Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2014
- Andrew S. Duncan & Alain Kabundi, 2014, "Global Financial Crises and Time-Varying Volatility Comovement in World Equity Markets," South African Journal of Economics, Economic Society of South Africa, volume 82, issue 4, pages 531-550, December.
- André K. Anundsen & Frank Hansen & Karsten Gerdrup & Kasper Kragh-Sørensen, 2014, "Bubbles and crises: The role of house prices and credit," Working Paper, Norges Bank, number 2014/14, Nov.
- Dimitra Dimitropoulou & Anastasia Koutsomanoli-Filippaki & Evangelos Charalambakis & Georgios Aggelis, 2014, "The financing of Greek enterprises before and during the crisis," Economic Bulletin, Bank of Greece, issue 39, pages 7-20, July.
- Geun-Young Kim, 2014, "Impact of Exchange Rate Flexibility on Current Account Rebalancing - with a Focus on International Capital Flows (in Korean)," Working Papers, Economic Research Institute, Bank of Korea, number 2014-17, Jun.
- S. Capacci & E. Randon & A. E. Scorcu, 2014, "Luck vs Skill in Gambling over the Recession. Evidence from Italy," Working Papers, Dipartimento Scienze Economiche, Universita' di Bologna, number wp918, Jan.
- M. Falagiarda & W. D. Gregori, 2014, "Fiscal Policy Announcements of Italian Governments and Spread Reaction during the Sovereign Debt Crisis," Working Papers, Dipartimento Scienze Economiche, Universita' di Bologna, number wp961, Sep.
- Fabian Kuehnhausen, 2014, "The Impact of Financial Innovation on Firm Stability," BIFEC Book of Abstracts & Proceedings, Research and Business Development Department, Borsa Istanbul, volume 1, issue 2, pages 211-239, March.
- Arslan Yavuz, 2014, "Interest rate fluctuations and equilibrium in the housing market," The B.E. Journal of Macroeconomics, De Gruyter, volume 14, issue 1, pages 173-204, January, DOI: 10.1515/bejm-2013-0088.
- Paul J.J. Welfens, 2014, "Overcoming the EU Crisis and Prospects for a Political Union," EIIW Discussion paper, Universitätsbibliothek Wuppertal, University Library, number disbei203, Nov.
- Claudia Curi & Ana Lozano-Vivas, 2014, "Financial Centre Productivity and Innovation prior to and during the Financial Crisis," BEMPS - Bozen Economics & Management Paper Series, Faculty of Economics and Management at the Free University of Bozen, number BEMPS17, Aug.
- Andrea Pinna, 2014, "Indirect Contagion in an Originate-to-Distribute Banking Model," BEMPS - Bozen Economics & Management Paper Series, Faculty of Economics and Management at the Free University of Bozen, number BEMPS21, Dec.
- Lorenzo Bini Smaghi, 2014, "L'évolution du rôle des banques centrales dans la crise," Revue d'économie financière, Association d'économie financière, volume 0, issue 1, pages 25-34.
- Benoît Cœuré, 2014, "La politique monétaire face à la crise : enjeux de court terme et ancrage à long terme," Revue d'économie financière, Association d'économie financière, volume 0, issue 1, pages 35-46.
- Paul De Grauwe & Yuemei Ji, 2014, "Les conséquences fiscales du programme d'achat d'obligations de la BCE," Revue d'économie financière, Association d'économie financière, volume 0, issue 1, pages 47-60.
- Charles Wyplosz, 2014, "La crise de la zone euro et les deux BCE," Revue d'économie financière, Association d'économie financière, volume 0, issue 1, pages 61-76.
- Jacob Braude & Nathan Sussman, 2014, "Politique monétaire non conventionnelle : l'expérience israélienne," Revue d'économie financière, Association d'économie financière, volume 0, issue 1, pages 103-116.
- Manoj Pradhan, 2014, "La politique monétaire des pays émergents : les cinq dernières et les cinq prochaines années," Revue d'économie financière, Association d'économie financière, volume 0, issue 1, pages 117-140.
