-34.
- Tom Roberts, 2017, "A Counterfactual Valuation of the Stock Index as a Predictor of Crashes," Staff Working Papers, Bank of Canada, number 17-38, DOI: 10.34989/swp-2017-38.
- Thomas J. Carter, 2017, "Optimal Interbank Regulation," Staff Working Papers, Bank of Canada, number 17-48, DOI: 10.34989/swp-2017-48.
- Thibaut Duprey & Tom Roberts, 2017, "A Barometer of Canadian Financial System Vulnerabilities," Staff Analytical Notes, Bank of Canada, number 17-24, DOI: 10.34989/san-2017-24.
- Thibaut Duprey & Timothy Grieder & Dylan Hogg, 2017, "Recent Evolution of Canada’s Credit-to-GDP Gap: Measurement and Interpretation," Staff Analytical Notes, Bank of Canada, number 17-25, DOI: 10.34989/san-2017-25.
- Isabel Argimón, 2017, "Decentralized multinational banks and risk taking: the spanish experience in the crisis," Working Papers, Banco de España, number 1749, Dec.
- Carlo Gola & Marco Burroni & Francesco Columba & Antonio Ilari & Giorgio Nuzzo & Onofrio Panzarino, 2017, "Shadow banking out of the shadows: non-bank intermediation and the Italian regulatory framework," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 372, Feb.
- Silvia Del Prete & Cristina Demma & Paola Rossi, 2017, "From few to many: product differentiation in the Italian mortgage market," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 383, Jun.
- Stefano Neri & Giuseppe Ferrero, 2017, "Monetary policy in a low interest rate environment," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 392, Sep.
- Giorgio Nuzzo, 2017, "A critical review of the statistics on the size and riskiness of the securitization market: evidence from Italy and other euro-area countries," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 403, Oct.
- Fabio Berton & Sauro Mocetti & Andrea F. Presbitero & Matteo Richiardi, 2017, "Banks, firms, and jobs," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1097, Feb.
- 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.
- Raffaele Santioni & Fabio Schiantarelli & Philip E. Strahan, 2017, "Internal Capital Markets in Times of Crisis: The Benefit of Group Affiliation in Italy," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1146, Oct.
- Andrea Mercatanti & Taneli Mäkinen & Andrea Silvestrini, 2017, "Investment decisions by European firms and financing constraints," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1148, Oct.
- Sergio Masciantonio & Andrea Zaghini, 2017, "Systemic risk and systemic importance measures during the crisis," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1153, Dec.
- Edoardo Rainone, 2017, "Pairwise trading in the money market during the European sovereign debt crisis," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 1160, Dec.
- Lambertini Luisa & Nuguer Victoria & Uysal Pinar, 2017, "Mortgage Default in an Estimated Model of the U.S. Housing Market," Working Papers, Banco de México, number 2017-06, Jun.
- Ruiz Claudia & Roldán-Peña Jessica & Peydró José-Luis & Morais Bernardo, 2017, "The International Bank Lending Channel of Monetary Policy Rates and QE: Credit Supply, Reach-for-Yield, and Real Effects," Working Papers, Banco de México, number 2017-15, Sep.
- Romero Alberto & Kuper Gerard H. & Jan P.A.M. Jacobs & Boonman Tjeerd, 2017, "Early Warning Systems with Real-Time Data," Working Papers, Banco de México, number 2017-16, Sep.
- Urrutia-Montoya, Miguel, 2017, "Antecedentes de la recesión : estrategia de reactivación," Chapters, Banco de la Republica de Colombia, chapter 8, in: Meisel-Roca, Adolfo & Ramírez-Giraldo, María Teresa, "Tres banqueros centrales", DOI: 10.32468/Ebook.664-367-2.
- Urrutia-Montoya, Miguel, 2017, "Lecciones del siglo XX en el manejo monetario de las crisis," Chapters, Banco de la Republica de Colombia, chapter 10, in: Meisel-Roca, Adolfo & Ramírez-Giraldo, María Teresa, "Tres banqueros centrales", DOI: 10.32468/Ebook.664-367-2.
- J. Sebastian Amador-Torres & Jose Eduardo Gomez-Gonzalez & Sebastian Sanin-Restrepo, 2017, "I know what you did during the last bubble: Determinants of housing bubbles' duration in OECD countries," Borradores de Economia, Banco de la Republica de Colombia, number 1005, Jul, DOI: 10.32468/be.1005.
- Jose Eduardo Gomez-Gonzalez & Jorge Hirs-Garzon, 2017, "Uncovering the time-varying nature of causality between oil prices and stock market returns: A multi-country study," Borradores de Economia, Banco de la Republica de Colombia, number 1009, Aug, DOI: 10.32468/be.1009.
- Jose Eduardo Gomez-Gonzalez & Jorge Hirs-Garzon & Jorge M. Uribe, 2017, "Dynamic Connectedness and Causality between Oil prices and Exchange Rates," Borradores de Economia, Banco de la Republica de Colombia, number 1025, Oct, DOI: 10.32468/be.1025.
- Santiago Gamba & Oscar Jaulín & Angélica Lizarazo & Juan Carlos Mendoza & Paola Morales & Daniel Osorio & Eduardo Yanquen, 2017, "SYSMO I: A Systemic Stress Model for the Colombian Financial System," Borradores de Economia, Banco de la Republica de Colombia, number 1028, Nov, DOI: 10.32468/be.1028.
- María Inés Agudelo & Clark Granger, 2017, "Preparation for a systemic financial crisis in Colombia. Resolution framework, evidence and lessons learned," Borradores de Economia, Banco de la Republica de Colombia, number 1031, Dec, DOI: 10.32468/be.1031.
