Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2017
- Umer Chapra, 2017, "The Looming International Financial Crisis: Can the Introduction of Risk Sharing in the Financial System as Required by Islamic Finance, Play a Positive Role in Reducing its Severity?," Islamic Economic Studies, The Islamic Research and Training Institute (IRTI), volume 25, pages 1-13.
- Ewa Karwowski, 2017, "Corporate financialisation in South Africa: From investment strike to housing bubble," Economics Discussion Papers, School of Economics, Kingston University London, number 2017-7, Dec.
- Xiaohu Wang & Jun Yu, 2017, "Bubble Testing under Deterministic Trends," Economics and Statistics Working Papers, Singapore Management University, School of Economics, number 14-2017, Sep.
- Ilie MIHAI, 2017, "Electoral Populism Versus Economic Stability," Annals of Spiru Haret University, Economic Series, Universitatea Spiru Haret, volume 17, issue 1, pages 53-62.
- Kristina Duvnjak & Sinisa Bogdan & Suzana Baresa, 2017, "Role Of Attractiveness Factors Of The Oecd Countries In Immigrations," UTMS Journal of Economics, University of Tourism and Management, Skopje, Macedonia, volume 8, issue 3, pages 307-317.
- Dejan JOVANOVIĆ & Mirjana TODOROVIĆ & Milka GRBIĆ, 2017, "Financial Indicators As Predictors Of Illiquidity," Journal for Economic Forecasting, Institute for Economic Forecasting, volume 0, issue 1, pages 128-149, March.
- Yingying HAN & Xiang ZHOU, 2017, "The Relationship between Stock and Exchange Rates for BRICS Countries Pre - and Post - Crisis: A Mixed C - VINE Copula Model," Journal for Economic Forecasting, Institute for Economic Forecasting, volume 0, issue 1, pages 38-59, March.
- Hatice Gaye GENCER & Mehmet Yasin HURATA, 2017, "Risk Transmission and Contagion in the Equity Markets: International Evidence from the Global Financial Crisis," Journal for Economic Forecasting, Institute for Economic Forecasting, volume 0, issue 3, pages 110-129, September.
- Dan Costin NIÞESCU & Florin Alexandru DUNA, 2017, "Liquidity - A Changing Concept, Within The Post Crisis Environment," REVISTA DE MANAGEMENT COMPARAT INTERNATIONAL/REVIEW OF INTERNATIONAL COMPARATIVE MANAGEMENT, Faculty of Management, Academy of Economic Studies, Bucharest, Romania, volume 18, issue 4, pages 421-443, October.
- Bastien, Jérémie, 2017, "Le football professionnel en Europe est-il en crise ? Une réponse régulationniste," Revue de la Régulation - Capitalisme, institutions, pouvoirs, Association Recherche et Régulation, volume 21.
- Steven Panageotou, 2017, "Disciplining Greece: Crisis Management and Its Discontents," Review of Radical Political Economics, Union for Radical Political Economics, volume 49, issue 3, pages 358-374, September, DOI: 10.1177/0486613417703971.
- Kristijan Kotarski & Luka Brkic, 2017, "Political Economy of Banking and Debt Crisis in the EU: Rising Financialization and its Ramifications," Review of Radical Political Economics, Union for Radical Political Economics, volume 49, issue 3, pages 430-455, September, DOI: 10.1177/0486613415627151.
- Brenda Spotton Visano, 2017, "Gendering Post-Keynesian Monetary Macroeconomics With Situated Knowledge," Review of Radical Political Economics, Union for Radical Political Economics, volume 49, issue 4, pages 567-573, December, DOI: 10.1177/0486613417703661.
- Jelle Versieren, 2017, "Richard Westra’s Theory of Financialization and the Renewal of the Uno–Sekine Approach to the Dialectic of Capital," Review of Radical Political Economics, Union for Radical Political Economics, volume 49, issue 4, pages 680-687, December, DOI: 10.1177/0486613416669341.
- Brunella Bruno & Alexandra D’Onofrio & Immacolata Marino, 2017, "Determinants of Bank Lending in Europe and the US. Evidence from Crisis and Post Crisis Years," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 462, Jan.
- Ethan Ilzetzki & Saverio Simonelli, 2017, "Measuring Productivity Dispersion: Lessons From Counting One-Hundred Million Ballots," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 483, Sep.
- Carlo Altavilla & Miguel Boucinha & José-Luis Peydró, 2017, "Monetary Policy and Bank Profitability in a Low Interest Rate Environment," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 486, Oct.
- Johan Winbladh, 2017, "Systemic Banking Crisis and Macroeconomic Leading Indicators," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 4707470, Apr.
- Shota Bakhuashvili, 2017, "Credit to GDP gap as an indicator for upcoming financial crisis," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 5408042, Jul.
- Miroslava Zavadska & Lucía Morales & Joseph Coughlan, 2017, "The Importance of Integrating Quantitative Research Methods to Understand Commodity Business Finance," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 5908090, Oct.
- Miroslava Zavadska & Lucía Morales & Joseph Coughlan, 2017, "The Efficiency Analysis of Crude Oil Spot and Futures Prices: A Moving Window Approach," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 5908091, Oct.
- Sosa, Miriam & Ortiz, Edgar, 2017, "Global Financial Crisis Volatility Impact and Contagion Effect on NAFTA Equity Markets / Impacto de la volatilidad y efecto de contagio de la crisis global financiera en los mercados bursátiles del TL," Estocástica: finanzas y riesgo, Departamento de Administración de la Universidad Autónoma Metropolitana Unidad Azcapotzalco, volume 7, issue 1, pages 67-88, enero-jun.