- Jean Boissinot & Guillaume Ferrero, 2014, "Financement et dynamique de l'investissement des PME françaises," Revue d'économie financière, Association d'économie financière, volume 0, issue 2, pages 57-74.
- Jean-Marc Pillu & Yves Zlotowski, 2014, "PME françaises : fragiles et indispensables," Revue d'économie financière, Association d'économie financière, volume 0, issue 2, pages 75-90.
- Élisabeth Kremp & Claude Piot, 2014, "Le ralentissement du crédit bancaire aux PME en France," Revue d'économie financière, Association d'économie financière, volume 0, issue 2, pages 91-103.
- Jérôme Coffinet & Jérémi Montornès, 2014, "Le financement de l'habitat en France et la crise financière," Revue d'économie financière, Association d'économie financière, volume 0, issue 3, pages 209-228.
- João Pinto, 2014, "The Economics of Securitization: Evidence from the European Markets," Working Papers de Economia (Economics Working Papers), Católica Porto Business School, Universidade Católica Portuguesa, number 02, Apr.
- João Pinto & Mário Coutinho dos Santos, 2014, "Corporate Financing Choices after the 2007-2008 Financial Crisis," Working Papers de Economia (Economics Working Papers), Católica Porto Business School, Universidade Católica Portuguesa, number 03, Apr.
- Kelly, Robert & O'Malley, Terence, 2014, "A Transitions-Based Model of Default for Irish Mortgages," Research Technical Papers, Central Bank of Ireland, number 17/RT/14, Nov.
- Milojica Dakić, 2014, "Global Financial Crisis – Policy Response," Journal of Central Banking Theory and Practice, Central bank of Montenegro, volume 3, issue 1, pages 9-26.
- Velibor Milošević, 2014, "Use and Limitations of the Reserve Requirement Policy in Montenegro," Journal of Central Banking Theory and Practice, Central bank of Montenegro, volume 3, issue 2, pages 5-20.
- Ristan Stijepović, 2014, "Recovery and Reduction of Non-Performing Loans – Podgorica Approach," Journal of Central Banking Theory and Practice, Central bank of Montenegro, volume 3, issue 3, pages 101-118.
- Gourinchas, Pierre-Olivier & Rey, Helene, 2014, "External Adjustment, Global Imbalances, Valuation Effects," Department of Economics, Working Paper Series, Department of Economics, Institute for Business and Economic Research, UC Berkeley, number qt2k77x6tn, Jan.
- Rodolfo Apreda, 2014, "Another viewpoint on investment funds. And their opaque governance," CEMA Working Papers: Serie Documentos de Trabajo., Universidad del CEMA, number 535, Mar.
- Tito Boeri & Pietro Garibaldi & Espen R. Moen, 2014, "Financial Constraints in Search Equilibrium: Mortensen and Pissarides Meet Holmstrom and Tirole," CEP Discussion Papers, Centre for Economic Performance, LSE, number dp1317, Dec.
- Martin Kuncl, 2014, "Securitization under Asymmetric Information over the Business Cycle," CERGE-EI Working Papers, The Center for Economic Research and Graduate Education - Economics Institute, Prague, number wp506, Feb.
- Thorvaldur Gylfason, 2014, "Iceland: How Could This Happen?," CESifo Working Paper Series, CESifo, number 4605.
- Elena Carletti & Agnese Leonello, 2014, "Credit Market Competition and Liquidity Crises," CESifo Working Paper Series, CESifo, number 4647.
- Mark Mink & Jakob de Haan & Jakob de Haan, 2014, "Spillovers from Systemic Bank Defaults," CESifo Working Paper Series, CESifo, number 4792.
- Helios Herrera & Guillermo Ordonez & Christoph Trebesch, 2014, "Political Booms, Financial Crises," CESifo Working Paper Series, CESifo, number 4935.
- Òscar Jordà & Moritz Schularick & Alan M. Taylor, 2014, "The Great Mortgaging: Housing Finance, Crises, and Business Cycles," CESifo Working Paper Series, CESifo, number 4993.
