Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2015
- Emine Ebru AKSOY & Erginbay U URLU, 2015, "How did the 2007-2008 Financial Crisis Influence Turkish Firms," Journal of Economics and Political Economy, EconSciences 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, EconSciences Journals, volume 2, issue 4, pages 321-328, December.
- Sergio Masciantonio, 2015, "Identifying and Tracking Global, EU, and Eurozone Systemically Important Banks with Public Data," Applied Economics Quarterly (formerly: Konjunkturpolitik), Duncker & Humblot GmbH, Berlin, volume 61, issue 1, pages 25-64, DOI: 10.3790/aeq.61.1.25.
- Gourieroux, Christian (ed.), 2015, "Analyse et mesure du risque systémique," Economics Thesis from University Paris Dauphine, Paris Dauphine University, number 123456789/14985.
- Platon Yvantopoulos & John Yvantopoulos, 2015, "The Greek Tragedy in the Health Sector: Social and Health Implications," Vierteljahrshefte zur Wirtschaftsforschung / Quarterly Journal of Economic Research, DIW Berlin, German Institute for Economic Research, volume 84, issue 3, pages 165-182, DOI: 10.3790/vjh.84.3.165.
- Nadja Dwenger & Frank M. Fossen & Martin Simmler, 2015, "Bankkredite wichtig für Unternehmensinvestitionen," DIW Wochenbericht, DIW Berlin, German Institute for Economic Research, volume 82, issue 40, pages 899-903.
- Dieter Schumacher, 2015, "Internationale Verflechtung der Finanzmärkte: ein Versuch zur Quantifizierung des Dominoeffekts in Anlehnung an die Input-Output-Analyse," Discussion Papers of DIW Berlin, DIW Berlin, German Institute for Economic Research, number 1478.
- Nadja Dwenger & Frank M. Fossen & Martin Simmler, 2015, "From Financial to Real Economic Crisis: Evidence from Individual Firm-Bank Relationships in Germany," Discussion Papers of DIW Berlin, DIW Berlin, German Institute for Economic Research, number 1510.
- Charles Yuji Horioka & Akiko Terada-Hagiwara & Takaaki Nomoto, 2015, "Explaining Foreign Holdings of Asia's Debt Securities: The Feldstein-Horioka Paradox Revisited," ISER Discussion Paper, Institute of Social and Economic Research, The University of Osaka, number 0950, Nov.
- METAXAS, Theodore & TROMPATZI, Georgia, 2015, "From The Bank Panic Of 1907 To The Great Depression Of 1929 And The Savings And Loan Crisis Of The 1980s: Comparative Analysis And Lessons For The Future," Applied Econometrics and International Development, Euro-American Association of Economic Development, volume 15, issue 1, pages 79-96.
- Colliard , Jean-Edouard & Perignon , Christophe, 2015, "Where the Risks Lie: A Survey on Systemic Risk," HEC Research Papers Series, HEC Paris, number 1088, Apr.
- Thesmar, David & Ors, Evren & Derrien, Francois & Boissel, Charles, 2015, "Systemic Risk in Clearing Houses: Evidence from the European Repo Market," HEC Research Papers Series, HEC Paris, number 1112, Jul.
- Sarlin, Peter & Laina, Patrizio & Nyholm, Juho, 2015, "Leading indicators of systemic banking crises: Finland in a panel of EU countries," Working Paper Series, European Central Bank, number 1758, Feb.
- Schudel, Willem, 2015, "Shifting horizons: assessing macro trends before, during, and following systemic banking crises," Working Paper Series, European Central Bank, number 1766, Mar.
- Sarlin, Peter, 2015, "Macroprudential oversight, risk communication and visualization," Working Paper Series, European Central Bank, number 1768, Mar.
- Sarlin, Peter & Ramsay, Bruce A., 2015, "Ending over-lending: assessing systemic risk with debt to cash flow," Working Paper Series, European Central Bank, number 1769, Mar.
- Parlatore, Cecilia, 2015, "Fragility in money marketfunds: sponsor support and regulation," Working Paper Series, European Central Bank, number 1772, Mar.
- Falagiarda, Matteo & Gregori, Wildmer Daniel, 2015, "The impact of fiscal policy announcements by the Italian government on the sovereign spread: a comparative analysis," Working Paper Series, European Central Bank, number 1782, Apr.
