Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2016
- 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.
- Tooze, Adam (Туз, Адам), 2016, "How not to deal with the crisis (About the book by Barry Eichengreen, "Hall of Mirrors. The Great Depression, Great Recession, and undigested learned the lessons of history")
[Как Не Справиться С Кризисом (О Книге Барри Эйхенгрина "," Ekonomicheskaya Politika / Economic Policy, Russian Presidential Academy of National Economy and Public Administration, volume 2, pages 219-230, April. - Calomiris, Charles W. (Каломирис, Чарльз) & Haber, Stephen H. (Хабер, Стивен Х.), 2016, "Fragile by design: The Political Origins of Banking Crises and Scarce Credit
[Непрочные По Конструкции: Политические Причины Банковских Кризисов И Дефицита Кредитов]," Ekonomicheskaya Politika / Economic Policy, Russian Presidential Academy of National Economy and Public Administration, volume 4, pages 7-34, August. - Dan Costin NIÞESCU & Florin Alexandru DUNA, 2016, "Liquidity Management and the Banking Lending Mechanism," REVISTA DE MANAGEMENT COMPARAT INTERNATIONAL/REVIEW OF INTERNATIONAL COMPARATIVE MANAGEMENT, Faculty of Management, Academy of Economic Studies, Bucharest, Romania, volume 17, issue 4, pages 403-413, October.
- Daniel Stefan ARMEANU & Adrian ENCIU & Carmen OBREJA & Sorin-Iulian CIOACÃ, 2016, "The Financial Crisis’ Impact on the Central and Eastern Europe Capital Markets," REVISTA DE MANAGEMENT COMPARAT INTERNATIONAL/REVIEW OF INTERNATIONAL COMPARATIVE MANAGEMENT, Faculty of Management, Academy of Economic Studies, Bucharest, Romania, volume 17, issue 5, pages 420-431, December.
- Giovanni Scarano, 2016, "Connections Between Corporate Governanc E, Corporate Savings And Business Cycles In The Economic Literature Around The Great Depression," Departmental Working Papers of Economics - University 'Roma Tre', Department of Economics - University Roma Tre, number 0207, May.
- S meyra Atmaca & Koen Schoors & Marijn Verschelde, 2016, "Bank Loyalty, Social Networks And Crisis," Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration, number 16/923, Oct.
- Jef Boeckx & Maite De Sola Perea & Gert Peersman, 2016, "The Transmission Mechanism Of Credit Support Policies In The Euro Area," Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration, number 16/926, Dec.
- Alain Kabundi & Carike Claassen & Elsabé Loots, 2016, "Comovement Between Africa and Advanced Economies: 1980-2011," ERSA Working Paper Series, Economic Research Southern Africa, number 577, Feb.
- Calvin Mudzingiri & Marko Kwaramba, 2016, "Taxes rates, economic crisis and tax evasion: Evidence using Zimbabwe and South Africa bilateral trade flows," ERSA Working Paper Series, Economic Research Southern Africa, number 593, Apr.
- Krzysztof Spirzewski, 2016, "Currency competition in the Eurozone: an answer to the crisis," "e-Finanse", University of Information Technology and Management, Institute of Financial Research and Analysis, volume 12, issue 1, pages 12-20, June.
- Katarzyna Kochaniak, 2016, "Low interest rates - do they revise household saving motives in the Euro area?," "e-Finanse", University of Information Technology and Management, Institute of Financial Research and Analysis, volume 12, issue 1, pages 43-56, June.
- Katherine Uylangco & Siqiwen Li, 2016, "An evaluation of the effectiveness of Value-at-Risk (VaR) models for Australian banks under Basel III," Australian Journal of Management, Australian School of Business, volume 41, issue 4, pages 699-718, November, DOI: 10.1177/0312896214557837.
- Angus Armstrong, 2016, "EU Membership, Financial Services and Stability," National Institute Economic Review, National Institute of Economic and Social Research, volume 236, issue 1, pages 31-38, May.
- Marek D¹browski, 2016, "Interaction between monetary policy and bank regulation: lessons for the ECB," CASE Network Studies and Analyses, CASE-Center for Social and Economic Research, number 0480, Feb.
