Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2015
- Mélise Jaud & Youssouf Kiendrebeogo & Marie-Ange Véganzonès-Varoudakis, 2015, "Financial vulnerability and export dynamics," PSE-Ecole d'économie de Paris (Postprint), HAL, number hal-01889999.
- Michael Kumhof & Romain Rancière & Pablo Winant, 2015, "Inequality, Leverage, and Crises," PSE-Ecole d'économie de Paris (Postprint), HAL, number halshs-01207208, Mar, DOI: 10.1257/aer.20110683.
- Fabrizio Coricelli & Marco Frigerio,, 2015, "The Credit-Output Relationship During the Recovery from Recession," PSE-Ecole d'économie de Paris (Postprint), HAL, number halshs-01267259, DOI: 10.1007/s11079-015-9354-z.
- Giorgio Fagiolo & Sandrine Jacob Leal & Mauro Napoletano & Andrea Roventini, 2015, "Rock around the Clock: An Agent-Based Model of Low- and High-Frequency Trading," Sciences Po Economics Publications (main), HAL, number hal-03411703, Aug, DOI: 10.1007/s00191-015-0418-4.
- Lilit Popoyan & Mauro Napoletano & Andrea Roventini, 2015, "Taming macroeconomic instability: Monetary and macro prudential policy interactions in an agent-based model," Sciences Po Economics Publications (main), HAL, number hal-03459508, Dec.
- Alberto Cardaci & Francesco Saraceno, 2015, "Inequality, Financialisation and economic crises : an agent-based model," Sciences Po Economics Publications (main), HAL, number hal-03470036, Nov.
- Sylvain Benoît & Jean-Edouard Colliard & Christophe Hurlin & Christophe Pérignon, 2015, "Where the Risks Lie: A Survey on Systemic Risk," Working Papers, HAL, number hal-02011395, Mar.
- Lilit Popoyan & Mauro Napoletano & Andrea Roventini, 2015, "Taming macroeconomic instability: Monetary and macro prudential policy interactions in an agent-based model," Working Papers, HAL, number hal-03459508, Dec.
- Alberto Cardaci & Francesco Saraceno, 2015, "Inequality, Financialisation and economic crises : an agent-based model," Working Papers, HAL, number hal-03470036, Nov.
- Sylvain Benoît & Jean-Edouard Colliard & Christophe Hurlin & Christophe Pérignon, 2015, "Where the Risks Lie: A Survey on Systemic Risk," Working Papers, HAL, number halshs-01142014, Nov, DOI: 10.2139/ssrn.2577961.
- Mélise Jaud & Youssouf Kiendrebeogo & Marie-Ange Véganzonès-Varoudakis, 2015, "Financial Vulnerability and Export Dynamics," Working Papers, HAL, number halshs-01221423, Oct.
- Jensen, Lars, 2015, "The economic costs of higher capital and liquidity requirements: Impact on lending rate and GDP," Nationaløkonomisk tidsskrift, Nationaløkonomisk Forening, volume 2015, issue 1, pages 1-34.
- Byström, Hans, 2015, "Credit-Implied Forward Volatility and Volatility Expectations," Working Papers, Lund University, Department of Economics, number 2015:34, Sep.
- Alfranseder, Emanuel, 2015, "Does the financial crisis affect distressed or constrained firms more heavily?," Knut Wicksell Working Paper Series, Lund University, Knut Wicksell Centre for Financial Studies, number 2015/4, Apr.
- Forssbaeck, Jens & Xinxia Nielsen, Caren, 2015, "TARP and market discipline: Evidence on the moral hazardeffects of bank recapitalizations," Knut Wicksell Working Paper Series, Lund University, Knut Wicksell Centre for Financial Studies, number 2015/9, Oct.
- Nordvig, Jens, 2015, "Legal Risk Premia During the Euro-Crisis: The Role of Credit and Redenomination Risk," Discussion Papers on Economics, University of Southern Denmark, Department of Economics, number 10/2015, May.