- Santiago Gamba-Santamaria & Jose Eduardo Gomez-Gonzalez & Jorge Luis Hurtado-Guarin & Luis Fernando Melo-Velandia, 2017, "Volatility Spillovers among Global Stock Markets: Measuring Total and Directional Effects," Borradores de Economia, Banco de la Republica de Colombia, number 983, Jan, DOI: 10.32468/be.983.
- Carmiña O. Vargas & Julian A. Parra-Polania, 2017, "Optimal crisis interventions in an open economy with credit constraint," Borradores de Economia, Banco de la Republica de Colombia, number 989, Mar, DOI: 10.32468/be.989.
- Jose Eduardo Gomez-Gonzalez & Sebastian Sanin-Restrepo, 2017, "The Maple Bubble: A History of Migration among Canadian Provinces," Borradores de Economia, Banco de la Republica de Colombia, number 992, May, DOI: 10.32468/be.992.
- Željko Jović, 2017, "Determinants Of Credit Risk – The Case Of Serbia," Economic Annals, Faculty of Economics and Business, University of Belgrade, volume 62, issue 212, pages 155-188, January -.
- Jean Barthélemy & Vincent Bignon & Benoit Nguyen, 2017, "Illiquid Collateral and Bank Lending during the European Sovereign Debt Crisis," Working papers, Banque de France, number 631.
- Sébastien Roux & Frédérique Savignac, 2017, "SMEs financing: Divergence across Euro area countries?," Working papers, Banque de France, number 654.
- Couaillier, C. & Idier, J., 2017, "Mesurer l’excès de crédit avec le « gap bâlois » : pertinence et limites pour la fixation du coussin de fonds propres bancaires contracyclique," Bulletin de la Banque de France, Banque de France, issue 211, pages 61-74.
- Aurélien Violon & Dominique Durant & Oana Toader, 2018, "The Impact of the Identification of GSIBs on their Business Model," Débats Economiques et financiers, Banque de France, number 33.
- C. Couaillier & J. Idier, 2017, "Measuring excess credit using the “Basel gap”: relevance for setting the countercyclical capital buffer and limitations," Quarterly selection of articles - Bulletin de la Banque de France, Banque de France, issue 46, pages 5-18, Summer.
- José-Luis Peydró [AP BACKUP – NOW EXTERNAL] & Camelia Minoiu & Irina Mihai & José-Luis Peydró & Mircea Epure, 2017, "Global Financial Cycle, Household Credit, and Macroprudential Policies," Working Papers, Barcelona School of Economics, number 1006, Dec.
- José-Luis Peydró [AP BACKUP – NOW EXTERNAL] & Enrico Sette & Andrea Polo & José-Luis Peydró, 2017, "Monetary policy at work: Security and credit application registers evidence," Working Papers, Barcelona School of Economics, number 964, May.
- José-Luis Peydró [AP BACKUP – NOW EXTERNAL] & Falko Fecht & Falk Brauning & Puriya Abbassi & José-Luis Peydró, 2017, "International Financial Integration, Crises and Monetary Policy: Cross-Border Interbank Lending During the Euro Crises," Working Papers, Barcelona School of Economics, number 965, May.
- José-Luis Peydró [AP BACKUP – NOW EXTERNAL] & Gabriel Jiménez & Steven Ongena & Jesús Saurina & José-Luis Peydró, 2017, "Do Demand or Supply Factors Drive Bank Credit, in Good and Crisis Times?," Working Papers, Barcelona School of Economics, number 966, May.
- José-Luis Peydró [AP BACKUP – NOW EXTERNAL] & Rafael Repullo & Gabriel Jiménez & Jesús Saurina & José-Luis Peydró, 2017, "Burning Money? Government Lending in a Credit Crunch," Working Papers, Barcelona School of Economics, number 984, Aug.
- Torsten Ehlers & Patrick McGuire, 2017, "Foreign banks and credit conditions in EMEs," BIS Papers chapters, Bank for International Settlements, in: Bank for International Settlements, "Financial systems and the real economy".
- Anna Zabai, 2017, "Household debt: recent developments and challenges," BIS Quarterly Review, Bank for International Settlements, December.
- Mary Amiti & Patrick McGuire & David E Weinstein, 2017, "Supply- and demand-side factors in global banking," BIS Working Papers, Bank for International Settlements, number 639, May.
- Mathias Drehmann & Mikael Juselius & Anton Korinek, 2017, "Accounting for debt service: the painful legacy of credit booms," BIS Working Papers, Bank for International Settlements, number 645, Jun.
- Ulf Lewrick & Jochen Schanz, 2017, "Liquidity risk in markets with trading frictions: What can swing pricing achieve?," BIS Working Papers, Bank for International Settlements, number 663, Oct.
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- ANDONE Diana & FATACEAN Gheorghe & MINTEUAN Paul, 2017, "Performance In The Energy Industry. A Comparative Analysis Between Transelectrica S.A And Enel Spa," Revista Economica, Lucian Blaga University of Sibiu, Faculty of Economic Sciences, volume 69, issue 2, pages 19-29, August.
- GABAN Lucian & RUS Ionut - Marius & FETITA Alin, 2017, "An Econometric Approach Of The Banking Risks - Case Of Central And Est European Countries," Revista Economica, Lucian Blaga University of Sibiu, Faculty of Economic Sciences, volume 69, issue 2, pages 73-86, August.
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- Mike Anson & David Bholat & Miao Kang & Ryland Thomas, 2017, "The Bank of England as lender of last resort: new historical evidence from daily transactional data," Bank of England working papers, Bank of England, number 691, Nov.
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- Vasilis Siakoulis, 2017, "Fiscal policy effects on non-performing loan formation," Working Papers, Bank of Greece, number 224, May.
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