- Hartmann, Philipp, 2015, "Real estate markets and macroprudential policy in Europe," Working Paper Series, European Central Bank, number 1796, May.
- Jokivuolle, Esa & Tölö, Eero & Virén, Matti, 2015, "Do banks’ overnight borrowing rates lead their CDS Price? Evidence from the Eurosystem," Working Paper Series, European Central Bank, number 1809, Jun.
- Šmídková, Kateřina & Joy, Mark & Rusnák, Marek & Vašíček, Bořek, 2015, "Banking and currency crises: differential diagnostics for developed countries," Working Paper Series, European Central Bank, number 1810, Jun.
- Heinz, Frigyes Ferdinand & Rusinova, Desislava, 2015, "An alternative view of exchange market pressure episodes in emerging Europe: an analysis using Extreme Value Theory (EVT)," Working Paper Series, European Central Bank, number 1818, Jun.
- Popov, Alexander & Rocholl, Jörg, 2015, "Financing constraints, employment, and labor compensation: evidence from the subprime mortgage crisis," Working Paper Series, European Central Bank, number 1821, Jun.
- Nikolov, Kalin & Stracca, Livio & Derviz, Alexis & Mendicino, Caterina & Moyen, Stéphane & Clerc, Laurent & Suarez, Javier & Vardoulakis, Alexandros P., 2015, "Capital regulation in a macroeconomic model with three layers of default," Working Paper Series, European Central Bank, number 1827, Jul.
- Malherbe, Frederic, 2015, "Optimal capital requirements over the business and financial cycles," Working Paper Series, European Central Bank, number 1830, Jul.
- Ferrando, Annalisa & Mulier, Klaas, 2015, "The real effects of credit constraints: evidence from discouraged borrowers in the euro area," Working Paper Series, European Central Bank, number 1842, Aug.
- Maurin, Laurent & Galiay, Artus, 2015, "Drivers of banks' cost of debt and long-term benefits of regulation - an empirical analysis based on EU banks," Working Paper Series, European Central Bank, number 1849, Sep.
- Holton, Sarah & d’Acri, Costanza Rodriguez, 2015, "Jagged cliffs and stumbling blocks: interest rate pass-through fragmentation during the Euro area crisis," Working Paper Series, European Central Bank, number 1850, Sep.
- Vermeulen, Philip & Buca, Andra, 2015, "Corporate investment and bank-dependent borrowers during the recent financial crisis," Working Paper Series, European Central Bank, number 1859, Oct.
- Peltonen, Tuomas A. & Klaus, Benjamin & Duprey, Thibaut, 2015, "Dating systemic financial stress episodes in the EU countries," Working Paper Series, European Central Bank, number 1873, Dec.
- Reinhart, Carmen M. & Trebesch, Christoph, 2015, "The Pitfalls of External Dependence: Greece, 1829-2015," Working Paper Series, Harvard University, John F. Kennedy School of Government, number 15-065, Oct.
- Reinhart, Carmen & Trebesch, Christoph, 2015, "The International Monetary Fund: 70 Years of Reinvention," Working Paper Series, Harvard University, John F. Kennedy School of Government, number 15-077, Dec.
- Reinhart, Carmen M., 2015, "The Antecedents and Aftermath of Financial Crises as Told by Carlos F. Diaz Alejandro," Working Paper Series, Harvard University, John F. Kennedy School of Government, number rwp15-035, Jul.
- Ben-David, Itzhak & Franzoni, Francesco A. & Moussawi, Rabih & Sedunov, John, III, 2015, "The Granular Nature of Large Institutional Investors," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2015-09, Jun.
- Chernenko, Sergey, 2015, "The Dark Side of Specialization: Evidence from Risk Taking by CDO Collateral Managers," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2015-12, Jul.
- Almanidis, Pavlos & Sickles, Robin C., 2015, "Banking Crises, Early Warning Models, and Efficiency," Working Papers, Rice University, Department of Economics, number 15-006, Jun.