- Raphael Espinoza & Miguel Segoviano, 2016, "Determinants of Bank-Sovereign Distress," UCL SSEES Economics and Business working paper series, UCL School of Slavonic and East European Studies (SSEES), number 2016-3.
- Markus K. Brunnermeier & Luis Garicano & Philip R. Lane & Marco Pagano & Ricardo Reis & Tano Santos & David Thesmar & Stijn Van Nieuwerburgh & Dimitri Vayanos, 2016, "The Sovereign-Bank Diabolic Loop and ESBies," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 427, Jan, revised 18 Jun 2016.
- ?smail CAKMAK, 2016, "20. Century?s Economic Crises and Their Effects on Turkey?s Economy," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 4006611, Aug.
- Hasan A?an Karaduman, 2016, "Stylized Facts And Weak-Form Efficiency In Turkish Stock Market," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 4006651, Aug.
- Oksana Seroka-Stolka & JUSTYNA LUKOMSKA-SZAREK, 2016, "Public debt management in Poland compared to other countries of the European Union," Proceedings of Business and Management Conferences, International Institute of Social and Economic Sciences, number 3406103, Apr.
- Josef Koke? & Michal Bej?ek, 2016, "Control Strategy To Trade Cryptocurrencies," Proceedings of Business and Management Conferences, International Institute of Social and Economic Sciences, number 4407038, Nov.
- Cenk Gokce ADAS & Bibigul Tussupova, 2016, "Impact Of The Global Financial Crises On The Major Asian Countries And Usa Stock Markets And Inter-Linkages Among Them," Proceedings of Economics and Finance Conferences, International Institute of Social and Economic Sciences, number 3205838, Mar.
- Cenk Gokce ADAS, 2016, "Impact Of The Global Financial Crises On The Major Asian Countries And Usa Stock Markets And Inter-Linkages Among Them," International Journal of Economic Sciences, International Institute of Social and Economic Sciences, volume 5, issue 1, pages 1-17, March.
- José Luis Peydró, 2016, "Macroprudential Policy and Credit Supply," Swiss Journal of Economics and Statistics (SJES), Swiss Society of Economics and Statistics (SSES), volume 152, issue IV, pages 305-318, December.
- Viral V. Acharya & Sascha Steffen, 2016, "Capital Markets Union in Europe: Why other Unions must lead the Way," Swiss Journal of Economics and Statistics (SJES), Swiss Society of Economics and Statistics (SSES), volume 152, issue IV, pages 319-329, December.
- Wojciech Lichota, 2016, "Efektywność finansowa specjalnych stref ekonomicznych w Polsce," Gospodarka Narodowa. The Polish Journal of Economics, Warsaw School of Economics, issue 1, pages 99-130.
- Piotr Mielus, 2016, "Dylematy reformy indeksów rynku finansowego," Gospodarka Narodowa. The Polish Journal of Economics, Warsaw School of Economics, issue 4, pages 91-114.
- Kim Ristolainen, 2016, "The relationship between distance-to-default and CDS spreads as measures of default risk for European banks," Journal of Banking and Financial Economics, University of Warsaw, Faculty of Management, volume 1, issue 5, pages 121-143, June, DOI: 10.7172/2353-6845.jbfe.2016.1.5.
- Teodor Sedlarski & Gergana Dimitrova, 2016, "The Global Financial Crisis from the perspective of Behavioral Finance," Yearbook of the Faculty of Economics and Business Administration, Sofia University, Faculty of Economics and Business Administration, Sofia University St Kliment Ohridski - Bulgaria, volume 13, issue 1, pages 247-268, September.
- Silvio Schumacher, 2016, "Networks and lending conditions: Empirical evidence from the Swiss franc money markets," Working Papers, Swiss National Bank, number 2016-12.
- Birol KARAKURT & Tekin AKDEMİR, 2016, "Küresel Finansal Krizinin Devlet Borçlarına Etkisi: Gelişmiş ve Gelişmekte Olan Ülkeler Açısından Bir Değerlendirme," Sosyoekonomi Journal, Sosyoekonomi Society, issue 24(29).
- Psillaki Maria & Georgoulea Eleftheria, 2016, "The Impact of Basel III Indexes of Leverage and Liquidity CRDIV/CRR on Bank Performance: Evidence from Greek Banks," SPOUDAI Journal of Economics and Business, SPOUDAI Journal of Economics and Business, University of Piraeus, volume 66, issue 1-2, pages 79-107, January-J.