- Igor Kravchuk, 2017, "Indeks stresu na rynku zbywalnych instrumentow finansowych w Polsce," Problemy Zarzadzania, University of Warsaw, Faculty of Management, volume 15, issue 66, pages 193-206.
- Ewa Gubernat-Ulatowski, 2017, "Contemporary Banking in Conditions of Instability of Public Finances (Wspolczesny sektor bankowy w warunkach niestabilnosci finansow publicznych)," Research Reports, University of Warsaw, Faculty of Management, volume 2, issue 24, pages 131-141.
- Abdullahil Mamun, 2017, "An Investigation Into The Factors Causing Financial Crisis: Lessons From Recent Overwhelming Episodes," Journal of Academic Research in Economics, Spiru Haret University, Faculty of Accounting and Financial Management Constanta, volume 9, issue 1 (March), pages 7-18.
- Riadh El Abed, 2017, "On The Links Between Oil Prices Shocks And Nominal Exchange Rate Volatility: Evidence From Some Selected Mena Countries," Journal of Academic Research in Economics, Spiru Haret University, Faculty of Accounting and Financial Management Constanta, volume 9, issue 2 (July), pages 246-263.
- Raslan Alzubi & Mustafa Caglayan & Kostas Mouratidis, 2017, "The Risk-Taking Channel in the US: A GVAR Approach," Working Papers, The University of Sheffield, Department of Economics, number 2017009, Mar.
- Daniel Stefan Armeanu & Adrian Enciu & Sorin-Iulian Cioaca, 2017, "Romanian Capital Market in a Globalized World," Working papers Globalization - Economic, Social and Moral Implications, April 2017, Research Association for Interdisciplinary Studies, number 2, Jan, DOI: 10.5281/zenodo.581756.
- Lucas Marc Fuhrer, 2017, "Liquidity in the Repo Market," Working Papers, Swiss National Bank, number 2017-06.
- Hasan BAKIR & Görkem BAHTİYAR, 2017, "Great Recession, Financialization and Marxian Political Economy," Sosyoekonomi Journal, Sosyoekonomi Society, issue 25(33).
- Limunat S. Orudzheva & Svetlana Y. Maximova & Zalina Z. Tsakhaeva & Elmira B. Murzageldieva & Ayna K. Salimova, 2017, "Financial Policy of Modern Russia as a Direction of Global Crisis Management," Contributions to Economics, Springer, in: Elena G. Popkova, "Overcoming Uncertainty of Institutional Environment as a Tool of Global Crisis Management", DOI: 10.1007/978-3-319-60696-5_72.
- Anna Battauz & Marzia Donno & Alessandro Sbuelz, 2017, "Reaching nirvana with a defaultable asset?," Decisions in Economics and Finance, Springer;Associazione per la Matematica, volume 40, issue 1, pages 31-52, November, DOI: 10.1007/s10203-017-0192-x.
- Isao Yagi & Atsushi Nozaki & Takanobu Mizuta, 2017, "Investigation of the rule for investment diversification at the time of a market crash using an artificial market simulation," Evolutionary and Institutional Economics Review, Springer, volume 14, issue 2, pages 451-465, December, DOI: 10.1007/s40844-017-0070-9.
- Ahmed El Ghini & Youssef Saidi, 2017, "Return and volatility spillovers in the Moroccan stock market during the financial crisis," Empirical Economics, Springer, volume 52, issue 4, pages 1481-1504, June, DOI: 10.1007/s00181-016-1110-8.
- Berna Aydoğan & Gökçe Tunç & Tezer Yelkenci, 2017, "The impact of oil price volatility on net-oil exporter and importer countries’ stock markets," Eurasian Economic Review, Springer;Eurasia Business and Economics Society, volume 7, issue 2, pages 231-253, August, DOI: 10.1007/s40822-017-0065-1.
- Percival Pineda, 2017, "Financial liberalization and private sector borrowing in ASEAN 4 economies 1990–2012," Eurasian Economic Review, Springer;Eurasia Business and Economics Society, volume 7, issue 2, pages 277-295, August, DOI: 10.1007/s40822-017-0066-0.
- Pejman Ebrahimi & Seyed Mozaffar Mirbargkar, 2017, "Green entrepreneurship and green innovation for SME development in market turbulence," Eurasian Business Review, Springer;Eurasia Business and Economics Society, volume 7, issue 2, pages 203-228, August, DOI: 10.1007/s40821-017-0073-9.
- Anoop S. Kumar & Chaithanya Jayakumar & Bandi Kamaiah, 2017, "Fractal market hypothesis: evidence for nine Asian forex markets," Indian Economic Review, Springer, volume 52, issue 1, pages 181-192, December, DOI: 10.1007/s41775-017-0014-7.
- Farzad Mirmahboub, 2017, "Financial integration faced with the crisis: comparative cases of Greece and Portugal," International Review of Economics, Springer;Happiness Economics and Interpersonal Relations (HEIRS), volume 64, issue 3, pages 269-284, September, DOI: 10.1007/s12232-017-0272-9.