- Gulbahar UCLER & Hale KIRMIZIOGLU, 2015, "The Reasons of Eurozone Sovereign Debt Crisis and an Empirical Analysis over Permanency of the Crisis," International Journal of Economics and Financial Issues, Econjournals, volume 5, issue 1, pages 86-96.
- Chung-Fu Lai & Shan-Kai Tsa, 2015, "Diversified Currency Holdings and Exchange Rate Dynamics," International Journal of Economics and Financial Issues, Econjournals, volume 5, issue 3, pages 678-689.
- Brooke Alexandra Maeda, 2015, "Flight to Liquidity on the Tokyo Stock Exchange during the 2008 Share Market Crashes," International Journal of Economics and Financial Issues, Econjournals, volume 5, issue 3, pages 790-801.
- Bedendo, Mascia & Colla, Paolo, 2015, "Sovereign and corporate credit risk: Evidence from the Eurozone," Journal of Corporate Finance, Elsevier, volume 33, issue C, pages 34-52, DOI: 10.1016/j.jcorpfin.2015.04.006.
- Jakša Krišto & Alen Stojanović & Hrvoje Filipović, 2015, "Systemic risk of UCITS investment funds and financial market stability tested using MRS model," EFZG Working Papers Series, Faculty of Economics and Business, University of Zagreb, number 1508, Oct.
- Dominik Vuletić, 2015, "Next Global Crisis: Greatest Recession in the History of Capitalism is at the Doorstep," EFZG Working Papers Series, Faculty of Economics and Business, University of Zagreb, number 1509, Oct.
- Laine, Tatu (ed.), 2015, "Quantitative analysis of financial market infrastructures: further perspectives on financial stability," Bank of Finland Scientific Monographs, Bank of Finland, number sm2015_050, December.
- Bonin, John P. & Louie, Dana, 2015, "Did foreign banks "cut and run" or stay committed to Emerging Europe during the crises?," BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT), number 31/2015.
- Hasan, Iftekhar & Massoud, Nadia & Saunders, Anthony & Song, Keke, 2015, "Which financial stocks did short sellers target in the subprime crisis?," Bank of Finland Research Discussion Papers, Bank of Finland, number 3/2015.
- Jokivuolle, Esa & Keppo, Jussi & Yuan, Xuchuan, 2015, "Bonus caps, deferrals and bankers' risk-taking," Bank of Finland Research Discussion Papers, Bank of Finland, number 5/2015.
- Holopainen, Markus & Sarlin, Peter, 2015, "Toward robust early-warning models: A horse race, ensembles and model uncertainty," Bank of Finland Research Discussion Papers, Bank of Finland, number 6/2015.
- Huotari, Jarkko, 2015, "Measuring financial stress – A country specific stress index for Finland," Bank of Finland Research Discussion Papers, Bank of Finland, number 7/2015.
- Kalatie, Simo & Laakkonen, Helinä & Tölö, Eero, 2015, "Indicators used in setting the countercyclical capital buffer," Bank of Finland Research Discussion Papers, Bank of Finland, number 8/2015.
- Ambrocio, Gene, 2015, "Rational exuberance booms and asymmetric business cycles," Bank of Finland Research Discussion Papers, Bank of Finland, number 24/2015.
- Metiu, Norbert & Hilberg, Björn & Grill, Michael, 2015, "Financial frictions and global spillovers," Discussion Papers, Deutsche Bundesbank, number 04/2015.
- Abbassi, Puriya & Iyer, Rajkamal & Peydró, José-Luis & Tous, Francesc R., 2015, "Securities trading by banks and credit supply: Micro-evidence," Discussion Papers, Deutsche Bundesbank, number 08/2015.
- Ongena, Steven & Tümer-Alkan, Günseli & von Westernhagen, Natalja, 2015, "Do exposures to sagging real estate, subprime or conduits abroad lead to contraction and flight to quality in bank lending at home?," Discussion Papers, Deutsche Bundesbank, number 09/2015.
- Abbassi, Puriya & Fecht, Falko & Tischer, Johannes, 2015, "The intraday interest rate: What's that?," Discussion Papers, Deutsche Bundesbank, number 24/2015.
- Fink, Kilian & Krüger, Ulrich & Meller, Barbara & Wong, Lui-Hsian, 2015, "The credit quality channel: Modeling contagion in the interbank market," Discussion Papers, Deutsche Bundesbank, number 38/2015.