- Welburn, Jonathan William & Hausken, Kjell, 2015, "A Game-Theoretic Model with Empirics of Economic Crises," UiS Working Papers in Economics and Finance, University of Stavanger, number 2015/7, Nov.
- 岩﨑, 一郎, 2015, "世界金融危機下ロシアの企業所有構造と経営監督体制--工業企業のパネルデータ分析--," Discussion Paper Series, Institute of Economic Research, Hitotsubashi University, number 624, Jul.
- Acharya, Viral V. & Imbierowicz, Björn & Steffen, Sascha & Teichmann, Daniel, 2015, "Does Lack of Financial Stability Impair the Transmission of Monetary Policy?," HIT-REFINED Working Paper Series, Institute of Economic Research, Hitotsubashi University, number 24, Jun.
- Iwasaki, Ichiro, 2015, "Global Financial Crisis, Ownership Change, and Corporate Governance Evolution: Firm-Level Evidence from Russia," RRC Working Paper Series, Russian Research Center, Institute of Economic Research, Hitotsubashi University, number 52, Jul.
- Simon Kwan & Eric T.C. Wong & Cho-hoi Hui, 2015, "The International Transmission of Shocks: Foreign Bank Branches in Hong Kong during Crises," Working Papers, Hong Kong Institute for Monetary Research, number 022015, Jan.
- Kellee Tsai, 2015, "The Rise of Shadow Banking in China: The Political Economy of Modern Chinese State Capitalism," HKUST IEMS Thought Leadership Brief Series, HKUST Institute for Emerging Market Studies, number 2015-10, Aug, revised Aug 2015.
- Gennaioli, Nicola & Shleifer, Andrei & Vishny, Robert, 2015, "Neglected Risks: The Psychology of Financial Crises," Scholarly Articles, Harvard University Department of Economics, number 33077926.
- Michele Bonollo & Irene Crimaldi & Andrea Flori & Fabio Pammolli & Massimo Riccaboni, 2015, "Systemic risk and banking regulation: some facts on the new regulatory framework," Working Papers, IMT School for Advanced Studies Lucca, number 1/2015, Jan, revised Jan 2015.
- Michele Bonollo & Irene Crimaldi & Andrea Flori & Laura Gianfagna & Fabio Pammolli, 2015, "Assessing financial distress dependencies in OTC markets: a new approach by Trade Repositories data," Working Papers, IMT School for Advanced Studies Lucca, number 10/2015, Oct, revised Oct 2015.
- Peter S. Eppinger & Nicole Meythaler & Marc-Manuel Sindlinger & Marcel Smolka, 2015, "The Great Trade Collapse and the Spanish Export Miracle: Firm-level Evidence from the Crisis," IAW Discussion Papers, Institut für Angewandte Wirtschaftsforschung (IAW), number 120, Apr.
- Jogiyanto Hartono & Dedhy Sulistiawan, 2015, "Performance Of Technical Analysis In Declining Global Markets," Global Journal of Business Research, The Institute for Business and Finance Research, volume 9, issue 2, pages 41-52.
- Sugeeth Patabendige & Chathuri Senarath, 2015, "Financial Liberalization: A Fourth Generation Thought," Global Journal of Business Research, The Institute for Business and Finance Research, volume 9, issue 3, pages 73-82.
- Glen Hansen, 2015, "Managerial Discretion Over Loan Loss Reserves during the Global Financial Crisis," The International Journal of Business and Finance Research, The Institute for Business and Finance Research, volume 9, issue 1, pages 51-61.
- Han-Ching Huang & Yong-Chern Su & Sheng-Jung Wu, 2015, "Bank Stock And Option Transmissions In Financial Crisis," The International Journal of Business and Finance Research, The Institute for Business and Finance Research, volume 9, issue 5, pages 17-23.
