Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2016
- Antonio José Heras Martínez & David Teira & Pierre-Charles Pradier, 2016, "What was fair in acturial fairness?," Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers), HAL, number halshs-01400213, Oct.
- Sofiane Aboura & Eser Arisoy, 2016, "Does Aggregate Uncertainty Explain Size and Value Anomalies?," Post-Print, HAL, number hal-01488305, DOI: 10.1080/00036846.2016.1257107.
- Serge Darolles & Jérémy Dudek & Gaëlle Le Fol, 2016, "Gauging Liquidity Risk in Emerging Market Bond Index Funds," Post-Print, HAL, number hal-01500712, DOI: 10.15609/annaeconstat2009.123-124.0.
- 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," Post-Print, HAL, number hal-01512779.
- 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," Post-Print, HAL, number hal-01512780.
- Sandrine Jacob Leal & Mauro Napoletano & Andrea Roventini & Giorgio Fagiolo, 2016, "Rock around the Clock : An agent-based model of low- and high-frequency trading," Post-Print, HAL, number hal-01512863, DOI: 10.1007/s00191-015-0418-4.
- Marie-Ange Véganzonès-Varoudakis & Youssouf Kiendrebeogo & Melise Jaud, 2016, "Financial Vulnerability and Export Dynamics," Post-Print, HAL, number hal-03058303, Jun.
- Cécile Bastidon & Philippe Gilles & Nicolas Huchet, 2016, "The ECB, between conservatism and pragmatism," Post-Print, HAL, number hal-03318509.
- Antoine Bouet & Anne-Gael Vaubourg, 2016, "Financial constraints and international trade with endogenous mode of competition," Post-Print, HAL, number hal-03428485, DOI: 10.1016/j.jbankfin.2016.03.007.
- Amine Lahiani & Shawkat Hammoudeh & Rangan Gupta, 2016, "Linkages between financial sector CDS spreads and macroeconomic influence in a nonlinear setting," Post-Print, HAL, number hal-03531142, May, DOI: 10.1016/j.iref.2016.01.007.
- Tsvetelina Marinova, 2016, "Comparative Study on Monetary and Fiscal Policy in the Eurozone and Bulgaria," Post-Print, HAL, number hal-03827754.
- Eric Le Fur & Hachmi Ben Ameur & Benoit Faye, 2016, "Time-Varying Risk Premiums in the Framework of Wine Investment," Post-Print, HAL, number hal-03930353, Nov, DOI: 10.1017/jwe.2016.15.
- Cécile Bastidon & Philippe Gilles & Nicolas Huchet, 2016, "The ECB, between Conservatism and Pragmatism," Post-Print, HAL, number hal-05234144.
- Romain Rancière & Aaron Tornell, 2016, "Financial Liberalization, Debt Mismatch, Allocative Efficiency, and Growth," Post-Print, HAL, number halshs-01314278, Apr, DOI: 10.1257/mac.20130190.
- Pierre-Charles Pradier & Arnaud Chneiweiss, 2016, "The evolution of insurance regulation in the EU since 2005," Post-Print, HAL, number halshs-01390899, Sep.
- Pierre-Charles Pradier & Hamza El Khalloufi, 2016, "The Impact of regulatory capital regulation on balance sheet structure, intermediation cost and growth," Post-Print, HAL, number halshs-01390915, Sep.
- Antonio José Heras Martínez & David Teira & Pierre-Charles Pradier, 2016, "What was fair in acturial fairness?," Post-Print, HAL, number halshs-01400213, Oct.
- Zakaria Babutsidze & Maurizio Iacopetta, 2016, "Innovation, growth and financial market," Post-Print, HAL, number halshs-01927001, Mar, DOI: 10.1007/s00191-016-0448-6.
- Romain Rancière & Aaron Tornell, 2016, "Financial Liberalization, Debt Mismatch, Allocative Efficiency, and Growth," PSE-Ecole d'économie de Paris (Postprint), HAL, number halshs-01314278, Apr, DOI: 10.1257/mac.20130190.
- 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," Sciences Po Economics Publications (main), HAL, number hal-03459346, Apr.
- Cécile Bastidon & Philippe Gilles & Nicolas Huchet, 2016, "The ECB, between Conservatism and Pragmatism," Sciences Po Economics Publications (main), HAL, number hal-05234144.
- Zakaria Babutsidze & Maurizio Iacopetta, 2016, "Innovation, growth and financial market," Sciences Po Economics Publications (main), HAL, number halshs-01927001, Mar, DOI: 10.1007/s00191-016-0448-6.