- Naoyuki Yoshino & Farhad Taghizadeh-Hesary, 2016, "How Did Monetary Policy Inflate Oil Prices Following the Subprime Mortgage Crisis?," ADB Institute Series on Development Economics, Springer, chapter 0, in: Naoyuki Yoshino & Farhad Taghizadeh-Hesary, "Monetary Policy and the Oil Market", DOI: 10.1007/978-4-431-55797-5_4.
- Tetsuya Takaishi, 2016, "Dynamical cross-correlation of multiple time series Ising model," Evolutionary and Institutional Economics Review, Springer, volume 13, issue 2, pages 455-468, December, DOI: 10.1007/s40844-016-0051-4.
- Takayuki Mizuno & Takaaki Ohnishi & Tsutomu Watanabe, 2016, "Power laws in market capitalization during the dot-com and Shanghai bubble periods," Evolutionary and Institutional Economics Review, Springer, volume 13, issue 2, pages 445-454, December, DOI: 10.1007/s40844-016-0057-y.
- Pavlos Almanidis & Robin C. Sickles, 2016, "Banking Crises, Early Warning Models, and Efficiency," International Series in Operations Research & Management Science, Springer, chapter 0, in: Juan Aparicio & C. A. Knox Lovell & Jesus T. Pastor, "Advances in Efficiency and Productivity", DOI: 10.1007/978-3-319-48461-7_14.
- Jess Benhabib & Jianjun Miao & Pengfei Wang, 2016, "Chaotic banking crises and regulations," Economic Theory, Springer;Society for the Advancement of Economic Theory (SAET), volume 61, issue 2, pages 393-422, February, DOI: 10.1007/s00199-016-0952-9.
- Huberto Ennis & Todd Keister, 2016, "Optimal banking contracts and financial fragility," Economic Theory, Springer;Society for the Advancement of Economic Theory (SAET), volume 61, issue 2, pages 335-363, February, DOI: 10.1007/s00199-015-0899-2.
- Jess Benhabib & Jianjun Miao & Pengfei Wang, 2016, "Chaotic banking crises and regulations," Economic Theory, Springer;Society for the Advancement of Economic Theory (SAET), volume 61, issue 2, pages 393-422, February, DOI: 10.1007/s00199-016-0952-9.
- Zakaria Babutsidze & Maurizio Iacopetta, 2016, "Innovation, growth and financial markets," Journal of Evolutionary Economics, Springer, volume 26, issue 1, pages 1-24, March, DOI: 10.1007/s00191-016-0448-6.
- Zakaria Babutsidze & Maurizio Iacopetta, 2016, "Innovation, growth and financial markets," Journal of Evolutionary Economics, Springer, volume 26, issue 1, pages 1-24, March, DOI: 10.1007/s00191-016-0448-6.
- Sandrine Jacob Leal & Mauro Napoletano & Andrea Roventini & Giorgio Fagiolo, 2016, "Rock around the clock: An agent-based model of low- and high-frequency trading," Journal of Evolutionary Economics, Springer, volume 26, issue 1, pages 49-76, March, DOI: 10.1007/s00191-015-0418-4.
- Michele Berardi, 2016, "Endogenous time-varying risk aversion and asset returns," Journal of Evolutionary Economics, Springer, volume 26, issue 3, pages 581-601, July, DOI: 10.1007/s00191-015-0435-3.
- José-Luis Peydró, 2016, "Macroprudential Policy and Credit Supply," Swiss Journal of Economics and Statistics, Springer;Swiss Society of Economics and Statistics, volume 152, issue 4, pages 305-318, October, DOI: 10.1007/BF03399430.
- Viral V. Acharya & Sascha Steffen, 2016, "Capital Markets Union in Europe: Why Other Unions Must Lead the Way," Swiss Journal of Economics and Statistics, Springer;Swiss Society of Economics and Statistics, volume 152, issue 4, pages 319-329, October, DOI: 10.1007/BF03399431.