- Daniel Folkinshteyn & Gulser Meric & Ilhan Meric, 2015, "Investor Reaction In Stock Market Crashes And Post-Crash Market Reversals," The International Journal of Business and Finance Research, The Institute for Business and Finance Research, volume 9, issue 5, pages 57-70.
- Mario Rene Chan Magana & Fernando Jorge Gameros Camara & Juan Francisco Balam Mena, 2015, "Risk Analysis Of The Tourism Sector Companies In The South Of The State Of Yucatan, Analisis De Riesgo En Las Empresas Del Sector Turistico De La Zona Sur Del Estado De Yucatan," Revista Internacional Administracion & Finanzas, The Institute for Business and Finance Research, volume 8, issue 2, pages 37-53.
- Fernández Martín, Andrés, 2015, "Informal Employment and Business Cycles in Emerging Economies: The Case of Mexico," IDB Publications (Working Papers), Inter-American Development Bank, number 6780, Jan, DOI: http://dx.doi.org/10.18235/0011669.
- Murharsito, 2015, "The Effect of The Ownership and The Global Crisis on The Income Diversification of Indonesian Banks," Bulletin of Monetary Economics and Banking, Bank Indonesia, volume 17, issue 3, pages 340-356, January, DOI: https://doi.org/10.21098/bemp.v17i3.
- Arlyana Abubakar & Rieska Indah Astuti & Rini Oktapiani, 2015, "Selecting Early Warning Indicator To Identify Corporate Sector Distress: Efforts To Strengthen Crisis Prevention," Working Papers, Bank Indonesia, number WP/7/2015, Dec.
- Ahmed El Ghini & Youssef Saidi, 2015, "Financial market contagion during the global financial crisis: evidence from the Moroccan stock market," International Journal of Financial Markets and Derivatives, Inderscience Enterprises Ltd, volume 4, issue 1, pages 78-95.
- K. Batu TUNAY, 2015, "Tek Değişkenli Filtrelerle Türkiye İçin Kredi Açığı Tahmini ve Kestirimi," Iktisat Isletme ve Finans, Bilgesel Yayincilik, volume 30, issue 354, pages 29-56.
- Warren B. Hrunga & Jason S. Seligman, 2015, "Responses to the Financial Crisis, Treasury Debt, and the Impact on Short-Term Money Markets," International Journal of Central Banking, International Journal of Central Banking, volume 11, issue 1, pages 151-190, January.
- Laurent Clerc & Alexis Derviz & Caterina Mendicino & Stephane Moyen & Kalin Nikolov & Livio Stracca & Javier Suarez & Alexandros P. Vardoulakis, 2015, "Capital Regulation in a Macroeconomic Model with Three Layers of Default," International Journal of Central Banking, International Journal of Central Banking, volume 11, issue 3, pages 9-63, June.
- Diane Pierret, 2015, "Systemic Risk and the Solvency-Liquidity Nexus of Banks," International Journal of Central Banking, International Journal of Central Banking, volume 11, issue 3, pages 193-227, June.
- Andrew G. Haldane, 2015, "Multi-Polar Regulation," International Journal of Central Banking, International Journal of Central Banking, volume 11, issue 3, pages 385-401, June.
- Frank J. Fabozzi & Rosella Giacometti & Naoshi Tsuchida, 2015, "The ICA-based Factor Decomposition of the Eurozone Sovereign CDS Spreads," IMES Discussion Paper Series, Institute for Monetary and Economic Studies, Bank of Japan, number 15-E-04, Jun.
- Azusa Takeyama & Naoshi Tsuchida, 2015, "The Interaction between Funding Liquidity and Market Liquidity: Evidence from Subprime and European Crises," IMES Discussion Paper Series, Institute for Monetary and Economic Studies, Bank of Japan, number 15-E-14, Sep.
- Mrs. Nina Budina & Mr. Borja Gracia & Xingwei Hu & Mr. Sergejs Saksonovs, 2015, "Recognizing the Bias: Financial Cycles and Fiscal Policy," IMF Working Papers, International Monetary Fund, number 2015/246, Nov.