- Isabelle Distinguin & Aref Mahdavi-Ardekani & Amine Tarazi, 2017, "Do banks differently set their liquidity ratios based on their network characteristics?," Working Papers, HAL, number hal-01336784, Mar.
- Rosnan Chotard & Michel Dacorogna & Marie Kratz, 2016, "Risk Measure Estimates in Quiet and Turbulent Times:An Empirical Study," Working Papers, HAL, number hal-01424285, Nov.
- 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," Working Papers, HAL, number hal-01512781.
- Christophe Spaenjers, 2016, "The Long-Term Returns to Durable Assets," Working Papers, HAL, number hal-01993401, Mar.
- 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," Working Papers, HAL, number hal-03459346, Apr.
- Justine Pedrono, 2016, "Currency Diversification of Banks: A Spontaneous Buffer Against Financial Losses," Working Papers, HAL, number halshs-01275862, Jan.
- Homburg, Stefan, 2016, "Pure Theory of the Federal Funds Rate," Hannover Economic Papers (HEP), Leibniz Universität Hannover, Wirtschaftswissenschaftliche Fakultät, number dp-578, Aug, revised Feb 2017.
- Dylan Minor, 2016, "Executive Compensation and Environmental Harm," Harvard Business School Working Papers, Harvard Business School, number 16-076, Jan, revised Apr 2016.
- Nadja König, 2016, "Personal Insolvency Dynamics in Germany and the UK -- A SUR-TAR Approach," Macroeconomics and Finance Series, University of Hamburg, Department of Socioeconomics, number 201602, Aug.
- Forssbaeck, Jens & Nielsen, Caren Yinxia, 2016, "TARP and Market Discipline: Evidence on the Moral Hazard Effects of Bank Recapitalizations," Working Papers, Lund University, Department of Economics, number 2016:10, Jun.
- Byström, Hans, 2016, "Stock Return Expectations in the Credit Market," Working Papers, Lund University, Department of Economics, number 2016:26, Oct.
- Grodecka, Anna, 2016, "Subprime Borrowers, Securitization and the Transmission of Business Cycles," Working Paper Series, Sveriges Riksbank (Central Bank of Sweden), number 317, Mar.
- Maria Semenova & Andrey Shapkin, 2016, "Currency Shifts as a Market Discipline Device: The Case of the Russian Market for Personal Deposits," HSE Working papers, National Research University Higher School of Economics, number WP BRP 57/FE/2016.
- Koen Schoors & Maria Semenova & Andrey Zubanov, 2016, "Depositor Discipline in Russian Regions: Flight to Familiarity or Trust in Local Authorities?," HSE Working papers, National Research University Higher School of Economics, number WP BRP 58/FE/2016.
- FRENCH, Joseph & YAN, Juxin & YASUDA, Yukihiro & 安田, 行宏, 2016, "Relationships matter: The impact of bank-firm relationships on mergers and acquisitions in Japan," Working Paper Series, Hitotsubashi University Center for Financial Research, number G-1-15, Jun.
- Iwasaki, Ichiro & 岩﨑, 一郎, 2016, "The Evolution of Corporate Governance in the Global Financial Crisis : The Case of Russian Industrial Firms," CEI Working Paper Series, Center for Economic Institutions, Institute of Economic Research, Hitotsubashi University, number 2016-7, Sep.
- Iwasaki, Ichiro & 岩崎, 一郎 & Maurel, Mathilde & Meunier, Bogdan, 2016, "Firm Entry and Exit during a Crisis Period Evidence from Russian Regions," RRC Working Paper Series, Russian Research Center, Institute of Economic Research, Hitotsubashi University, number 59, May.
- Mirna Dumičić & Tomislav Ridzak, 2016, "Are Shadow Banks Hiding in Croatia as Well?," Surveys, The Croatian National Bank, Croatia, number 20, Nov.
- Halil D. Kaya, 2016, "The Impact of the 2008 Global Crisis on Human Development: An Examination of the Human Assets Index," International Journal of Academic Research in Business and Social Sciences, Human Resource Management Academic Research Society, International Journal of Academic Research in Business and Social Sciences, volume 6, issue 2, pages 42-56, February.
- Matthew Greenwood-Nimmo & Viet Hoang Nguyen & Barry Rafferty, 2016, "Risk and Return Spillovers among the G10 Currencies," Melbourne Institute Working Paper Series, Melbourne Institute of Applied Economic and Social Research, The University of Melbourne, number wp2016n04, Feb.
- Marco Bee & Massimo Riccaboni & Luca Trapin, 2016, "An extreme value analysis of the last century crises across industries in the U.S. economy," Working Papers, IMT School for Advanced Studies Lucca, number 02/2016, Feb, revised Feb 2016.