- Sara Capacci & Emanuela Randon & Antonello Eugenio Scorcu, 2017, "Are Consumers More Willing to Invest in Luck During Recessions?," Italian Economic Journal: A Continuation of Rivista Italiana degli Economisti and Giornale degli Economisti, Springer;Società Italiana degli Economisti (Italian Economic Association), volume 3, issue 1, pages 25-38, March, DOI: 10.1007/s40797-016-0043-x.
- Jacob Kleinow & Andreas Horsch & Mario Garcia-Molina, 2017, "Factors driving systemic risk of banks in Latin America," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 41, issue 2, pages 211-234, April, DOI: 10.1007/s12197-015-9341-7.
- Hsiu-I Ting, 2017, "Financial development, role of government, and bank profitability: evidence from the 2008 financial crisis," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 41, issue 2, pages 370-391, April, DOI: 10.1007/s12197-016-9356-8.
- Mitsuru Katagiri & Ryo Kato & Takayuki Tsuruga, 2017, "Prudential capital controls or bailouts? The impact of different collateral constraint assumptions," Economic Theory, Springer;Society for the Advancement of Economic Theory (SAET), volume 63, issue 4, pages 943-960, April, DOI: 10.1007/s00199-016-0975-2.
- Aloisio Araujo & Marcia Leon & Rafael Santos, 2017, "Bargained haircuts and debt policy implications," Economic Theory, Springer;Society for the Advancement of Economic Theory (SAET), volume 64, issue 4, pages 635-656, December, DOI: 10.1007/s00199-016-0981-4.
- Giovanni Dosi & Mauro Napoletano & Andrea Roventini & Tania Treibich, 2017, "Micro and macro policies in the Keynes+Schumpeter evolutionary models," Journal of Evolutionary Economics, Springer, volume 27, issue 1, pages 63-90, January, DOI: 10.1007/s00191-016-0466-4.
- Lo Duca, Marco & Koban, Anne & Basten, Marisa & Bengtsson, Elias & Klaus, Benjamin & Kusmierczyk, Piotr & Lang, Jan Hannes & Detken, Carsten & Peltonen, Tuomas, 2017, "A new database for financial crises in European countries," ESRB Occasional Paper Series, European Systemic Risk Board, number 13, Jul.
- Brownlees, Christian & Engle, Robert F., 2017, "SRISK: a conditional capital shortfall measure of systemic risk," ESRB Working Paper Series, European Systemic Risk Board, number 37, Mar.
- Lepers, Etienne & Sánchez Serrano, Antonio, 2017, "Decomposing financial (in)stability in emerging economies," ESRB Working Paper Series, European Systemic Risk Board, number 39, Mar.
- Pietrunti, Mario, 2017, "Financial frictions and the real economy," ESRB Working Paper Series, European Systemic Risk Board, number 41, Apr.
- Zeng, Yao, 2017, "A dynamic theory of mutual fund runs and liquidity management," ESRB Working Paper Series, European Systemic Risk Board, number 42, Apr.
- Schüler, Yves S. & Peltonen, Tuomas A. & Hiebert, Paul, 2017, "Coherent financial cycles for G-7 countries: Why extending credit can be an asset," ESRB Working Paper Series, European Systemic Risk Board, number 43, May.
- D'Errico, Marco & Roukny, Tarik, 2017, "Compressing over-the-counter markets," ESRB Working Paper Series, European Systemic Risk Board, number 44, May.
- Virtanen, Timo & Tölö, Eero & Virén, Matti & Taipalus, Katja, 2017, "Use of unit root methods in early warning of financial crises," ESRB Working Paper Series, European Systemic Risk Board, number 45, Jun.
- Ahnert, Toni & Anand, Kartik & Gai, Prasanna & Chapman, James, 2017, "Asset encumbrance, bank funding and fragility," ESRB Working Paper Series, European Systemic Risk Board, number 52, Jul.
- Schoenmaker, Dirk, 2017, "A macro approach to international bank resolution," ESRB Working Paper Series, European Systemic Risk Board, number 56, Nov.
- di Iasio, Giovanni & Pozsar, Zoltan, 2017, "Crises in the modern financial ecosystem," ESRB Working Paper Series, European Systemic Risk Board, number 60, Dec.
- Giovanni Dosi & Mauro Napoletano & Andrea Roventini & Joseph E. Stiglitz & Tania Treibich, 2017, "Rational Heuristics? Expectations and Behaviors in Evolving Economies with Heterogeneous Interacting Agents," LEM Papers Series, Laboratory of Economics and Management (LEM), Sant'Anna School of Advanced Studies, Pisa, Italy, number 2017/31, Dec.
- Irina Balteanu & Aitor Erce, 2017, "Linking Bank Crises and Sovereign Defaults: Evidence from Emerging Markets," Working Papers, European Stability Mechanism, number 22, Feb.
- Jaroslav Baran & Jiří Witzany, 2017, "Analysing Cross-Currency Basis Spreads," Working Papers, European Stability Mechanism, number 25, Jul.
- António Afonso & Jorge Silva, 2017, "Current account balance cyclicality," Applied Economics Letters, Taylor & Francis Journals, volume 24, issue 13, pages 911-917, July, DOI: 10.1080/13504851.2016.1240333.
- Sofiane Aboura & Y. Eser Arisoy, 2017, "Does aggregate uncertainty explain size and value anomalies?," Applied Economics, Taylor & Francis Journals, volume 49, issue 32, pages 3214-3230, July, DOI: 10.1080/00036846.2016.1257107.