- Dorothea Schäfer, 2016, "Regulierung der EU-Finanzmärkte
[Regulation of Financial Markets in the European Union]," Wirtschaftsdienst, Springer;ZBW - Leibniz Information Centre for Economics, volume 96, issue 8, pages 563-570, August, DOI: 10.1007/s10273-016-2016-y. - Boissel, Charles & Derrien, François & Örs, Evren & Thesmar, David, 2016, "Systemic risk in clearing houses: Evidence from the European repo market," ESRB Working Paper Series, European Systemic Risk Board, number 10, May.
- Altavilla, Carlo & Pagano, Marco & Simonelli, Saverio, 2016, "Bank exposures and sovereign stress transmission," ESRB Working Paper Series, European Systemic Risk Board, number 11, May.
- Behn, Markus & Gross, Marco & Peltonen, Tuomas A., 2016, "Assessing the costs and benefits of capital-based macroprudential policy," ESRB Working Paper Series, European Systemic Risk Board, number 17, Jul.
- Schoenmaker, Dirk & Wierts, Peter, 2016, "Macroprudential supervision: From theory to policy," ESRB Working Paper Series, European Systemic Risk Board, number 2, Feb.
- Brunnermeier, Markus K. & Langfield, Sam & Pagano, Marco & Reis, Ricardo & Van Nieuwerburgh, Stijn & Vayanos, Dimitri, 2016, "ESBies: Safety in the tranches," ESRB Working Paper Series, European Systemic Risk Board, number 21, Sep.
- Efing, Matthias, 2016, "Arbitraging the Basel securitization framework: Evidence from German ABS investment," ESRB Working Paper Series, European Systemic Risk Board, number 22, Sep.
- Garcia-Macia, Daniel & Villacorta, Alonso, 2016, "Macroprudential policy with liquidity panics," ESRB Working Paper Series, European Systemic Risk Board, number 24, Sep.
- Neuhann, Daniel, 2016, "Macroeconomic effects of secondary market trading," ESRB Working Paper Series, European Systemic Risk Board, number 25, Sep.
- Glaser, Florian & Panz, Sven, 2016, "(Pro?)-cyclicality of collateral haircuts and systemic illiquidity," ESRB Working Paper Series, European Systemic Risk Board, number 27, Oct.
- Behn, Markus & Detken, Carsten & Peltonen, Tuomas A. & Schudel, Willem, 2016, "Predicting vulnerabilities in the EU banking sector: the role of global and domestic factors," ESRB Working Paper Series, European Systemic Risk Board, number 29, Nov.
- Segura, Anatoli & Suarez, Javier, 2016, "How excessive is banks’ maturity transformation?," ESRB Working Paper Series, European Systemic Risk Board, number 3, Mar.
- Peralta, Gustavo & Crisóstomo, Ricardo, 2016, "Financial contagion with spillover effects: a multiplex network approach," ESRB Working Paper Series, European Systemic Risk Board, number 32, Dec.
- Abbassi, Puriya & Iyer, Rajkamal & Peydró, José-Luis & Tous, Francesc R., 2016, "Securities trading by banks and credit supply: Micro-evidence from the crisis," ESRB Working Paper Series, European Systemic Risk Board, number 5, Mar.
- Ippolito, Filippo & Peydró, José-Luis & Polo, Andrea & Sette, Enrico, 2016, "Double bank runs and liquidity risk management," ESRB Working Paper Series, European Systemic Risk Board, number 8, Apr.
- Sandrine Jacob Leal & Mauro Napoletano, 2016, "Market Stability vs. Market Resilience: Regulatory Policies Experiments in an Agent Based Model with Low- and High-Frequency Trading," LEM Papers Series, Laboratory of Economics and Management (LEM), Sant'Anna School of Advanced Studies, Pisa, Italy, number 2016/15, Dec.
- Dóra Siklós, 2016, "Capital Adequacy Regulations in Hungary: Did It Really Matter?," Working Papers, European Stability Mechanism, number 11, Apr.
- Juan Pineiro-Chousa & Marcos Vizcaíno-González & Jérôme Caby, 2016, "Analysing voting behaviour in the United States banking sector through eigenvalue decomposition," Applied Economics Letters, Taylor & Francis Journals, volume 23, issue 12, pages 840-843, August, DOI: 10.1080/13504851.2015.1114568.
- António Afonso & João Tovar Jalles, 2016, "Budgetary decomposition and yield spreads," Applied Economics Letters, Taylor & Francis Journals, volume 23, issue 15, pages 1093-1098, October, DOI: 10.1080/13504851.2015.1136390.