- Andrea Flori & Simone Giansante & Fabio Pammolli, 2016, "Peer-Group Detection of Banks and Resilience to Distress," Working Papers, IMT School for Advanced Studies Lucca, number 06/2016, Dec, revised Dec 2016.
- Lamia Bouattour Boulifa & Dalenda Rzig Khouaja, 2016, "Could Basel Iii Capital And Liquidity Requirements Avoid Bank Failure?," The International Journal of Business and Finance Research, The Institute for Business and Finance Research, volume 10, issue 4, pages 63-71.
- Santero Sánchez, Rosa & de la Fuente-Cabrero, Concepción & Laguna Sánchez, Pilar, 2016, "Efectos De La Crisis Sobre La Financiación Bancaria Del Emprendimiento. Un Análisis De Las Microempresas Españolas Desde El Sector De Las Sociedades De Garantía Recíproca / Crises Effects On Banking E," European Research on Management and Business Economics (ERMBE), Academia Europea de Dirección y Economía de la Empresa (AEDEM), volume 22, issue 2, pages 88-93.
- Vizcaíno-González, Marcos & Pineiro-Chousa, Juan & López-Cabarcos, M. Ángeles, 2016, "Analyzing The Determinants Of The Voting Behavior Using A Genetic Algorithm /," European Research on Management and Business Economics (ERMBE), Academia Europea de Dirección y Economía de la Empresa (AEDEM), volume 22, issue 3, pages 162-166.
- Petre Prisecaru, 2016, "Eu Banking Union – Recent Developments," Impact of Socio-economic and Technological Transformations at National, European and International Level (ISETT), Institute for World Economy, Romanian Academy, volume 12.
- Luca Arciero & Ronald Heijmans & Richard Heuver & Marco Massarenti & Cristina Picillo & Francesco Vacirca, 2016, "How to Measure the Unsecured Money Market: The Eurosystem’s Implementation and Validation Using TARGET2 Data," International Journal of Central Banking, International Journal of Central Banking, volume 12, issue 1, pages 247-280, March.
- Victoria Nuguer, 2016, "Financial Intermediation in a Global Environment," International Journal of Central Banking, International Journal of Central Banking, volume 12, issue 3, pages 291-344, September.
- Ms. Deniz O Igan & Ali M. Kutan & Ali Mirzaei, 2016, "Real Effects of Capital Inflows in Emerging Markets," IMF Working Papers, International Monetary Fund, number 2016/235, Dec.
- Christian A. Belabed, 2016, "Inequality and the New Deal," IMK Working Paper, IMK at the Hans Boeckler Foundation, Macroeconomic Policy Institute, number 166-2016.
- Mahinda Wijesiri, 2016, "Weathering the storm: Ownership structure and performance of microfinance institutions in the wake of the global financial crisis," Indira Gandhi Institute of Development Research, Mumbai Working Papers, Indira Gandhi Institute of Development Research, Mumbai, India, number 2016-002, Jan.
- Hao Jin & Hewei Shen, 2016, "Foreign Asset Accumulation among Emerging Market Economies: a Case for Coordination," CAEPR Working Papers, Center for Applied Economics and Policy Research, Department of Economics, Indiana University Bloomington, number 2016-001, Feb.
- Hewei Shen, 2016, "Financial Crises and the Role of Debt Maturity for Emerging Economies," CAEPR Working Papers, Center for Applied Economics and Policy Research, Department of Economics, Indiana University Bloomington, number 2017-012, Jun.
- Sandra M. Leitner & Robert Stehrer, 2016, "R&D and Non-R&D Innovators During the Global Financial Crisis: The Role of Binding Credit Constraints," Latin American Journal of Economics-formerly Cuadernos de Economía, Instituto de Economía. Pontificia Universidad Católica de Chile., volume 53, issue 1, pages 1-38, December.
- António Afonso & João Tovar Jalles, 2016, "Economic Volatility and Sovereign Yields’ Determinants: a Time-Varying Approach," Working Papers Department of Economics, ISEG - Lisbon School of Economics and Management, Department of Economics, Universidade de Lisboa, number 2016/04, Jan.
- António Afonso & João Tovar Jalles, 2016, "Budgetary Decomposition and Yield Spreads," Working Papers Department of Economics, ISEG - Lisbon School of Economics and Management, Department of Economics, Universidade de Lisboa, number 2016/05, Jan.
- António Afonso & Jorge Silva, 2016, "Current account balance cyclicality," Working Papers Department of Economics, ISEG - Lisbon School of Economics and Management, Department of Economics, Universidade de Lisboa, number 2016/20, Sep.