- Andreas Haupenthal & Matthias Neuenkirch, 2017, "Grexit news and stock returns," Applied Economics, Taylor & Francis Journals, volume 49, issue 39, pages 3891-3898, August, DOI: 10.1080/00036846.2016.1270418.
- Fabio C. Bagliano & Claudio Morana, 2017, "It ain’t over till it’s over: A global perspective on the Great Moderation-Great Recession interconnection," Applied Economics, Taylor & Francis Journals, volume 49, issue 49, pages 4946-4969, October, DOI: 10.1080/00036846.2017.1296553.
- Branimir Jovanovic, 2017, "Growth forecast errors and government investment and consumption multipliers," International Review of Applied Economics, Taylor & Francis Journals, volume 31, issue 1, pages 83-107, January, DOI: 10.1080/02692171.2016.1221390.
- Biqing Cai & Jiti Gao & Dag Tjøstheim, 2017, "A New Class of Bivariate Threshold Cointegration Models," Journal of Business & Economic Statistics, Taylor & Francis Journals, volume 35, issue 2, pages 288-305, April, DOI: 10.1080/07350015.2015.1062385.
- Lin Zhao & Sweder van Wijnbergen, 2017, "Decision-making in incomplete markets with ambiguity—a case study of a gas field acquisition," Quantitative Finance, Taylor & Francis Journals, volume 17, issue 11, pages 1759-1782, November, DOI: 10.1080/14697688.2017.1307509.
- G. Demos & D. Sornette, 2017, "Birth or burst of financial bubbles: which one is easier to diagnose?," Quantitative Finance, Taylor & Francis Journals, volume 17, issue 5, pages 657-675, May, DOI: 10.1080/14697688.2016.1231417.
- V. Filimonov & G. Demos & D. Sornette, 2017, "Modified profile likelihood inference and interval forecast of the burst of financial bubbles," Quantitative Finance, Taylor & Francis Journals, volume 17, issue 8, pages 1167-1186, August, DOI: 10.1080/14697688.2016.1276298.
- Pablo Schiaffino & Ricardo F. Crespo & Daniel Heymann, 2017, "Processing Uncertainty: Evolving Beliefs, Fallible Theories, Rationalizations and the Origins of Macroeconomic Crises," Journal of Applied Economics, Taylor & Francis Journals, volume 20, issue 2, pages 305-328, November, DOI: 10.1016/S1514-0326(17)30014-4.
- Ewa Karwowski & Engelbert Stockhammer, 2017, "Financialisation in emerging economies: a systematic overview and comparison with Anglo-Saxon economies," Economic and Political Studies, Taylor & Francis Journals, volume 5, issue 1, pages 60-86, January, DOI: 10.1080/20954816.2016.1274520.
- Dungey, Mardi & Harvey, John & Volkov, Vladimir, 2017, "The changing international network of sovereign debt and financial institutions," Working Papers, University of Tasmania, Tasmanian School of Business and Economics, number 2017-04.
- Zampara, K. & Giannopoulos, M. & Koufopoulos, D. N., 2017, "Macroeconomic and industry-specific determinants of Greek bank profitability," International Journal of Business and Economic Sciences Applied Research (IJBESAR), Democritus University of Thrace (DUTH), Kavala Campus, Greece, volume 10, issue 1, pages 13-22, March.
- Yılmaz Akyüz, 2017, "The Asian Financial Crisis: Lessons Learned And Unlearned," Ekonomi-tek - International Economics Journal, Turkish Economic Association, volume 6, issue 2, pages 1-11, May.
- Canofari Paolo & Di Bartolomeo Giovanni & Messori Marcello, 2017, "EMU stability: Direct and indirect risk sharing," wp.comunite, Department of Communication, University of Teramo, number 00133, Nov.
- Jinghui Chen & Masahito Kobayashi & Michael McAleer, 2017, "Testing for Volatility Co-movement in Bivariate Stochastic Volatility Models," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 17-022/III, Feb.
- Anastasios Zopiatis & Christos S. Savva & Neophytos Lambertides & Michael McAleer, 2017, "Tourism Stocks in Times of Crises: An Econometric Investigation of Unexpected Non-macroeconomic Factors," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 17-052/III, Jun.
- Gera Kiewiet & Iman van Lelyveld & Sweder van Wijnbergen, 2017, "Contingent Convertibles: Can the Market Handle them?," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 17-095/VI, Oct.
- Niamh Hardiman & Joaquim Filipe Araújo & Muiris MacCarthaigh & Calliope Spanou, 2017, "The Troika’s variations on a trio: Why the loan programmes worked so differently in Greece, Ireland, and Portugal," Working Papers, Geary Institute, University College Dublin, number 201711, Oct.
- Jinghui Chen & Masahito Kobayashi & Michael McAleer, 2017, "Testing for volatility co-movement in bivariate stochastic volatility models," Documentos de Trabajo del ICAE, Universidad Complutense de Madrid, Facultad de Ciencias Económicas y Empresariales, Instituto Complutense de Análisis Económico, number 2017-10, Feb.
- Anastasios Zopiatis & Christos S. Savva & Neophytos Lambertides & Michael McAleer, 2017, "Tourism stocks in times of crises: An econometric investigation of non-macro factors," Documentos de Trabajo del ICAE, Universidad Complutense de Madrid, Facultad de Ciencias Económicas y Empresariales, Instituto Complutense de Análisis Económico, number 2017-16, Jun.
- Oana Peia, 2017, "Banking Crises and Investments in Innovation," Working Papers, School of Economics, University College Dublin, number 201727, Dec.