- Efing, Matthias, 2015, "Arbitraging the Basel securitization framework: Evidence from German ABS investment," Discussion Papers, Deutsche Bundesbank, number 40/2015.
- Bednarek, Peter & Dinger, Valeriya & von Westernhagen, Natalja, 2015, "Fundamentals matter: Idiosyncratic shocks and interbank relations," Discussion Papers, Deutsche Bundesbank, number 44/2015.
- Jannsen, Nils & Potjagailo, Galina & Wolters, Maik H., 2015, "Monetary policy during financial crises: Is the transmission mechanism impaired?," Economics Working Papers, Christian-Albrechts-University of Kiel, Department of Economics, number 2015-04.
- Krug, Sebastian, 2015, "The interaction between monetary and macroprudential policy: Should central banks "lean against the wind" to foster macrofinancial stability?," Economics Working Papers, Christian-Albrechts-University of Kiel, Department of Economics, number 2015-08.
- Nippel, Peter, 2015, "Eine finanzwirtschaftliche Analyse der Risikovorsorge für erwartete Verluste im Kreditgeschäft," Manuskripte aus den Instituten für Betriebswirtschaftslehre der Universität Kiel, Christian-Albrechts-Universität zu Kiel, Institut für Betriebswirtschaftslehre, number 659.
- Achury, Carolina & Koulovatianos, Christos & Tsoukalas, John, 2015, "Political economics of external sovereign defaults," CFS Working Paper Series, Center for Financial Studies (CFS), number 508, DOI: 10.2139/ssrn.2631418.
- Kräussl, Roman & Lehnert, Thorsten & Senulyte, Sigita, 2015, "Euro crash risk," CFS Working Paper Series, Center for Financial Studies (CFS), number 524.
- Ongena, Steven & Peydró, José-Luis & Horen, Neeltje van, 2015, "Shocks Abroad, Pain at Home? Bank-Firm Level Evidence on the International Transmission of Financial Shocks," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, volume 63, issue 4, pages 698-750.
- Ciccarelli, Matteo & Maddaloni, Angela & Peydró, José-Luis, 2015, "Trusting the bankers: A new look at the credit channel of monetary policy," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, volume 18, issue 4, pages 979-1002.
- Ioannidou, Vasso & Ongena, Steven & Peydró, José-Luis, 2015, "Monetary Policy, Risk-Taking and Pricing: Evidence from a Quasi-Natural Experiment," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, volume 19, issue 1, pages 95-144.
- Berardi, Simone & Tedeschi, Gabriele, 2015, "From banks' strategies to financial (in)stability," FinMaP-Working Papers, Collaborative EU Project FinMaP - Financial Distortions and Macroeconomic Performance: Expectations, Constraints and Interaction of Agents, number 47.
- Dwenger, Nadja & Fossen, Frank M. & Simmler, Martin, 2015, "From financial to real economic crisis: Evidence from individual firm-bank relationships in Germany," Discussion Papers, Free University Berlin, School of Business & Economics, number 2015/28.
- Berdin, Elia & Sottocornolay, Matteo, 2015, "Insurance activities and systemic risk," ICIR Working Paper Series, Goethe University Frankfurt, International Center for Insurance Regulation (ICIR), number 19/15.
- Dow, Sheila, 2015, "Uncertainty: A diagrammatic treatment," Economics Discussion Papers, Kiel Institute for the World Economy, number 2015-36.
- Jannsen, Nils & Potjagailo, Galina & Wolters, Maik H., 2015, "Monetary policy during financial crises: Is the transmission mechanism impaired?," Kiel Working Papers, Kiel Institute for the World Economy, number 2005.
- Fecht, Falko & Reitz, Stefan & Weber, Patrick, 2015, "On the role of market makers for money market liquidity and tensions," Kiel Working Papers, Kiel Institute for the World Economy, number 2013.
- Tröger, Tobias H., 2015, "Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool," IMFS Working Paper Series, Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS), number 93.
- Evans, Trevor, 2015, "The crisis of finance-led capitalism in the United States of America," IPE Working Papers, Berlin School of Economics and Law, Institute for International Political Economy (IPE), number 51/2015.