- Mr. Itai Agur & Ms. Maria Demertzis, 2015, "Will Macroprudential Policy Counteract Monetary Policy’s Effects on Financial Stability?," IMF Working Papers, International Monetary Fund, number 2015/283, Dec.
- Gheorghe ZAMAN & George GEORGESCU, 2015, "Regional aspects of economic resilience in Romania, during the post-accession period," Romanian Journal of Economics, Institute of National Economy, volume 40, issue 1(49), pages 5-32, june.
- Sumit Agarwal & Itzhak Ben-David & Vincent Yao, 2015, "Collateral Valuation and Borrower Financial Constraints: Evidence from the Residential Real Estate Market," Management Science, INFORMS, volume 61, issue 9, pages 2220-2240, September, DOI: 10.1287/mnsc.2014.2002.
- Jose Fique, 2015, "A Microfounded Design of Interconnectedness-Based Macroprudential Regulation," CAEPR Working Papers, Center for Applied Economics and Policy Research, Department of Economics, Indiana University Bloomington, number 2015-008, Apr.
- Marta Gómez-Puig & Simón Sosvilla-Rivero & Manish K. Singh, 2015, "“Sovereigns and banks in the euro area: a tale of two crises”," IREA Working Papers, University of Barcelona, Research Institute of Applied Economics, number 201504, Jan, revised Jan 2015.
- Manish K. Singh & Marta Gómez-Puig & Simón Sosvilla-Rivero, 2015, "“Bank risk behavior and connectedness in EMU countries”," IREA Working Papers, University of Barcelona, Research Institute of Applied Economics, number 201517, Jun, revised Jun 2015.
- Boyle, Glenn & Stover, Roger & Tiwana, Amrit & Zhylyevskyy, Oleksandr, 2015, "The Impact of Deposit Insurance on Depositor Behavior During a Crisis: A Conjoint Analysis Approach," Staff General Research Papers Archive, Iowa State University, Department of Economics, number 38656, Mar, DOI: 10.1016/j.jfi.2015.02.001.
- Boyle, Glenn & Stover, Roger D. & Tiwana, Amrit & Zhylyevskyy, Oleksandr, 2015, "The impact of deposit insurance on depositor behavior during a crisis: A conjoint analysis approach," ISU General Staff Papers, Iowa State University, Department of Economics, number 201501010800001042, Jan.
- Goolsbee, Austan D. & Krueger, Alan B., 2015, "A Retrospective Look at Rescuing and Restructuring General Motors and Chrysler," IZA Discussion Papers, Institute of Labor Economics (IZA), number 8888, Feb.
- Blázquez Cuesta, Maite & Budría, Santiago, 2015, "The Effects of Over-Indebtedness on Individual Health," IZA Discussion Papers, Institute of Labor Economics (IZA), number 8912, Mar.
- Andrea Teglio & Andrea Mazzocchetti & Linda Ponta & Marco Raberto & Silvano Cincotti, 2015, "Budgetary rigour with stimulus in lean times: Policy advices from an agent-based model," Working Papers, Economics Department, Universitat Jaume I, Castellón (Spain), number 2015/07.
- Simone Berardi & Gabriele Tedeschi, 2015, "From banks’ strategies to financial (in)stability," Working Papers, Economics Department, Universitat Jaume I, Castellón (Spain), number 2015/11.
- Paula-Elena DIACON, 2015, "Some Psychological Causes Of The Financial Crisis," CES Working Papers, Centre for European Studies, Alexandru Ioan Cuza University, volume 7, issue 2, pages 276-287, August.
- Sinziana BALTATESCU, 2015, "Behavioral Inputs To The Theoretical Approach Of The Economic Crisis," CES Working Papers, Centre for European Studies, Alexandru Ioan Cuza University, volume 7, issue 2a, pages 387-394, September.