- Junankar, Pramod N. (Raja), 2016, "On Measuring Uncertainty: Snakes and Ladders," IZA Discussion Papers, Institute of Labor Economics (IZA), number 10244, Sep.
- Ifcher, John & Zarghamee, Homa & Cabacungan, Amanda, 2016, "The Great Recession and Life Satisfaction: The Unique Decline for Americans Approaching Retirement Age," IZA Discussion Papers, Institute of Labor Economics (IZA), number 10452, Dec.
- Mohammad Jizi & Rabih Nehme & Aly Salama, 2016, "Do social responsibility disclosures show improvements on stock price?," Journal of Developing Areas, Tennessee State University, College of Business, volume 50, issue 2, pages 77-95, April-Jun.
- Lalita Mohan Mohapatra & Arun Kumar Gopalaswamy, 2016, "FDI, domestic investment and 2008 financial crisis: Evidence from emerging nations," Journal of Developing Areas, Tennessee State University, College of Business, volume 50, issue 6, pages 277-289, Special I.
- Gabriela BODEA & Aurelian-Petrus PLOPEANU, 2016, "Romania – To Have Or Not To Have Its Own Development Path?," CES Working Papers, Centre for European Studies, Alexandru Ioan Cuza University, volume 8, issue 2, pages 221-237, August.
- Jakob Kapeller & Michael Landesmann & Franz X. Mohr & Bernhard Schütz, 2016, "Government Policies and Financial Crises: Mitigation, Postponement or Prevention?," Economics working papers, Department of Economics, Johannes Kepler University Linz, Austria, number 2016-01, May.
- Fendel Ralf & Stremmel Hanno, 2016, "Characteristics of Banking Crises: A Comparative Study with Geographical Contagion," Journal of Economics and Statistics (Jahrbuecher fuer Nationaloekonomie und Statistik), De Gruyter, volume 236, issue 3, pages 349-388, May, DOI: 10.1515/jbnst-2015-1018.
- Fendel Ralf & Stremmel Hanno, 2016, "Characteristics of Banking Crises: A Comparative Study with Geographical Contagion," Journal of Economics and Statistics (Jahrbuecher fuer Nationaloekonomie und Statistik), De Gruyter, volume 236, issue 3, pages 349-388, May, DOI: 10.1515/jbnst-2015-1018.
- Fendel Ralf & Stremmel Hanno, 2016, "Characteristics of Banking Crises: A Comparative Study with Geographical Contagion," Journal of Economics and Statistics (Jahrbuecher fuer Nationaloekonomie und Statistik), De Gruyter, volume 236, issue 3, pages 349-388, May, DOI: 10.1515/jbnst-2015-1018.
- Schleer Frauke & Semmler Willi, 2016, "Banking Overleveraging and Macro Instability: A Model and VSTAR Estimations," Journal of Economics and Statistics (Jahrbuecher fuer Nationaloekonomie und Statistik), De Gruyter, volume 236, issue 6, pages 609-638, December, DOI: 10.1515/jbnst-2015-1042.
- Dilip B. Madan, 2016, "Adapted hedging," Annals of Finance, Springer, volume 12, issue 3, pages 305-334, December, DOI: 10.1007/s10436-016-0282-8.
- Evelina Lazareva, 2016, "Do Rating Agencies Confirm or Surprise the Market?," Atlantic Economic Journal, Springer;International Atlantic Economic Society, volume 44, issue 1, pages 133-134, March, DOI: 10.1007/s11293-016-9486-6.
- Lakshmi Balasubramanyan & Ben Craig & James B. Thomson & Saeed Zaman, 2016, "Credit Market Information Feedback," Atlantic Economic Journal, Springer;International Atlantic Economic Society, volume 44, issue 3, pages 405-407, September, DOI: 10.1007/s11293-016-9501-y.
- Fariba Karimi & Matthias Raddant, 2016, "Cascades in Real Interbank Markets," Computational Economics, Springer;Society for Computational Economics, volume 47, issue 1, pages 49-66, January, DOI: 10.1007/s10614-014-9478-z.
- Jenna Birch & Athanasios A. Pantelous & Kimmo Soramäki, 2016, "Analysis of Correlation Based Networks Representing DAX 30 Stock Price Returns," Computational Economics, Springer;Society for Computational Economics, volume 47, issue 4, pages 501-525, April, DOI: 10.1007/s10614-015-9481-z.