- Lesia Tyshchenko & Attila Csajbok, 2017, "A Financial Stress Index for Ukraine," Visnyk of the National Bank of Ukraine, National Bank of Ukraine, issue 240, pages 5-13, DOI: 10.26531/vnbu2017.240.005.
- José-Luis Peydró & Andrea Polo & Sette Enrico, 2017, "Monetary policy at work: Security and credit application registers evidence," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1565, Apr, revised Apr 2018.
- Puriya Abbassi & Falk Bräuning & Falko Fecht & José-Luis Peydró, 2017, "International financial integration, crises and monetary policy: evidence from the Euro area interbank crises," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1566, Apr.
- Gabriel Jiménez & Steven Ongena & José-Luis Peydró & Jesús Saurina, 2017, "Do demand or supply factors drive bank credit,in good and crisis times?," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1567, Apr.
- José-Luis Peydró & Gabriel Jiménez & Rafael Repullo & Jesús Saurina, 2017, "Burning money? Government lending in a credit crunch," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1577, Aug, revised Mar 2019.
- Carlo Altavilla & Miguel Boucinha & José-Luis Peydró, 2017, "Monetary policy and bank profitability in a low interest rate environment," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1655, Oct, revised Mar 2018.
- Ruenzi, Stefan & Weigert, Florian, 2017, "Momentum and Crash Sensitivity," Working Papers on Finance, University of St. Gallen, School of Finance, number 1801, Dec.
- FETINIUC, Valentina & IVAN, Luchian, 2017, "Financial Crises In Republic Of Moldova: Essence, Particularities And Ways Of Prevention," Journal of Financial and Monetary Economics, Centre of Financial and Monetary Research "Victor Slavescu", volume 4, issue 1, pages 125-134.
- IONESCU, Lucian C., 2017, "Hesitant Attempts Towards Normalizing Monetary Policies," Journal of Financial and Monetary Economics, Centre of Financial and Monetary Research "Victor Slavescu", volume 4, issue 1, pages 149-153.
- MILEA, Camelia, 2017, "Characteristics Of Contemporary Monetary Policies Of Major Central Banks In The Post-Crisis Domestic And International Context," Journal of Financial and Monetary Economics, Centre of Financial and Monetary Research "Victor Slavescu", volume 4, issue 1, pages 164-172.
- Sadullah Çelik & Pınar Deniz, 2017, "Globalization of Consumer Confidence," Panoeconomicus, Savez ekonomista Vojvodine, Novi Sad, Serbia, volume 64, issue 3, pages 337-352.
- Milošević Andriana & Jemović Mirjana, 2017, "Non-Standard Measures of the Monetary Policy – Mechanism for Overcoming Problems in the Implementation of the Neoliberal Concept of Monetary Policy During a Financial Crisis," Economic Themes, Sciendo, volume 55, issue 4, pages 465-480, December, DOI: 10.1515/ethemes-2017-0026.
- Korol Tomasz, 2017, "Evaluation of the factors influencing business bankruptcy risk in Poland," Financial Internet Quarterly (formerly e-Finanse), Sciendo, volume 13, issue 2, pages 22-35, December, DOI: 10.1515/fiqf-2016-0020.
- Strašek Sebastjan, 2017, "From Subprime and Eurozone Crisis with Full Speed into the Next Financial Crisis," Naše gospodarstvo/Our economy, Sciendo, volume 63, issue 3, pages 3-11, September, DOI: 10.1515/ngoe-2017-0013.
- Marcin Bielecki, 2017, "Long shadows of financial shocks: an endogenous growth perspective," Working Papers, Faculty of Economic Sciences, University of Warsaw, number 2017-22.
- Michal Brzezinski, 2017, "Income inequality and the Great Recession in Central and Eastern Europe," Working Papers, Faculty of Economic Sciences, University of Warsaw, number 2017-28.
- Loayza,Norman V. & Ouazad,Amine & Ranciere,Romain, 2017, "Financial development, growth, and crisis: is there a trade-off ?," Policy Research Working Paper Series, The World Bank, number 8237, Nov.
- Claessens,Stijn & Kose,Ayhan, 2017, "Asset prices and macroeconomic outcomes : a survey," Policy Research Working Paper Series, The World Bank, number 8259, Nov.
- Claessens ,Stijn & Kose,Ayhan, 2017, "Macroeconomic implications of financial imperfections : a survey," Policy Research Working Paper Series, The World Bank, number 8260, Nov.
- Richard S.Grossman, 2017, "Beresford’s Revenge: British equity holdings in Latin America, 1869-1929," Wesleyan Economics Working Papers, Wesleyan University, Department of Economics, number 2017-003, May.
- Mark Joy & Marek Rusnák & Kateřina Šmídková & Bořek Vašíček, 2017, "Banking and Currency Crises: Differential Diagnostics for Developed Countries," International Journal of Finance & Economics, John Wiley & Sons, Ltd., volume 22, issue 1, pages 44-67, January.
- Worapree Maneesoonthorn & Catherine S. Forbes & Gael M. Martin, 2017, "Inference on Self‐Exciting Jumps in Prices and Volatility Using High‐Frequency Measures," Journal of Applied Econometrics, John Wiley & Sons, Ltd., volume 32, issue 3, pages 504-532, April.
- Francine Gresnigt & Erik Kole & Philip Hans Franses, 2017, "Exploiting Spillovers to Forecast Crashes," Journal of Forecasting, John Wiley & Sons, Ltd., volume 36, issue 8, pages 936-955, December.