- D. E. Allen & M. McAleer & R. J. Powell & A. K. Singh, 2016, "A capital adequacy buffer model," Applied Economics Letters, Taylor & Francis Journals, volume 23, issue 3, pages 175-179, February, DOI: 10.1080/13504851.2015.1061639.
- Guglielmo Maria Caporale & Stefano Di Colli & Roberto Di Salvo & Juan Sergio Lopez, 2016, "Local banking and local economic growth in Italy: some panel evidence," Applied Economics, Taylor & Francis Journals, volume 48, issue 28, pages 2665-2674, June, DOI: 10.1080/00036846.2015.1128075.
- Arturo O’Connell, 2016, "The EuroZone `Debt’ Crisis: Another `Center’ – `Periphery’ Crisis Under Financial Globalization?," Working Papers Series, Institute for New Economic Thinking, number 51, Nov, DOI: 10.2139/ssrn.2877979.
- Xu Guo & Michael McAleer & Wing-Keung Wong & Lixing Zhu, 2016, "A Bayesian Approach to Excess Volatility, Short-term Underreaction and Long-term Overreaction During Financial Crises," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 16-003/III, Jan.
- Stephanie Chan & Sweder van Wijnbergen, 2016, "Coco Design, Risk Shifting Incentives and Capital Regulation," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 16-007/VI, Feb, revised 13 Nov 2017.
- Jinghui Chen & Masahito Kobayashi & Michael McAleer, 2016, "Testing for a Common Volatility Process and Information Spillovers in Bivariate Financial Time Series Models," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 16-015/III, Mar.
- Gabriele Galati & Irma Hindrayanto & Siem Jan Koopman & Marente Vlekke, 2016, "Measuring Financial Cycles in a Model-Based Analysis: Empirical Evidence for the United States and the Euro Area," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 16-029/III, Apr.
- Rutger-Jan Lange & Andre Lucas & Arjen H. Siegmann, 2016, "Score-Driven Systemic Risk Signaling for European Sovereign Bond Yields and CDS Spreads," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 16-064/IV, Aug.
- Michiel C.W. van de Leur & Andre Lucas, 2016, "Network, Market, and Book-Based Systemic Risk Rankings," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 16-074/IV, Sep.
- Anastasios Zopiatis & Christos S. Savva & Neophytos Lambertides & Michael McAleer, 2016, "Tourism Stocks in Times of Crises: An Econometric Investigation of Non-macro Factors," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 16-104/III, Nov.
- Andreas Haupenthal & Matthias Neuenkirch, 2016, "Grexit News and Stock Returns," Research Papers in Economics, University of Trier, Department of Economics, number 2016-08.
- Franck Martin, 2016, "La structure des taux revisitée pour période de crise: entre contagion, ?ight to quality et Quantitative Easing," Economics Working Paper Archive (University of Rennes & University of Caen), Center for Research in Economics and Management (CREM), University of Rennes, University of Caen and CNRS, number 2016-06, Apr.
- John Cotter & Stuart Gabriel & Richard Roll, 2016, "Nowhere to run, nowhere to hide: asset diversification in a flat world," Working Papers, Geary Institute, University College Dublin, number 201612, Nov.
- Jinghui Chen & Masahito Kobayashi & Michael McAleer, 2016, "Testing for a Common Volatility Process and Information Spillovers in Bivariate Financial Time Series Models," Documentos de Trabajo del ICAE, Universidad Complutense de Madrid, Facultad de Ciencias Económicas y Empresariales, Instituto Complutense de Análisis Económico, number 2016-04, Mar.
- Anastasios Zopiatis & Christos S. Savva & Neophytos Lambertides & Michael McAleer, 2016, "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 2016-18, Nov.
- Milagros Gutiérrez Fernández & Yakira Fernández Torres & Ricardo Palomo Zurdo, 2016, "De la transformación a la bancarización de las cajas de ahorros españolas: un análisis de los resultados perseguidos
[From the transformation to the bancarization of Spanish saving banks: an analysis of the results pursued]," REVESCO: Revista de estudios cooperativos, Universidad Complutense de Madrid, Facultad de Ciencias Económicas y Empresariales, Escuela de Estudios Cooperativos, issue 122, pages 86-109. - Luigi Bocola, 2016, "The Pass-Through of Sovereign Risk," Journal of Political Economy, University of Chicago Press, volume 124, issue 4, pages 879-926, DOI: 10.1086/686734.