- Tudor Gherasim SMIRNA, 2015, "The Failure Of The First Romanian Central Bank: Bad Design, Bad Luck, Or Both?," CES Working Papers, Centre for European Studies, Alexandru Ioan Cuza University, volume 7, issue 2a, pages 627-636, September.
- Aurica DVORACIC, 2015, "The Quality Of Cultural Services In The Global Economic Crisis Context," CES Working Papers, Centre for European Studies, Alexandru Ioan Cuza University, volume 7, issue 3, pages 688-699, September.
- Roberto Piazza, 2015, "Financial innovation and risk: the role of information," Annals of Finance, Springer, volume 11, issue 3, pages 477-502, November, DOI: 10.1007/s10436-015-0267-z.
- Mayia Samuilik, 2015, "Link between the Exchange Rate Regime and Banking, Currency and Debt Crises Occurrence," Atlantic Economic Journal, Springer;International Atlantic Economic Society, volume 43, issue 2, pages 301-302, June, DOI: 10.1007/s11293-015-9460-8.
- Niyati Bhanja & Arif Dar, 2015, "“The beauty of gold is, it loves bad news”: evidence from three major gold consumers," Economic Change and Restructuring, Springer, volume 48, issue 3, pages 187-208, November, DOI: 10.1007/s10644-015-9160-z.
- Jürgen Antony & D. Broer, 2015, "Euro area financial shocks and economic activity in The Netherlands," Empirica, Springer;Austrian Institute for Economic Research;Austrian Economic Association, volume 42, issue 3, pages 571-595, August, DOI: 10.1007/s10663-014-9265-z.
- Jochen Papenbrock & Peter Schwendner, 2015, "Handling risk-on/risk-off dynamics with correlation regimes and correlation networks," Financial Markets and Portfolio Management, Springer;Swiss Society for Financial Market Research, volume 29, issue 2, pages 125-147, May, DOI: 10.1007/s11408-015-0248-2.
- Petra Gerlach-Kristen, 2015, "The impact of ECB crisis measures on euro-area CDS spreads," Financial Markets and Portfolio Management, Springer;Swiss Society for Financial Market Research, volume 29, issue 2, pages 149-168, May, DOI: 10.1007/s11408-015-0249-1.
- Caterina Liberati & Massimiliano Marzo & Paolo Zagaglia & Paola Zappa, 2015, "Drivers of demand and supply in the Euro interbank market: the role of “Key Players” during the recent turmoil," Financial Markets and Portfolio Management, Springer;Swiss Society for Financial Market Research, volume 29, issue 3, pages 207-250, August, DOI: 10.1007/s11408-015-0251-7.
- Ajay Palvia & Emilia Vähämaa & Sami Vähämaa, 2015, "Are Female CEOs and Chairwomen More Conservative and Risk Averse? Evidence from the Banking Industry During the Financial Crisis," Journal of Business Ethics, Springer, volume 131, issue 3, pages 577-594, October, DOI: 10.1007/s10551-014-2288-3.
- Pierluigi Bologna, 2015, "Structural Funding and Bank Failures," Journal of Financial Services Research, Springer;Western Finance Association, volume 47, issue 1, pages 81-113, February, DOI: 10.1007/s10693-013-0180-4.
- David-Jan Jansen & Robert Mosch & Carin Cruijsen, 2015, "When Does the General Public Lose Trust in Banks?," Journal of Financial Services Research, Springer;Western Finance Association, volume 48, issue 2, pages 127-141, October, DOI: 10.1007/s10693-014-0201-y.
- Claudia Curi & Ana Lozano-Vivas, 2015, "Financial center productivity and innovation prior to and during the financial crisis," Journal of Productivity Analysis, Springer, volume 43, issue 3, pages 351-365, June, DOI: 10.1007/s11123-015-0434-2.