- Michele Bonollo & Irene Crimaldi & Andrea Flori & Laura Gianfagna & Fabio Pammolli, 2016, "Assessing financial distress dependencies in OTC markets: a new approach using trade repositories data," Financial Markets and Portfolio Management, Springer;Swiss Society for Financial Market Research, volume 30, issue 4, pages 397-426, November, DOI: 10.1007/s11408-016-0275-7.
- Paul J. J. Welfens, 2016, "Overcoming the euro crisis and prospects for a political union," International Economics and Economic Policy, Springer, volume 13, issue 1, pages 59-103, January, DOI: 10.1007/s10368-015-0322-2.
- Paul Welfens, 2016, "Overcoming the euro crisis and prospects for a political union," International Economics and Economic Policy, Springer, volume 13, issue 1, pages 59-103, January, DOI: 10.1007/s10368-015-0322-2.
- Yang-Ho Park & Nicole Abruzzo, 2016, "An Empirical Analysis of Futures Margin Changes: Determinants and Policy Implications," Journal of Financial Services Research, Springer;Western Finance Association, volume 49, issue 1, pages 65-100, February, DOI: 10.1007/s10693-014-0212-8.
- Franklin Allen & Itay Goldstein & Julapa Jagtiani & William W. Lang, 2016, "Enhancing Prudential Standards in Financial Regulations," Journal of Financial Services Research, Springer;Western Finance Association, volume 49, issue 2, pages 133-149, June, DOI: 10.1007/s10693-016-0253-2.
- Seth Anderson & T. Randolph Beard & Hyeongwoo Kim & Liliana V. Stern, 2016, "The Short-Run Pricing Behavior of Closed-End Funds: Bond vs. Equity Funds," Journal of Financial Services Research, Springer;Western Finance Association, volume 50, issue 3, pages 363-386, December, DOI: 10.1007/s10693-015-0227-9.
- Jamus Jerome Lim & Terence Tan, 2016, "Endogenous transactions costs and institutions in the 2007/08 financial crisis," Journal of Regulatory Economics, Springer, volume 49, issue 1, pages 56-85, February, DOI: 10.1007/s11149-015-9282-2.
- Gabriel Giménez Roche & Jason Lermyte, 2016, "Securitization and regulatory arbitrage within the ABCT framework," The Review of Austrian Economics, Springer;Society for the Development of Austrian Economics, volume 29, issue 1, pages 67-84, March, DOI: 10.1007/s11138-015-0317-9.
- Han-Hsing Lee & Kuanyu Shih & Kehluh Wang, 2016, "Measuring sovereign credit risk using a structural model approach," Review of Quantitative Finance and Accounting, Springer, volume 47, issue 4, pages 1097-1128, November, DOI: 10.1007/s11156-015-0532-2.
- Király, Júlia, 2016, "A magyar bankrendszer tulajdonosi struktúrájának átalakulása
[Transformation of the ownership structure of the Hungarian banking system]," Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences), Közgazdasági Szemle Alapítvány (Economic Review Foundation), volume 0, issue 7, pages 725-761, DOI: 10.18414/KSZ.2016.7-8.725. - Christian Rudolf RICHTER & Bachar FAKHRY, 2016, "Testing the Efficiency of the GIPS Sovereign Debt Markets using an Asymmetrical Volatility Test," Journal of Economics and Political Economy, KSP Journals, volume 3, issue 3, pages 524-535, September.
- Azar HASANLI, 2016, "A New Era of Monetary Policymaking in the Light of the Post-Crisis Challenges," Turkish Economic Review, KSP Journals, volume 3, issue 3, pages 473-494, September.
- Ralph S. MUSGRAVE, 2016, "Forty Defective Criticisms of Full Reserve Banking," Journal of Economics Library, KSP Journals, volume 3, issue 3, pages 488-507, September.
- Leroi RAPUTSOANE, 2016, "Financial Stress Indicator Variables and Monetary Policy in South Africa," Journal of Economics Bibliography, KSP Journals, volume 3, issue 2, pages 203-214, June.
- Severin ZEILBECK, 2016, "An Investment Initiative for Fiscally Constrained EU Member States – The Role of Synergetic Financial Instruments," Journal of Economics Bibliography, KSP Journals, volume 3, issue 3, pages 380-408, September.
- Bachar FAKHRY, 2016, "A Regime Switching Explanation of the Reactions of Market Participant during the Crisis," Journal of Economics Bibliography, KSP Journals, volume 3, issue 3, pages 434-449, September.
- Leleng KEBALO, 2016, "South African Exchange Rate After 2000s: An Econometric Investigation," Journal of Economics Bibliography, KSP Journals, volume 3, issue 3, pages 459-481, September.