- Hendrik Hakenes & Friederike Schlegel, 2014, "I Spy with my Little Eye... a Banking Crisis - Early Warnings and Incentive Schemes in Banks," CESifo Working Paper Series, CESifo, number 5140.
- Klaus Abberger & Biswa Nath Bhattacharyay & Chang Woon Nam & Gernot Nerb & Siegfried Schönherr, 2014, "How Can the Crisis Vulnerability of Emerging Economies Be Reduced?," ifo Forschungsberichte, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, number 65.
- Patrick Honohan, 2014, "Ireland’s EU-IMF Programme: Delivering What It Said on the Tin," CESifo Forum, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 15, issue 02, pages 03-07, April.
- John Fitzgerald, 2014, "Ireland’s Recovery from Crisis," CESifo Forum, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 15, issue 02, pages 08-13, April.
- Philip R. Lane, 2014, "International Financial Flows and the Irish Crisis," CESifo Forum, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 15, issue 02, pages 14-19, April.
- Stephen Kinsella, 2014, "Post-bailout Ireland as the Poster Child for Austerity," CESifo Forum, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 15, issue 02, pages 20-25, April.
- Aidan Regan, 2014, "What Explains Ireland’s Fragile Recovery from the Crisis? The Politics of Comparative Institutional Advantage," CESifo Forum, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 15, issue 02, pages 26-31, April.
- Martin Schütte, 2014, "Lehren aus der Finanzkrise, zweiter Teil: Was ist zu tun?," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 67, issue 12, pages 20-25, June.
- Niklas Potrafke & Markus Reischmann, 2014, "Die Target-Forderungen der Deutschen Bundesbank: Eine Zeitreihenanalyse," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 67, issue 14, pages 31-34, July.
- Stefan Homburg & Carsten Hefeker & Christian Keuschnigg & Klaus Weyerstraß & Markus Brunnermeier & Wolfgang Quaisser & Lars P. Feld, 2014, "Staatsschuldenkrise: Zeitbombe für die Währungsunion?," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 67, issue 15, pages 03-30, August.
- Jakob Eberl & Christopher Weber, 2014, "ECB Collateral Criteria: A Narrative Database 2001–2013," ifo Working Paper Series, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, number 174.
- Victor Augusto Mendes dos Santos, 2014, "The Spatial Probit Model – An Application to the Study of Banking Crises at the End of the 90’s," CEFAGE-UE Working Papers, University of Evora, CEFAGE-UE (Portugal), number 2014_05.
- Andre Diniz & Bernardo Guimaraes, 2014, "Financial Disruption as a Cost of Sovereign Default: a quantative assessment," Discussion Papers, Centre for Macroeconomics (CFM), number 1427, Aug.
- Sapci, Ayse, 2014, "Costly Financial Intermediation and Excess Consumption Volatility," Working Papers, Department of Economics, Colgate University, number 2014-04, Apr, revised 11 Jun 2014.
- Kristin J. Forbes & Francis E. Warnock, 2014, "Debt-and Equity-Led Capital Flow Episodes," Central Banking, Analysis, and Economic Policies Book Series, Central Bank of Chile, chapter 9, in: Miguel Fuentes D. & Claudio E. Raddatz & Carmen M. Reinhart, "Capital Mobility and Monetary Policy".
- Nicole M. Boyson & Rüdiger Fahlenbrach & René M. Stulz, 2014, "Why Don’t All Banks Practice Regulatory Arbitrage? Evidence from Usage of Trust Preferred Securities," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 14-21, Mar, revised Dec 2015.
- Fredj Jawadi & Nabila Jawadi & Waël Louhichi, 2014, "Conventional and Islamic stock price performance: An empirical investigation," International Economics, CEPII research center, issue 137, pages 73-87.
- Sylvain Benoit, 2014, "Where is the system?," International Economics, CEPII research center, issue 138, pages 1-27.
- Olivier de Bandt & Tovonony Razafindrabe, 2014, "Exchange rate pass-through to import prices in the Euro-area: A multi-currency investigation," International Economics, CEPII research center, issue 138, pages 63-77.