- Georgios Bampinas & Theodore Panagiotidis, 2017, "Oil and stock markets before and after financial crises: A local Gaussian correlation approach," Journal of Futures Markets, John Wiley & Sons, Ltd., volume 37, issue 12, pages 1179-1204, December.
- Manthos D. Delis & Iftekhar Hasan & Nikolaos Mylonidis, 2017, "The Risk‐Taking Channel of Monetary Policy in the U.S.: Evidence from Corporate Loan Data," Journal of Money, Credit and Banking, Blackwell Publishing, volume 49, issue 1, pages 187-213, February, DOI: 10.1111/jmcb.12372.
- Jonathon Adams‐Kane & Julián A. Caballero & Jamus Jerome Lim, 2017, "Foreign Bank Behavior during Financial Crises," Journal of Money, Credit and Banking, Blackwell Publishing, volume 49, issue 2-3, pages 351-392, March, DOI: 10.1111/jmcb.12382.
- Peter N. Gal & Gabor Pinter, 2017, "Capital over the Business Cycle: Renting versus Ownership," Journal of Money, Credit and Banking, Blackwell Publishing, volume 49, issue 6, pages 1299-1338, September, DOI: 10.1111/jmcb.12419.
- Jaime Luque, 2017, "The Subprime Crisis:Lessons for Business Students," World Scientific Books, World Scientific Publishing Co. Pte. Ltd., number 10278, ISBN: ARRAY(0x53bf8be0), March.
- Jaime Luque, 2017, "Understanding the Subprime Crisis," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 1, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "What Caused the Subprime Crisis?," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 2, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Mortgage Credit Expansion," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 3, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Household Consumption," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 4, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Judicial Requirements for Foreclosures," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 5, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Political Economy During the Bust," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 6, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "REITs," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 7, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "U.S. Homeownership Rates," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 8, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Estimates and Sources of Price Declines," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 9, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Credit Experiences," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 10, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Forced Sales and House Prices," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 11, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Contagion in Housing Markets," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 12, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Supply or Disamenity?," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 13, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Post-foreclosure Experiences," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 14, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Foreclosure Externalities," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 15, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "The Role of the Affordable Housing Goals," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 16, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "The Fed’s MBS Mortgage Program," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 17, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Supply of Mortgage Credit," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 18, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "The Home Affordable Modification Program," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 19, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Home Equity-Based Borrowing," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 20, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Housing Prices During the Boom," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 21, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Lending Standards," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 22, "The Subprime Crisis Lessons for Business Students".
- Jaime Luque, 2017, "Lax Screening," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 23, "The Subprime Crisis Lessons for Business Students".
- Schoors, Koen & Semenova, Maria & Zubanov, Andrey, 2017, "Depositor discipline in Russian regions: Flight to familiarity or trust in local authorities?," BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT), number 1/2017.
- Noth, Felix & Busch, Matias Ossandon, 2017, "Banking globalization, local lending, and labor market effects: Micro-level evidence from Brazil," BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT), number 11/2017.
- Mäkinen, Mikko & Solanko, Laura, 2017, "Determinants of bank closures: Do changes of CAMEL variables matter?," BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT), number 16/2017.
2016
- Hasan, Zubair, 2016, "Credit control instruments in a dual banking system: leverage control rate (LCR) – a proposal," MPRA Paper, University Library of Munich, Germany, number 65027, Jan, revised 18 Feb 2016.
- BLINOV, Sergey, 2016, "Три Варианта Экономической Политики Для России
[Three Options of Economic Policy for Russia]," MPRA Paper, University Library of Munich, Germany, number 68836, Jan. - BLINOV, Sergey, 2016, "О Некоторых Успехах Цб России В 2015 Году
[On Some Successes Scored by the Russian Central Bank in 2015]," MPRA Paper, University Library of Munich, Germany, number 69521, Feb. - Peña, Guillermo, 2016, "The determinants of banking crises: Further evidence," MPRA Paper, University Library of Munich, Germany, number 70093, Mar.
- Nakashima, Kiyotaka & Takahashi, Koji, 2016, "The Real Effects of Bank-Driven Termination of Relationships: Evidence from Loan-level Matched Data," MPRA Paper, University Library of Munich, Germany, number 70668, Jan.
- Ojo, Marianne, 2016, "Basel III and responding to the recent Financial Crisis: progress made by the Basel Committee in relation to the need for increased bank capital and increased quality of loss absorbing capital," MPRA Paper, University Library of Munich, Germany, number 70887, Apr, revised Apr 2016.
- Li, Youwei & Waterworth, James, 2016, "Eurozone network connectedness during calm and crisis: evidence from the MTS platform for interdealer trading of European sovereign debt," MPRA Paper, University Library of Munich, Germany, number 71221, May.
- Zdravkovski, Aleksandar, 2016, "Stock market integration and diversification possibilities during financial crises: Evidence from Balkan countries," MPRA Paper, University Library of Munich, Germany, number 72182, Jun.
- Shirai, Daichi, 2016, "Persistence and Amplification of Financial Frictions," MPRA Paper, University Library of Munich, Germany, number 72187, Jun.
- Hasan, Zubair, 2016, "Risk-sharing the sole basis of Islamic finance? time for a serious rethink," MPRA Paper, University Library of Munich, Germany, number 72252, Feb, revised 15 Apr 2018.