- Masahiko Egami & Rusudan Kevkhishvili, 2016, "An Analysis of Simultaneous Company Defaults Using a Shot Noise Process," Discussion papers, Graduate School of Economics , Kyoto University, number e-16-001, Apr.
- Eduard Baumohl & Evzen Kocenda & Stefan Lyocsa & Tomas Vyrost, 2016, "Networks of volatility spillovers among stock markets," KIER Working Papers, Kyoto University, Institute of Economic Research, number 941, May.
- Giuseppe Mastromatteo & Giuseppe Mastromatteo, 2016, "Minsky at Basel: A Global Cap to Build an Effective Postcrisis Banking Supervision Framework," Economics Working Paper Archive, Levy Economics Institute, number wp_875, Sep.
- Reinhart, Carmen M. & Reinhart, Vincent & Trebesch, Christoph, 2016, "Global Cycles: Capital Flows, Commodities, and Sovereign Defaults, 1815-2015," Munich Reprints in Economics, University of Munich, Department of Economics, number 43461.
- Reinhart, Carmen M. & Trebesch, Christoph, 2016, "The International Monetary Fund: 70 Years of Reinvention," Munich Reprints in Economics, University of Munich, Department of Economics, number 43462.
- Funke, Manuel & Schularick, Moritz & Trebesch, Christoph, 2016, "Going to extremes: Politics after financial crises, 1870-2014," Munich Reprints in Economics, University of Munich, Department of Economics, number 43470.
- Dieter Smeets, 2016, "Financial Contagion During the European Sovereign Debt Crisis," Journal of Economic and Financial Studies (JEFS), LAR Center Press, volume 4, issue 2, pages 46-59, April.
- Talla M Aldeehani, 2016, "Has the risk index of Islamic banks and conventional banks in GCC countries changed in response to the 2008 economic crisis?," Journal of Economic and Financial Studies (JEFS), LAR Center Press, volume 4, issue 4, pages 20-33, August.
- Claire Océane Chevallier & Sarah El Joueidi, 2016, "Regulation and Rational Banking Bubbles in Infinite Horizon," DEM Discussion Paper Series, Department of Economics at the University of Luxembourg, number 16-15.
- Ornella Tarola & Giulia Ceccantoni & Skerdilajda Zanaj, 2016, "Green consumption and relative preferences in an international oligopoly," DEM Discussion Paper Series, Department of Economics at the University of Luxembourg, number 16-16.
- Homburg Stefan, 2016, "Pure Theory of the Federal Funds Rate," Review of Economics, De Gruyter, volume 67, issue 3, pages 285-296, December, DOI: 10.1515/roe-2017-0002.
- Markus Engler & Vahidin Jeleskovic, 2016, "Intraday volatility, trading volume and trading intensity in the interbank market e-MID," MAGKS Papers on Economics, Philipps-Universität Marburg, Faculty of Business Administration and Economics, Department of Economics (Volkswirtschaftliche Abteilung), number 201648.
- Anastasios Demertzidis & Vahidin Jeleskovic, 2016, "Empirical Estimation of Intraday Yield Curves on the Italian Interbank Credit Market e-MID," MAGKS Papers on Economics, Philipps-Universität Marburg, Faculty of Business Administration and Economics, Department of Economics (Volkswirtschaftliche Abteilung), number 201649.
- Thomas Flavin & David Cronin & Lisa Sheenan, 2016, "Contagion in Eurozone Sovereign Bond Markets? The Good, the Bad and the Ugly," Economics Department Working Paper Series, Department of Economics, National University of Ireland - Maynooth, number n267-16.pdf.
- Thomas Flavin & Dolores Lagoa-Varela, 2016, "Are Banking Shocks Contagious? Evidence from the Eurozone," Economics Department Working Paper Series, Department of Economics, National University of Ireland - Maynooth, number n268-16.pdf.
- Janati, Abolfazl & Arbabian, Shirin & Khojasteh, Zeinab, 2016, "The Impact of Macroeconomic Determinants on Banking Stability and Risk," Journal of Monetary and Banking Research (فصلنامه پژوهشهای پولی-بانکی), Monetary and Banking Research Institute, Central Bank of the Islamic Republic of Iran, volume 9, issue 29, pages 487-511, October.
- Lucie Chytilová, 2016, "Measuring the Development of Efficiency and Productivity of Banks in the Visegrad Group: An Application of Hicks-Moorsteen Total Factor Productivity index," European Journal of Business Science and Technology, Mendel University in Brno, Faculty of Business and Economics, volume 2, issue 1, pages 53-63, DOI: 10.11118/ejobsat.v2i1.29.