- David Downs & Lan Shi, 2015, "The Impact of Reversing Regulatory Arbitrage on Loan Originations: Evidence from Bank Holding Companies," The Journal of Real Estate Finance and Economics, Springer, volume 50, issue 3, pages 307-338, April, DOI: 10.1007/s11146-014-9468-x.
- Emanuela Giacomini & David Ling & Andy Naranjo, 2015, "Leverage and Returns: A Cross-Country Analysis of Public Real Estate Markets," The Journal of Real Estate Finance and Economics, Springer, volume 51, issue 2, pages 125-159, August, DOI: 10.1007/s11146-014-9489-5.
- Adrian Babin, 2015, "Home-Host Banking Issues and Non-Core Funding—Evidence from Central and Eastern Europe," Open Economies Review, Springer, volume 26, issue 3, pages 447-477, July, DOI: 10.1007/s11079-015-9357-9.
- Fabrizio Coricelli & Marco Frigerio, 2015, "The Credit-Output Relationship During the Recovery from Recession," Open Economies Review, Springer, volume 26, issue 3, pages 551-579, July, DOI: 10.1007/s11079-015-9354-z.
- Ben O’Neill, 2015, "Some statistical aspects of precautionary reserves in banking," The Review of Austrian Economics, Springer;Society for the Development of Austrian Economics, volume 28, issue 2, pages 179-193, June, DOI: 10.1007/s11138-014-0264-x.
- Christian Meine & Hendrik Supper & Gregor Weiß, 2015, "Do CDS spreads move with commonality in liquidity?," Review of Derivatives Research, Springer, volume 18, issue 3, pages 225-261, October, DOI: 10.1007/s11147-015-9110-y.
- Lin Guo & Abu Jalal & Shahriar Khaksari, 2015, "Bank executive compensation structure, risk taking and the financial crisis," Review of Quantitative Finance and Accounting, Springer, volume 45, issue 3, pages 609-639, October, DOI: 10.1007/s11156-014-0449-1.
- Emilia-Ancuta Corovei, 2015, "Real Output Costs of Financial Crisis on CEE Countries," Knowledge Horizons - Economics, Faculty of Finance, Banking and Accountancy Bucharest,"Dimitrie Cantemir" Christian University Bucharest, volume 7, issue 1, pages 80-84, March.
- Liliana Aurora Constantinescu, 2015, "Challenges for Deposit Insurance and Financial Stability in European Cooperative Banks," Knowledge Horizons - Economics, Faculty of Finance, Banking and Accountancy Bucharest,"Dimitrie Cantemir" Christian University Bucharest, volume 7, issue 3, pages 43-46, September.
- Miwa Nakai & Keiko Yamaguchi & Kenji Takeuchi, 2015, "Can SRI Funds Better Resist Global Financial Crisis? Evidence from Japan," Discussion Papers, Graduate School of Economics, Kobe University, number 1530, Sep.
- Leroi RAPUTSOANE, 2015, "The lean versus clean debate and monetary policy in South Africa," Journal of Economics and Political Economy, KSP Journals, volume 2, issue 4, pages 467-480, December.
- Emine Ebru AKSOY & Erginbay UÐURLU, 2015, "How did the 2007-2008 Financial Crisis Influence Turkish Firms," Journal of Economics and Political Economy, KSP Journals, volume 2, issue 4, pages 494-506, December.
- John Magnus ROOS, 2015, "Private Consumption in Sweden and Finland Before, During and After the Global Financial Crisis," Journal of Economics Library, KSP Journals, volume 2, issue 4, pages 321-328, December.
- Ichiro Iwasaki, 2015, "Global Financial Crisis, Ownership Change, and Corporate Governance Evolution Firm-Level Evidence from Russia," KIER Working Papers, Kyoto University, Institute of Economic Research, number 925, Jul.
- Heather D. Gibson & Stephen G. Hall, & George S. Tavlas, 2015, "How the Euro-Area Sovereign-Debt Crisis Led to a Collapse in Bank Equity Prices," Discussion Papers in Economics, Division of Economics, School of Business, University of Leicester, number 15/13, Jul.