- Hussain Ali Bekhet & Tahira Yasmin, 2014, "Assessment of the global financial crisis effects on energy consumption and economic growth in Malaysia: An input–output analysis," International Economics, CEPII research center, issue 140, pages 49-70.
- Thomas Grjebine, 2014, "D'une crise a l'autre : 30 ans de globalisation des cycles immobilers," La Lettre du CEPII, CEPII research center, issue 342.
- Christophe Destais, 2014, "Central Bank Currency Swaps and the International Monetary System," CEPII Policy Brief, CEPII research center, number 2014-05, Sep.
- Laurent Clerc & Alexis Derviz & Caterina Mendicino & Stéphane Moyen & Kalin Nikolov & Livio Stracca & Javier Suarez & Alexandros P. Vardoulakis, 2014, "Capital Regulation in a Macroeconomic Model with Three Layers of Default," Working Papers, CEMFI, number wp2014_1408, Dec.
- Lucica SINTEA (ANGHEL), 2014, "Rolul Informatiei Contabile In Definirea Unor Masuri Organizatorice In Perioada De Recesiune Economica," Management Intercultural, Romanian Foundation for Business Intelligence, Editorial Department, issue 31, pages 319-322, November.
- Andrei V. STOIAN, 2014, "Measuring The Evolution Of The Financial Globalization," Network Intelligence Studies, Romanian Foundation for Business Intelligence, Editorial Department, issue 4, pages 273-285, November.
- Elena V. CHIRILA DONCIU, 2014, "Impact Of Economic Crisis On Fdi," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 3, pages 183-191, April.
- Ioana-Iuliana TOMULEASA, 2014, "The Soundness Of The Banking System During The Global Financial Crisis," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 3, pages 598-608, April.
- Dumitru-Cristian OANEA & Stefan-Bogdan VASILESCU, 2014, "Overview On Romanian Capital Market Transactions: 1995 To Present," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 4, pages 295-302, July.
- Ion Gr. IONESCU, 2014, "Typical Banking Crises International Business Environment And Ways To Overcome Them," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 4, pages 73-80, July.
- Liliana DONATH & Veronica Mihuțescu CERNA & Ionela Maria OPREA, 2014, "Macroeconomic Determinants Of Bad Loans In Baltic Countries And Romania," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 6, pages 71-80, December.
- Mark Joy & Marek Rusnak & Katerina Smidkova & Borek Vasicek, 2014, "Banking and Currency Crises: Differential Diagnostics for Developed Countries," Working Papers, Czech National Bank, Research and Statistics Department, number 2014/16, Dec.
- Keiichiro Kobayashi & Tomoyuki Nakajima, 2014, "A macroeconomic model of liquidity crises," CIGS Working Paper Series, The Canon Institute for Global Studies, number 14-003E, Jan.
- Jorge M. Uribe & Juli�n Fern�ndez, 2014, "Riesgo sistémico en el mercado de acciones colombiano: alternativas de diversificación bajo eventos extremos," Revista Cuadernos de Economia, Universidad Nacional de Colombia, FCE, CID.
- Ignacio Lozano & Alexander Guar�n, 2014, "Banking Fragility in Colombia: An Empirical Analysis Based on Balance Sheets," Borradores de Economia, Banco de la Republica, number 11145, Mar.
- Juan Pablo Franco & Jos� E. G�mez Gonz�lez & Jair N. Ojeda & Jhon Edward Torres, 2014, "Burbujas en precios de activos financieros: existencia, persistencia y migraci�n," Borradores de Economia, Banco de la Republica, number 11405, May.
- Carlos Le�n & Jhonatan P�rez & Luc Renneboog, 2014, "A multi-layer network of the sovereign securities market," Borradores de Economia, Banco de la Republica, number 12036, Aug.
- Ignacio Lozano & Alexander Guar�n, 2014, "Banking fragility in Colombia: An empirical analysis based on balance sheets," Revista ESPE - Ensayos Sobre Política Económica, Banco de la República, volume 32, issue 75, pages 48-63, DOI: 10.1016/j.espe.2014.10.001.