- Veronika Kajurova & Jana Hvozdenska, 2016, "Linkages between CDS, bond and stock markets: Evidence from Europe," MENDELU Working Papers in Business and Economics, Mendel University in Brno, Faculty of Business and Economics, number 2016-63, Dec.
- Christophe Destais, 2016, "Central Bank Currency Swaps and the International Monetary System," Emerging Markets Finance and Trade, Taylor & Francis Journals, volume 52, issue 10, pages 2253-2266, October, DOI: 10.1080/1540496X.2016.1185710.
- Donghyun Park & Kwanho Shin, 2016, "Financial Integration in Asset and Liability Holdings in East Asia," Emerging Markets Finance and Trade, Taylor & Francis Journals, volume 52, issue 3, pages 539-556, March, DOI: 10.1080/1540496X.2015.1103134.
- Minsoo Lee & Ruben Carlo Asuncion & Jungsuk Kim, 2016, "Effectiveness of Macroprudential Policies in Developing Asia: An Empirical Analysis," Emerging Markets Finance and Trade, Taylor & Francis Journals, volume 52, issue 4, pages 923-937, April, DOI: 10.1080/1540496X.2015.1103137.
- Robert Dekle & Madhavi Pundit, 2016, "The Recent Convergence of Financial Development in Asia," Emerging Markets Finance and Trade, Taylor & Francis Journals, volume 52, issue 5, pages 1106-1120, May, DOI: 10.1080/1540496X.2015.1103142.
- Ji Wu & Hosung Lim & Bang Nam Jeon, 2016, "The Impact of Foreign Banks on Monetary Policy Transmission During the Global Financial Crisis of 2008–2009: Evidence from Korea," Emerging Markets Finance and Trade, Taylor & Francis Journals, volume 52, issue 7, pages 1574-1586, July, DOI: 10.1080/1540496X.2016.1152796.
- Soumya Datta, 2016, "Macrodynamics of debt-financed investment-led growth with interest rate rules," Journal of Post Keynesian Economics, Taylor & Francis Journals, volume 39, issue 4, pages 593-624, October, DOI: 10.1080/01603477.2016.1155416.
- Dilem Yıldırım & Ethem Erdem Orman, 2016, "The Feldstein-Horioka Puzzle in the Presence of Structural Breaks: Evidence from China," ERC Working Papers, ERC - Economic Research Center, Middle East Technical University, number 1601, Jan, revised Jan 2016.
- Hasan Cömert & Oktar Türel, 2016, "Finansal Küreselleşme Sürecinde Türkiye’de Para Politikalarının Evrimi, 1980-2014," ERC Working Papers, ERC - Economic Research Center, Middle East Technical University, number 1613, Nov, revised Nov 2016.
- Krisztina Földényi Láhm & András Kómár & Antal Stréda & Róbert Szegedi, 2016, "Bank resolution as a new MNB function – resolution of MKB Bank," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 15, issue 3, pages 5-26.
- Jumpei Miwa, 2016, "Implications on the Systemic Relevance in the Japanese Insurance Industry," Public Policy Review, Policy Research Institute, Ministry of Finance Japan, volume 12, issue 2, pages 199-238, March.
- Ryozo Himino, 2016, "Japanese responses to asset price bubbles: comparison with the U.S," Public Policy Review, Policy Research Institute, Ministry of Finance Japan, volume 12, issue 2, pages 253-290, March.
- Pierre-Charles Pradier & Arnaud Chneiweiss, 2016, "The evolution of insurance regulation in the EU since 2005," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 16060, Sep.
- Pierre-Charles Pradier & Hamza El Khalloufi, 2016, "The Impact of regulatory capital regulation on balance sheet structure, intermediation cost and growth," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 16061, Sep.
- Dominique Guegan & Bertrand K. Hassani, 2016, "Combining risk measures to overcome their limitations - spectrum representation of the sub-additivity issue, distortion requirement and added-value of the Spatial VaR solution: An application to Regul," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 16066, Oct.
- Antonio Heras Martínez & David Teira & Pierre-Charles Pradier, 2016, "What was fair in actuarial fairness?," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 16073, Oct.
- Worapree Maneesoonthorn & Catherine S. Forbes & Gael M. Martin, 2016, "Inference on Self-Exciting Jumps in Prices and Volatility using High Frequency Measures," Monash Econometrics and Business Statistics Working Papers, Monash University, Department of Econometrics and Business Statistics, number 8/16.
- Jef Boeckx & Maite de Sola Perea & Gert Peersman, 2016, "The transmission mechanism of credit support policies in the Euro Area," Working Paper Research, National Bank of Belgium, number 302, Oct.