- Iryna Kachur & Volodymyr Lepushynskyi & Robert Zammit, 2016, "The NBU's Balance Sheet: before, during, and after the Crisis," Visnyk of the National Bank of Ukraine, National Bank of Ukraine, issue 237, pages 6-19, DOI: 10.26531/vnbu2016.237.006.
- Jin Cheng & Meixing Dai & Frédéric Dufourt, 2016, "Banking Crisis, Moral Hazard and Fiscal Policy Responses," Working Papers of BETA, Bureau d'Economie Théorique et Appliquée, UDS, Strasbourg, number 2016-06.
- Sun, Hang, 2016, "Crisis-Contingent Dynamics of Connectedness: An SVAR-Spatial-Network “Tripod” Model with Thresholds," Research Memorandum, Maastricht University, Graduate School of Business and Economics (GSBE), number 032, Jan, DOI: 10.26481/umagsb.2016032.
- Ozlem Akin & José M. Marín & José-Luis Peydró, 2016, "Anticipating the financial crisis: Evidence from insider trading in banks," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1524, May.
- Ozlem Akin & Nicholas S. Coleman & Christian Fons-Rosen & José-Luis Peydró, 2016, "Political connections and informed trading: Evidence from TARP," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1542, Oct, revised Mar 2021.
- Maria Roubtsova, 2016, "How secular is the current economic stagnation?," CEPN Working Papers, Centre d'Economie de l'Université de Paris Nord, number 2016-09, Oct.
- Nargiza Alymkulova & Nurlan Atabaev & Junus Ganiev, 2016, "Var — analysis of global financial economic crisis impact on public budget and unemployment: evidence from the economy of the Kyrgyz republic," Economy of region, Centre for Economic Security, Institute of Economics of Ural Branch of Russian Academy of Sciences, volume 1, issue 4, pages 1090-1101.
- Eric Jondeau, 2016, "Comment on "Exchange rate floor and central bank balance sheets: Simple spillover tests of the Swiss franc"," Aussenwirtschaft, University of St. Gallen, School of Economics and Political Science, Swiss Institute for International Economics and Applied Economics Research, volume 67, issue 02, pages 49-50, August.
- Thomas Nitschka, 2016, "Risk premia on Swiss government bonds and sectoral stock indexes during international crises:," Aussenwirtschaft, University of St. Gallen, School of Economics and Political Science, Swiss Institute for International Economics and Applied Economics Research, volume 67, issue 02, pages 51-67, August.
- , 2016, "Funding Illiquidity," Working Papers on Finance, University of St. Gallen, School of Finance, number 1601, Jan, revised Sep 2019.
- Brown, Martin & Schmitz, Jan & Zehnder, Christian, 2016, "Social Norms and Strategic Default," Working Papers on Finance, University of St. Gallen, School of Finance, number 1608, Mar, revised Jun 2017.
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- Amat Adarov & Vasily Astrov & Serkan Çiçek & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Simona Jokubauskaite & Sebastian Leitner & Isilda Ma, 2016, "Growth Stabilises: Investment a Major Driver, Except in Countries Plagued by Recession," wiiw Forecast Reports, The Vienna Institute for International Economic Studies, wiiw, number Spring2016, Mar.
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- Deming Chen, 2016, "Economic Crisis and Rule Reconstruction," World Scientific Books, World Scientific Publishing Co. Pte. Ltd., number 9916, ISBN: ARRAY(0x6cf37298).
- Chen Deming, 2016, "Introduction," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 1, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Economic Crisis in the Era of Globalization," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 2, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "G20 and New Developments of the Global Governance Platform," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 3, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Difficulties and Prospects of the Multilateral Trading System," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 4, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "The Rise of Regional Economic Cooperation and Global Rule Reconstruction," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 5, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "International Rules of Finance," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 6, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Rules of Trade Remedies," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 7, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Global Value Chains and Trade in Value-Added," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 8, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Rules of Trade in Services," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 9, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Rules of Government Procurement," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 10, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Rules of Intellectual Property," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 11, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Rules of International Investment," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 12, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Competitive Neutrality and State-Owned Enterprises," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 13, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Rules of International Development Cooperation," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 14, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Rules for Trade and Sustainable Development," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 15, "Economic Crisis and Rule Reconstruction".