- Inoue, Hitoshi & Nakashima, Kiyotaka & Takahashi, Koji, 2016, "Comment on Peek and Rosengren (2005) “Unnatural Selection: Perverse Incentives and the Allocation of Credit in Japan”," MPRA Paper, University Library of Munich, Germany, number 72726, Jul.
- Sinha, Pankaj & Mathur, Kritika, 2016, "Impact of Global Financial Crisis and Implied Volatility in the Equity Market on Gold Futures Traded on Multi Commodity Exchange, India," MPRA Paper, University Library of Munich, Germany, number 72966, Aug.
- Miyakoshi, Tatsuyoshi & Shimada, Junji & Li, Kui-Wai, 2016, "The Impacts of the 2008 and 2011 Crises on the Japan REIT Market," MPRA Paper, University Library of Munich, Germany, number 73463, May.
- Ben Rejeb, Aymen & Arfaoui, Mongi, 2016, "Conventional and Islamic stock markets: what about financial performance?," MPRA Paper, University Library of Munich, Germany, number 73495.
- Dill, Alexander & Gebhart, Nicolas, 2016, "Redundancy, Unilateralism and Bias beyond GDP – results of a Global Index Benchmark," MPRA Paper, University Library of Munich, Germany, number 74268, Sep, revised 04 Oct 2016.
- Michaelides, Panayotis G. & Tsionas, Efthymios & Konstantakis, Konstantinos, 2016, "Financial Bubble Detection : A Non-Linear Method with Application to S&P 500," MPRA Paper, University Library of Munich, Germany, number 74477.
- Ho, Sin-Yu, 2016, "Global Economic and Financial Crisis: Exploring the Transmission Channels and Impacts on sub-Saharan African Economies," MPRA Paper, University Library of Munich, Germany, number 75658, Dec.
- Jiménez Polanco, Miguel A. & Ramírez de León, Francisco A., 2016, "Un Indicador de Condiciones Financieras para la República Dominicana
[A Financial Condition Index for the Dominican Republic]," MPRA Paper, University Library of Munich, Germany, number 75859, Dec. - Gorga, Carmine, 2016, "Concordian economics and the economic bubble," MPRA Paper, University Library of Munich, Germany, number 78696, Aug.
- Onanuga, Olaronke & Onanuga, Abayomi, 2016, "The Response of Banking Sector Development to Financial and Trade Openness in the presence of Global Financial Crisis in Africa," MPRA Paper, University Library of Munich, Germany, number 83327, May, revised 30 Sep 2016.
- Freeman, Alan, 2016, "The Whole of the Storm: Money, debt and crisis in the current Long Depression," MPRA Paper, University Library of Munich, Germany, number 84394.
- Edina Berlinger & György Walter, 2016, "Income Contingent Repayments How Can We Get into a Debt Trap?," Central European Business Review, Prague University of Economics and Business, volume 2016, issue 2, pages 37-46, DOI: 10.18267/j.cebr.150.
- Edina Berlinger & Barbara Dömötör & Ferenc Illés & Kata Váradi, 2016, "Stress Indicator for Clearing Houses," Central European Business Review, Prague University of Economics and Business, volume 2016, issue 4, pages 47-60, DOI: 10.18267/j.cebr.166.
- Zbyněk Revenda, 2016, "Peněžní a úvěrové multiplikátory ve vybraných ekonomikách
[Money and Credit Multipliers in Selected Economies]," Politická ekonomie, Prague University of Economics and Business, volume 2016, issue 5, pages 505-523, DOI: 10.18267/j.polek.1085. - Stephen Morris & Muhamet Yildiz, 2016, "Crises: Equilibrium Shifts and Large Shocks," Working Papers, Princeton University, Department of Economics, Econometric Research Program., number 083_2016, Nov.
- Elisabetta Montanaro, 2016, "The process towards centralisation of the European financial supervisory architecture: The case of the Banking Union," PSL Quarterly Review, Economia civile, volume 69, issue 277, pages 135-172.
- Riccardo Pariboni, 2016, "Household consumer debt, endogenous money and growth: A supermultiplier-based analysis," PSL Quarterly Review, Economia civile, volume 69, issue 278, pages 211-234, DOI: http://dx.doi.org/10.13133/2037-364.
- Bruno Solnik & Thaisiri Watewai, 2016, "International Correlation Asymmetries: Frequent-but-Small and Infrequent-but-Large Equity Returns," PIER Discussion Papers, Puey Ungphakorn Institute for Economic Research, number 31, Jun.
- Gabriel Chodorow-Reich & Andra Ghent & Valentin Haddad, 2016, "Asset Insulators," Working Paper, Harvard University OpenScholar, number 390221, Jan.
- Castellares, Renzo & Salas, Jorge, 2016, "Contractual Imperfections and the Impact of Crises on Trade: Evidence from Industry-Level Data," Working Papers, Banco Central de Reserva del Perú, number 2016-001, Apr.
- Erwan le Saout & Sébastien Ganneval, 2016, "Short-term Impacts of the 2004 Indian Ocean Tsunami on Stock Markets: A DCC-GARCH Analysis," Bankers, Markets & Investors, ESKA Publishing, issue 145, pages 4-12, November-.
- Miguel Rivera-Castro & Andrea Ugolini & Juan Arismendi Z, 2016, "Tail Systemic Risk And Banking Network Contagion: Evidence From the Brazilian Banking System," ICMA Centre Discussion Papers in Finance, Henley Business School, University of Reading, number icma-dp2016-05, Sep.