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- Anna Sznajderska, 2016, "Wpływ sposobu zarządzania płynnością, premii za ryzyko i oczekiwań na stopy rynku międzybankowego w Polsce," Bank i Kredyt, Narodowy Bank Polski, volume 47, issue 1, pages 61-90.
- Aleksandra Masłowska-Jokinen & Anna Matysek-Jędrych, 2016, "“One size does not fit all” – institutional determinantsof financial safety net effectiveness," NBP Working Papers, Narodowy Bank Polski, number 240.
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- Markus K. Brunnermeier & Luis Garicano & Philip Lane & Marco Pagano & Ricardo Reis & Tano Santos & David Thesmar & Stijn Van Nieuwerburgh & Dimitri Vayanos, 2016, "The Sovereign-Bank Diabolic Loop and ESBies," NBER Working Papers, National Bureau of Economic Research, Inc, number 21993, Feb.
- Gaetano Gaballo & Ramon Marimon, 2016, "Breaking the Spell with Credit-Easing: Self-Confirming Credit Crises in Competitive Search Economies," NBER Working Papers, National Bureau of Economic Research, Inc, number 22006, Feb.
- Gary Gorton & Guillermo Ordoñez, 2016, "Good Booms, Bad Booms," NBER Working Papers, National Bureau of Economic Research, Inc, number 22008, Feb.
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- Saki Bigio & Jennifer La’O, 2016, "Distortions in Production Networks," NBER Working Papers, National Bureau of Economic Research, Inc, number 22212, Apr.
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- Marco Di Maggio & Amir Kermani & Zhaogang Song, 2016, "The Value of Trading Relationships in Turbulent Times," NBER Working Papers, National Bureau of Economic Research, Inc, number 22332, Jun.
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- Viktor Dinev, 2016, "Bulgarian Exports In The Context Of Euro Area Debt Crisis," Entrepreneurship, Faculty of Economics, SOUTH-WEST UNIVERSITY "NEOFIT RILSKI", BLAGOEVGRAD, volume 4, issue 2, pages 268-286.
- Viktor Mihaylov Dinev, 2016, "The Application Of Bulgaria For The Euro Area In The Context Of The Debt Crisis," Economics and Management, Faculty of Economics, SOUTH-WEST UNIVERSITY "NEOFIT RILSKI", BLAGOEVGRAD, volume 12, issue 2, pages 142-154.
- Sergiu GARSTEA & Iulita BIRCA & Alexandru GRIBINCEA, 2016, "World Economy Post-Crysis Development," ECONOMY AND SOCIOLOGY: Theoretical and Scientifical Journal, Socionet;Complexul Editorial "INCE", issue 1, pages 36-42.
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- Tsvetelina Marinova, 2016, "Comparative Study on Monetary and Fiscal Policy in the Eurozone and Bulgaria," Economic Alternatives, University of National and World Economy, Sofia, Bulgaria, issue 3, pages 367-378, September.
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- Trenca Ioan & Zapodeanu Daniela & Cociuba Mihail Ioan, 2016, "The Relation Between Profitability, Capital Requirements And The Structure Of Assets-Liabilities In Banks," Annals of Faculty of Economics, University of Oradea, Faculty of Economics, volume 1, issue 2, pages 383-392, December.
- Trenca Ioan & Bozga Daniela & Cociuba Mihail Ioan & Zapodeanu Daniela, 2016, "The Necessity Of An Uniform Regulation For The Management Of Banking Risk At The European Level," Annals of Faculty of Economics, University of Oradea, Faculty of Economics, volume 1, issue 2, pages 393-401, December.
- Filip Bogdan Florin, 2016, "Determinants Of Economic Growth In Eu 28 Countries Before, During And After The Recent Crisis," Annals of Faculty of Economics, University of Oradea, Faculty of Economics, volume 1, issue 2, pages 76-86, December.
- Radu Alin Morutan & Daniel Badulescu, 2016, "State-Owned, Acquisition Or Greenfield Banks In The New Eu Member States. A Post-Crisis Analysis," Oradea Journal of Business and Economics, University of Oradea, Faculty of Economics, volume 1, issue 2, pages 62-71, September.
- Roman Horváth & Štefan Lyócsa & Eduard Baumöhl, 2016, "Stock Market Contagion in Central and Eastern Europe: Unexpected Volatility and Extreme Co-exceedance," Working Papers, Leibniz Institut für Ost- und Südosteuropaforschung (Leibniz Institute for East and Southeast European Studies), number 357, May.
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