- Dodig, Nina & Hein, Eckhard & Detzer, Daniel, 2015, "Financialisation and the financial and economic crises: Theoretical framework and empirical analysis for 15 countries," IPE Working Papers, Berlin School of Economics and Law, Institute for International Political Economy (IPE), number 54/2015.
- Guðmundsson, Björn Rúnar, 2015, "Financialisation and financial crisis in Iceland," IPE Working Papers, Berlin School of Economics and Law, Institute for International Political Economy (IPE), number 55/2015.
- Zeilbeck, Severin, 2015, "An investment initiative for fiscally constrained EU member states: The role of synergetic financial instruments," IPE Working Papers, Berlin School of Economics and Law, Institute for International Political Economy (IPE), number 58/2015.
- Buch, Claudia M. & Koetter, Michael & Ohls, Jana, 2015, "Banks and Sovereign Risk: A Granular View," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 12/2015.
- Sarlin, Peter & von Schweinitz, Gregor, 2015, "Optimizing Policymakers' Loss Functions in Crisis Prediction: Before, Within or After?," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 6/2015.
- Blaseg, Daniel & Koetter, Michael, 2015, "Friend or Foe? Crowdfunding Versus Credit when Banks are Stressed," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 8/2015.
- Cycon, Lisa & Koetter, Michael, 2015, "Monetary Policy under the Microscope: Intra-bank Transmission of Asset Purchase Programs of the ECB," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 9/2015.
- Buchholz, Manuel & Tonzer, Lena, 2015, "Risikobewertung von Staatsanleihen im Euroraum während der Staatsschuldenkrise von Ansteckungseffekten getrieben," Wirtschaft im Wandel, Halle Institute for Economic Research (IWH), volume 21, issue 1, pages 4-7.
- Demary, Markus, 2015, "IW-Bankenmonitor 2015: Schleppende Kreditentwicklung trotz oder wegen der Rekapitalisierungsfortschritte?," IW-Trends – Vierteljahresschrift zur empirischen Wirtschaftsforschung, Institut der deutschen Wirtschaft (IW) / German Economic Institute, volume 42, issue 3, pages 95-113, DOI: 10.2373/1864-810X.15-03-06.
- Demary, Markus & Haas, Heide, 2015, "Auswirkungen makroprudenzieller Eingriffe in den deutschen Immobilienmarkt," IW-Trends – Vierteljahresschrift zur empirischen Wirtschaftsforschung, Institut der deutschen Wirtschaft (IW) / German Economic Institute, volume 42, issue 4, pages 55-71, DOI: 10.2373/1864-810X.15-04-05.
- Jeong, Dae hee, 2015, "The Effect of the Global Financial Crisis on Corporate Investment in Korea: From the Perspective of Costly External Finance," KDI Journal of Economic Policy, Korea Development Institute (KDI), volume 37, issue 1, pages 19-44, DOI: 10.23895/kdijep.2015.37.1.19.
- Belke, Ansgar & Kronen, Dominik & Osowski, Thomas, 2015, "Planned fiscal consolidations and growth forecast errors: New panel evidence on fiscal multipliers," Ruhr Economic Papers, RWI - Leibniz-Institut für Wirtschaftsforschung, Ruhr-University Bochum, TU Dortmund University, University of Duisburg-Essen, number 569, DOI: 10.4419/86788655.
- Tröger, Tobias H., 2015, "Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 109, DOI: 10.2139/ssrn.2613802.
- Bluhm, Marcel, 2015, "Interbank funding as insurance mechanism for (persistent) liquidity shocks," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 117, DOI: 10.2139/ssrn.2690137.
- Berdin, Elia & Sottocornola, Matteo, 2015, "Insurance activities and systemic risk," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 121, DOI: 10.2139/ssrn.2701821.
- Hüser, Anne-Caroline, 2016, "Too interconnected to fail: A survey of the Interbank Networks literature," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 91, revised 2016, DOI: 10.2139/ssrn.2577241.
- Pelizzon, Loriana & Subrahmanyam, Marti G. & Tomio, Davide & Uno, Jun, 2015, "Sovereign credit risk, liquidity, and ECB intervention: Deus ex machina?," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 95, DOI: 10.2139/ssrn.2587786.