- Chen Deming, 2016, "Reconstruction and Prospects of Global Economic and Trade Rules," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 16, "Economic Crisis and Rule Reconstruction".
- Donal Smith, 2016, "The International Impact of Financial Shocks: A Global VAR and Connectedness Measures Approach," Discussion Papers, Department of Economics, University of York, number 16/07, May.
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- Sergiu GARSTEA & Iulita BIRCA & Alexandru GRIBINCEA, 2016, "World Economy Post-Crysis Development," Economy and Sociology, The Journal Economy and Sociology, issue 1, pages 36-42.
- Ivan LUCHIAN & George BALAN, 2016, "Financial Mechanisms Of Financial Crises," Economy and Sociology, The Journal Economy and Sociology, issue 3, pages 82-87.
- Zubair Hasan, 2016, "Risk-Sharing: The Sole Basis of Islamic Finance? Time for a Serious Rethink المشاركة في المخاطر: الأساس الوحيد للتمويل الإسلامي؟ حان الوقت لإعادة التفكير الجدي في الموضوع," Journal of King Abdulaziz University: Islamic Economics, King Abdulaziz University, Islamic Economics Institute., volume 29, issue 2, pages 23-36, January, DOI: 10.4197/Islec.29-2.2.
- Hyeongwoo Kim & Wen Shi & Hyun Hak Kim, 2016, "Forecasting Financial Stress Indices in Korea: A Factor Model Approach," Auburn Economics Working Paper Series, Department of Economics, Auburn University, number auwp2016-10, Sep.
- Hyeongwoo Kim & Wen Shi, 2016, "Forecasting Financial Vulnerability in the US: A Factor Model Approach," Auburn Economics Working Paper Series, Department of Economics, Auburn University, number auwp2016-15, Nov.
- Albert S. Kyle & Anna Obizhaeva, 2016, "Large Bets and Stock Market Crashes," Working Papers, New Economic School (NES), number w0227, Jan.
- Serge Darolles & Jérémy Dudek & Gaëlle Le Fol, 2016, "Gauging Liquidity Risk in Emerging Market Bond Index Funds," Annals of Economics and Statistics, GENES, issue 123-124, pages 247-269, DOI: 10.15609/annaeconstat2009.123-124.0.
- Daniel Felix Ahelegbey & Monica Billio & Roberto Casarin, 2016, "Sparse Graphical Vector Autoregression: A Bayesian Approach," Annals of Economics and Statistics, GENES, issue 123-124, pages 333-361, DOI: 10.15609/annaeconstat2009.123-124.0.
- Javier Bianchi, 2016, "Efficient Bailouts?," American Economic Review, American Economic Association, volume 106, issue 12, pages 3607-3659, December.
- João Gomes & Urban Jermann & Lukas Schmid, 2016, "Sticky Leverage," American Economic Review, American Economic Association, volume 106, issue 12, pages 3800-3828, December.
- Raghuram Rajan & Rodney Ramcharan, 2016, "Crises and the Development of Economic Institutions: Some Microeconomic Evidence," American Economic Review, American Economic Association, volume 106, issue 5, pages 524-527, May.
- Gary Gorton & Ellis W. Tallman, 2016, "Too Big to Fail before the Fed," American Economic Review, American Economic Association, volume 106, issue 5, pages 528-532, May.
- Mark Carlson & David C. Wheelock, 2016, "Interbank Markets and Banking Crises: New Evidence on the Establishment and Impact of the Federal Reserve," American Economic Review, American Economic Association, volume 106, issue 5, pages 533-537, May.
- Christoffer Koch & Gary Richardson & Patrick Van Horn, 2016, "Bank Leverage and Regulatory Regimes: Evidence from the Great Depression and Great Recession," American Economic Review, American Economic Association, volume 106, issue 5, pages 538-542, May.
- Alejandro Justiniano & Giorgio E. Primiceri & Andrea Tambalotti, 2016, "A Simple Model of Subprime Borrowers and Credit Growth," American Economic Review, American Economic Association, volume 106, issue 5, pages 543-547, May.
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