- Emmanuel Farhi, 2016, "Global Imbalances and Currency Wars at the ZLB," 2016 Meeting Papers, Society for Economic Dynamics, number 1418.
- Pengfei Wang & Feng Dong & Jess Benhabib, 2016, "Adverse Selection and Self-fulfilling Business Cycles," 2016 Meeting Papers, Society for Economic Dynamics, number 1526.
- Juan Pablo Nicolini, 2016, "Liquidity Traps and Monetary Policy: Managing a Credit Crunch," 2016 Meeting Papers, Society for Economic Dynamics, number 335.
- Timothy McQuade & Arvind Krishnamurthy & Adam Guren, 2016, "Mortgage Design in an Equilibrium Model of the Housing Market," 2016 Meeting Papers, Society for Economic Dynamics, number 371.
- Stephane Verani & Borghan Narajabad & Nathan Foley-Fisher, 2016, "Self-fulfilling Runs: Evidence from the U.S. Life Insurance Industry," 2016 Meeting Papers, Society for Economic Dynamics, number 414.
- andrea prestipino & Nobuhiro Kiyotaki & Mark Gertler, 2016, "anticipated banking panics," 2016 Meeting Papers, Society for Economic Dynamics, number 430.
- Stefania Albanesi, 2016, "Credit Growth and the Financial Crisis: A New Narrative," 2016 Meeting Papers, Society for Economic Dynamics, number 575.
- Giorgio Primiceri & Andrea Tambalotti & Alejandro Justiniano, 2016, "A simple model of subprime borrowers and credit growth," 2016 Meeting Papers, Society for Economic Dynamics, number 704.
- Russell Cooper & Antoine Camous, 2016, ""Whatever it takes" is all you need: monetary policy and debt fragility," 2016 Meeting Papers, Society for Economic Dynamics, number 863.
- Kristijan Kotarski & Milan Deskar-Škrbiæ, 2016, "Transcending the new macroeconomic orthodoxy in the Eurozone: a Post-Keynesian view," Zbornik radova Ekonomskog fakulteta u Rijeci/Proceedings of Rijeka Faculty of Economics, University of Rijeka, Faculty of Economics and Business, volume 34, issue 2, pages 419-441.
- Richard T. Baillie & Dooyeon Cho, 2016, "Assessing Euro Crises from a Time Varying International CAPM Approach," Working Paper series, Rimini Centre for Economic Analysis, number 16-03, Feb.
- Ying Xu & Hai Anh La, 2016, "Spillovers of the United States’ Unconventional Monetary Policy to Emerging Asia: The Bank Lending Channel," ADBI Working Papers, Asian Development Bank Institute, number 619, Dec.
- Malik Shukayev & Alexander Ueberfeldt, 2016, "Monetary Policy Tradeoffs Between Financial Stability and Price Stability," Working Papers, University of Alberta, Department of Economics, number 2016-18, Nov.
- Tülin Tunç Deveci & Eylül Ece Demir, 2016, "Financial Liberalization and Crisis: An Analysis for Turkey," Bulletin of Economic Theory and Analysis, BETA Journals, volume 1, issue 1, pages 71-86.
- Hikmet Gülçin Beken, 2016, "Austerity Policies: A Way to Escape from the Crisis?," Bulletin of Economic Theory and Analysis, BETA Journals, volume 1, issue 1, pages 87-122.
- Douglas H. Brooks & Elvira Kurmanalieva & Doo Yong Yang, 2016, "Trade, Trade Finance, and Global Liquidity in Asia; Markov-Switching FAVAR Approach," East Asian Economic Review, Korea Institute for International Economic Policy, volume 20, issue 3, pages 339-363, DOI: 10.11644/KIEP.EAER.2016.20.3.313.
- Imad Moosa, 2016, "International Evidence on the Financial Kuznets Curve," Economia Internazionale / International Economics, Camera di Commercio Industria Artigianato Agricoltura di Genova, volume 69, issue 4, pages 365-378.
- Miloni Madan & Alec Maki, 2016, "The Currency Board Monetary System – A Survey of Financial Crises," Studies in Applied Economics, The Johns Hopkins Institute for Applied Economics, Global Health, and the Study of Business Enterprise, number 52, Mar.
- Benjamin Jessel & Tommy Marshall, 2016, "Get Bold with Blockchain," Journal of Financial Transformation, Capco Institute, volume 43, pages 15-20.
- Ewa Karwowski & Engelbert Stockhammer, 2016, "Financialisation in Emerging Economies: A Systematic Overview and Comparison with Anglo-Saxon Economies," Economics Discussion Papers, School of Economics, Kingston University London, number 2016-11, Aug.
- Paolo Canofari & Marcello Messori, 2016, "Exit Risks and Contagion in the Euro Area," LEAP Working Papers, Luiss Institute for European Analysis and Policy, number 2015/11, Nov.
- Alberto Cardaci & Francesco Saraceno, 2016, "Inequality, Financialisation and Credit Booms - a Model of Two Crises," LEAP Working Papers, Luiss Institute for European Analysis and Policy, number 2016/2, Feb.
- Hatice Gaye Gencer & Sercan Demiralay, 2016, "The Contagion Effects on Real Economy: Emerging Markets during the Recent Crises," Journal for Economic Forecasting, Institute for Economic Forecasting, volume 0, issue 1, pages 104-121, March.
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