- Gätjen, Rebekka & Schienle, Melanie, 2015, "Measuring connectedness of Euro area sovereign risk," SFB 649 Discussion Papers, Humboldt University Berlin, Collaborative Research Center 649: Economic Risk, number 2015-019.
- Dilger, Alexander, 2015, "Which currency is best for business in a small country?," Discussion Papers of the Institute for Organisational Economics, University of Münster, Institute for Organisational Economics, number 5/2015.
- Dilger, Alexander, 2015, "Welche Unternehmen profitieren vom Euro?," Discussion Papers of the Institute for Organisational Economics, University of Münster, Institute for Organisational Economics, number 8/2015.
- Schnabel, Isabel & Seckinger, Christian, 2015, "Financial Fragmentation and Economic Growth in Europe," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 112864.
- te Kaat, Daniel Marcel & Dinger, Valeriya, 2015, "Global Imbalances and Bank Risk-Taking," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 112866.
- Ahnert, Toni & Anand, Kartik & Gai, Prasanna & Chapman, James, 2015, "Safe, or not safe? Covered bonds and Bank Fragility," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 112875.
- Eichler, Stefan, 2015, "How Do Political Factors Shape the Bank Risk-Sovereign Risk Nexus in Emerging Markets?," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 112877.
- von Schweinitz, Gregor & Sarlin, Peter, 2015, "Signaling Crises: How to Get Good Out-of-Sample Performance Out of the Early Warning System," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 112964.
- Dwenger, Nadja & Fossen, Frank & Simmler, Martin, 2015, "From financial to real economic crisis. Evidence from individual firm-bank relationships in Germany," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 113000.
- Eppinger, Peter & Smolka, Marcel, 2015, "Firm Exports, Foreign Ownership, and the Global Financial Crisis," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 113039.
- Tonzer, Lena & Buch, Claudia M. & Buchholz, Manuel, 2015, "Uncertainty and International Banking," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 113072.
- Jannsen, Nils & Potjagailo, Galina & Wolters, Maik, 2015, "Monetary Policy during Financial Crises: Is the Transmission Mechanism Impaired?," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 113096.
- Krause, Thomas & Buch, Claudia M. & Tonzer, Lena, 2015, "Drivers of Systemic Risk: Do National and European Perspectives Differ?," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 113103.
- Weber, Patrick, 2015, "Does the Eurosystem's lender of last resort facility has a structurally di fferent option value across banks?," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 113123.
- Schäfer, Alexander & Schnabel, Isabel & Weder di Mauro, Beatrice, 2015, "Getting to Bail-in: Effects of Creditor Participation in European Bank Restructuring," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy, Verein für Socialpolitik / German Economic Association, number 113206.
- Giebel, Marek & Kraft, Kornelius, 2015, "The impact of the financial crisis on investments in innovative firms," ZEW Discussion Papers, ZEW - Leibniz Centre for European Economic Research, number 15-069.
- Alessi, Lucia & Antunes, Antonio & Babecky, Jan & Baltussen, Simon & Behn, Markus & Bonfim, Diana & Bush, Oliver & Detken, Carsten & Frost, Jon & Guimaraes, Rodrigo & Havranek, Tomas & Joy, Mark & Kau, 2015, "Comparing different early warning systems: Results from a horse race competition among members of the Macro-prudential Research Network," MPRA Paper, University Library of Munich, Germany, number 62194, Feb.
- Ferrari, Stijn & Pirovano, Mara, 2015, "Early warning indicators for banking crises: a conditional moments approach," MPRA Paper, University Library of Munich, Germany, number 62406, Feb.
- Chouliaras, Andreas, 2015, "High Frequency Newswire Textual Sentiment: Evidence from international stock markets during the European Financial Crisis," MPRA Paper, University Library of Munich, Germany, number 62524, Mar.
- Georgescu, George, 2015, "Argentina’s sovereign debt default: a critical view," MPRA Paper, University Library of Munich, Germany, number 62800, Mar.
- Zaman, Gheorghe & Georgescu, George, 2015, "Resilience to crisis and GDP recovery at county level in Romania," MPRA Paper, University Library of Munich, Germany, number 63246, Mar.