- Heather D. Gibson & Stephen G. Hall & George S. Tavlas, 2015, "The Effectiveness of the ECB’s Asset Purchase Programs of 2009 to 2012," Discussion Papers in Economics, Division of Economics, School of Business, University of Leicester, number 15/24, Nov.
- Heather D. Gibson & Stephen G. Hall & George S. Tavlas, 2015, "How the Euro-Area Sovereign-Debt Crisis Led to a Collapse in Bank Equity Prices," Discussion Papers in Economics, Division of Economics, School of Business, University of Leicester, number 15/25, Nov.
- Riccardo Realfonzo & Angelantonio Viscione, 2015, "The Effects of a Euro Exit on Growth, Employment, and Wages," Economics Working Paper Archive, Levy Economics Institute, number wp_840, Jul.
- Reinhart, Carmen M. & Trebesch, Christoph, 2015, "The Pitfalls of External Dependence: Greece, 1829-2015," Discussion Papers in Economics, University of Munich, Department of Economics, number 26562, Oct.
- Reinhart, Carmen M. & Trebesch, Christoph, 2015, "The International Monetary Fund: 70 Years of Reinvention," Discussion Papers in Economics, University of Munich, Department of Economics, number 26564, Dec.
- Md. Al Mamun & Md. Abu Syeed & Farida Yasmeen, 2015, "Are investors rational, irrational or normal?," Journal of Economic and Financial Studies (JEFS), LAR Center Press, volume 3, issue 4, pages 1-15, August.
- Belke Ansgar & Kronen Dominik & Osowski Thomas, 2015, "Planned Fiscal Consolidations and Growth Forecast Errors – New Panel Evidence on Fiscal Multipliers," Review of Economics, De Gruyter, volume 66, issue 1, pages 47-70, April, DOI: 10.1515/roe-2015-0104.
- Thomas Flavin & Lisa Sheenan, 2015, "The role of U.S. subprime mortgage-backed assets in propagating the crisis:contagion or interdependence?," Economics Department Working Paper Series, Department of Economics, National University of Ireland - Maynooth, number n260-15.pdf.
- Kirsten Thompson & Reneé van Eyden & Rangan Gupta, 2015, "Testing the Out-of-Sample Forecasting Ability of a Financial Conditions Index for South Africa," Emerging Markets Finance and Trade, Taylor & Francis Journals, volume 51, issue 3, pages 486-501, May, DOI: 10.1080/1540496X.2015.1025664.
- Jaanika Meriküll, 2015, "Household Borrowing During a Creditless Recovery," Emerging Markets Finance and Trade, Taylor & Francis Journals, volume 51, issue 5, pages 1051-1068, September, DOI: 10.1080/1540496X.2015.1048154.
- Ahmet Benlialper & Hasan Cömert, 2015, "Global Constraints on Central Banking: The Case of Turkey," ERC Working Papers, ERC - Economic Research Center, Middle East Technical University, number 1512, Dec, revised Dec 2015.
- Fabio Bagliano & Claudio Morana, 2015, "It ain't over till it's over: A global perspective on the Great Moderation-Great Recession interconnection," Working Papers, University of Milano-Bicocca, Department of Economics, number 303, Jul, revised Jul 2015.
- Claudio, Morana, 2015, "The US$/€ exchange rate: Structural modeling and forecasting during the recent financial crises," Working Papers, University of Milano-Bicocca, Department of Economics, number 321, Dec, revised 28 Dec 2015.
- Ron Alquist & Rahul Mukherjee & Linda L. Tesar, 2015, "Fire-Sale FDI or Business as Usual?," Working Papers, Research Seminar in International Economics, University of Michigan, number 645, Jun.
- Alberto CARDACI & Francesco SARACENO, 2015, "Inequality, Financialisation and Economic Crises: An Agent-Based Macro Model," Departmental Working Papers, Department of Economics, Management and Quantitative Methods at Università degli Studi di Milano, number 2015-21, Dec.
- Dániel Horváth & Róbert Szini, 2015, "The safety trap – the financial market and macroeconomic consequences of the scarcity of safe assets," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 14, issue 1, pages 111-138.
- András Bethlendi, 2015, "Bad product development results in systemic market failure – Foreign currency mortgage loans to Hungarian households," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 14, issue 1, pages 5-30.
- Ádám Banai & András Kollarik & András Szabó-Solticzky, 2015, "Topology of the foreign currency/forint swap market," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 14, issue 2, pages 28-157.
- Orsolya Csortos & Zoltan Szalai, 2015, "Difficulties in them management of the global financial crisis: academic and economic policy lessons," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 14, issue 3, pages 5-38.
- Hidasi Balázs & Papp István, 2015, "A japán bankrendszer átalakulásának fõbb állomásai," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 14, issue 5, pages 116-132.
- Kicsák Gergely & Ligeti Imre & Sulyok András, 2015, "Az ukrán bankrendszer evolúciója és felépítése," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 14, issue 5, pages 231-245.
- Horváth Dániel & Pintér Cecília & Tóth Tamás, 2015, "A bolgár bankrendszer története a rendszerváltás óta elmúlt 20 évének története," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 14, issue 5, pages 45-57.
- Kálmán Péter & Monoki Péter & Vágó Nikolett, 2015, "A chilei bankrendszer elemzése," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 14, issue 5, pages 58-71.
- Chiara Pederzoli & Costanza Torricelli, 2015, "Systemic risk measures and macroprudential stress tests. An assessment over the 2014 EBA exercise," Centro Studi di Banca e Finanza (CEFIN) (Center for Studies in Banking and Finance), Universita di Modena e Reggio Emilia, Dipartimento di Economia "Marco Biagi", number 0054, Jul.
- Yeon-Koo Che & Chongwoo Choe & Keeyoung Rhee, 2015, "Bailout Stigma," Monash Economics Working Papers, Monash University, Department of Economics, number 26-15, Apr.
- Peter Martey Addo, 2015, "Insights to the European debt crisis using recurrence quantification and network analysis," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 15035, Apr.
- Antoine Kornprobst & Raphael Douady, 2015, "A Practical Approach to Financial Crisis Indicators Based on Random Matrices," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 15049, Jun.
- Peter Martey Addo, 2015, "Coupling direction of the European Banking and Insurance sectors using inter-system recurrence networks," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 15051, Jun.
- Pierre Pessarossi & Frédéric Vinas, 2015, "The supply of long-term credit after a funding shock: evidence from 2007-2009," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 15073, Sep.
- Biqing Cai & Jiti Gao & Dag Tjostheim, 2015, "A New Class of Bivariate Threshold Cointegration Models," Monash Econometrics and Business Statistics Working Papers, Monash University, Department of Econometrics and Business Statistics, number 1/15.
- Ignacio Perrotini Hernández, 2015, "La reserva federal, la crisis y la política monetaria no convencional," Contaduría y Administración, Accounting and Management, volume 60, issue 6, pages 250-271, Octubre-D.
- Łukasz Gątarek & Marcin Wojtowicz, 2015, "The relation between sovereign credit default swap premium and banking sector risk in Poland," NBP Working Papers, Narodowy Bank Polski, number 222.
- Richard Clarida & Jeffrey Frankel & Francesco Giavazzi & Hélène Rey, 2015, "NBER International Seminar on Macroeconomics 2014," NBER Books, National Bureau of Economic Research, Inc, number clar14-1, September.
- Manuel Adelino & Antoinette Schoar & Felipe Severino, 2015, "Loan Originations and Defaults in the Mortgage Crisis: The Role of the Middle Class," NBER Working Papers, National Bureau of Economic Research, Inc, number 20848, Jan.
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