- Mavrozacharakis, Emmanouil, 2015, "Das ökonomische und politische Dilemma Europas
[The economic and political dilemma of Europe]," MPRA Paper, University Library of Munich, Germany, number 63323, Mar. - Riccetti, Luca & Russo, Alberto & Gallegati, Mauro, 2015, "Stock Market Dynamics, Leveraged Network-Based Financial Accelerator and Monetary Policy," MPRA Paper, University Library of Munich, Germany, number 63622, Apr.
- Catalan, Mario & Demekas, Dimitri, 2015, "Challenges for Systemic Risk Assessment in Low-Income Countries," MPRA Paper, University Library of Munich, Germany, number 64125.
- BOUKEF JLASSI, NABILA & Hamdi, Helmi, 2015, "The relationship between Financial liberalization, Financial Stability and Capital Control: Evidence from a multivariate framework for developing countries," MPRA Paper, University Library of Munich, Germany, number 64328.
- Siakoulis, Vasilios, 2015, "Modeling bank default intensity in the USA using autoregressive duration models," MPRA Paper, University Library of Munich, Germany, number 64526, May.
- Hasan, Zubair, 2015, "Risk sharing versus risk transfer in Islamic Finance: A critical appraisal," MPRA Paper, University Library of Munich, Germany, number 65028, Jan, revised May 2015.
- Egorova, Yana, 2015, "Сохранение Денежных Средств В Период Финансового Кризиса 2014-2015 Года
[Preservation of money during financial crisis of 2014-2015]," MPRA Paper, University Library of Munich, Germany, number 65052, Jun. - Mavrozacharakis, Emmanouil & Tzagarakis, Stelios, 2015, "The Greek referendum: an alternative approach," MPRA Paper, University Library of Munich, Germany, number 65738, Jul.
- Vyrost, Tomas, 2015, "Country and industry effects in CEE stock market networks: Preliminary results," MPRA Paper, University Library of Munich, Germany, number 65775, Jul.
- Krouglov, Alexei, 2015, "Mathematical model of the Greek crisis," MPRA Paper, University Library of Munich, Germany, number 66115, Aug.
- Fujii, Hidemichi & Assaf, A. George & Managi, Shunsuke & Matousek, Roman, 2015, "Did the Financial Crisis Affect Environmental Efficiency? Evidence from the Japanese Manufacturing Sector," MPRA Paper, University Library of Munich, Germany, number 66363, Aug.
- Khosravi, Taha, 2015, "The Impact of a Low Interest Rate Environment: Empirical Evidence from the Euro Area Bank Lending Survey," MPRA Paper, University Library of Munich, Germany, number 67363, Oct.
- Sekoni, Abiola, 2015, "Germane Issues and Physiognomies of Bank Liquidity Risk," MPRA Paper, University Library of Munich, Germany, number 67399.
- Budina, Nina & Gracia, Borja & Hu, Xingwei & Saksonovs, Sergejs, 2015, "Recognizing the Bias: Financial Cycles and Fiscal Policy," MPRA Paper, University Library of Munich, Germany, number 68052, Nov.
- Raputsoane, Leroi, 2015, "The lean versus clean debate and monetary policy in South Africa," MPRA Paper, University Library of Munich, Germany, number 68123, Nov.
- Maixé-Altés, J. Carles & Iglesias, Emma M., 2015, "Banking, Currency, Stock Market and Debt Crises: Revisiting Reinhart & Rogoff Debt Analysis in Spain, 1850-1995," MPRA Paper, University Library of Munich, Germany, number 68199, Dec.
- Wild, Joerg, 2015, "Efficiency and Risk Convergence of Eurozone Financial Markets," MPRA Paper, University Library of Munich, Germany, number 68371, Sep.
- Troug, Haytem Ahmed & Murray, Matt, 2015, "Crisis Determination and Financial Contagion: An Analysis of the Hong Kong and Tokyo Stock Markets using an MSBVAR Approach," MPRA Paper, University Library of Munich, Germany, number 68706, Sep.
- Unver, Mustafa & Dogru, Bulent, 2015, "The Determinants of Economic Fragility: Case of the Fragile Five Countries," MPRA Paper, University Library of Munich, Germany, number 68734, May, revised 2015.
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