- Thomas Goda & �zlem Onaran & Engelbert Stockhammer, 2014, "A case for redistribution? Income inequality and wealth concentration in the recent crisis," Documentos de Trabajo de Valor Público, Universidad EAFIT, number 12186, Aug.
- Jorge Uribe & Juli�n Fern�ndez, 2014, "Burbujas financieras y comportamiento reciente de los mercados de acciones en América Latina," Revista Lecturas de Economía, Universidad de Antioquia, CIE, issue 81, pages 57-90.
- Oscar Pérez Rodriguez, 2014, "Inversión y endeudamiento en Colombia: un análisis de financiación y sostenibilidad," Revista CIFE, Universidad Santo Tomás.
- Eduardo Levy Yeyati & Tomas Williams, 2014, "Financial Globalization in Emerging Economies: Much Ado About Nothing?," Economía Journal, The Latin American and Caribbean Economic Association - LACEA, volume 0, issue Spring 20, pages 91-131.
- PIERRET, Diane, 2014, "Systemic risk and the solvency-liquidity nexus of banks," LIDAM Discussion Papers CORE, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE), number 2014038, Nov.
- Mattana, Elena & Panetti, Ettore, 2014, "A dynamic quantitative macroeconomic model of bank runs," LIDAM Discussion Papers CORE, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE), number 2014068, Sep.
- Michiel Bijlsma & Andrei Dubovik, 2014, "Banks, Financial Markets and Growth in Developed Countries: a Survey of the empirical literature," CPB Discussion Paper, CPB Netherlands Bureau for Economic Policy Analysis, number 266, Feb.
- Michiel Bijlsma & Jasper Lukkezen & Kristina Marinova, 2014, "Measuring too-big-to-fail funding advantages from small banks’ CDS spreads," CPB Discussion Paper, CPB Netherlands Bureau for Economic Policy Analysis, number 268, Feb.
- Agnieszka Slomka-Golebiowska, 2014, "The impact of regulations on executive compensation in the US financial institutions," Ekonomia i Prawo, Uniwersytet Mikolaja Kopernika, volume 13, issue 1, pages 175-194, March, DOI: 10.12775/EiP.2014.014.
- Eric Nasica, 2014, "stabilization policies and banking behaviors: a rereading of Minsky’s conception of business cycles," Cahiers d’économie politique / Papers in Political Economy, L'Harmattan, issue 67, pages 207-229.
- Orphanides, Athanasios, 2014, "The Euro Area Crisis: Politics over Economics," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10033, Jun.
- Yuan, Kathy & Ozdenoren, Emre, 2014, "Endogenous Contractual Externalities," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10052, Jul.
- Acharya, Viral & Hirsch, Christian & Eisert, Tim & Eufinger, Christian, 2014, "Real Effects of the Sovereign Debt Crisis in Europe: Evidence from Syndicated Loans," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10108, Aug.
- Taylor, Alan M. & Schularick, Moritz & Jordà , Òscar, 2014, "The Great Mortgaging: Housing Finance, Crises, and Business Cycles," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10161, Sep.
- Martin, Philippe & Philippon, Thomas, 2014, "Inspecting the Mechanism: Leverage and the Great Recession in the Eurozone," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10189, Oct.
- Quadrini, Vincenzo, 2014, "Bank Liabilities Channel," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10265, Nov.
- Boeri, Tito & Garibaldi, Pietro & Moen, Espen R., 2014, "Financial Constraints in Search Equilibrium," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10266, Nov.
- Taylor, Alan M. & Schularick, Moritz & Jordà , Òscar, 2014, "Betting the House," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10305, Dec.
- Suarez, Javier & Derviz, Alexis & Nikolov, Kalin & Clerc, Laurent & Mendicino, Caterina & Stracca, Livio & Vardoulakis, Alexandros & Moyen, Stéphane, 2014, "Capital Regulation in a Macroeconomic Model with Three Layers of Default," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10316, Dec.
- Engle, Robert & Acharya, Viral & Pierret, Diane, 2014, "Testing Macroprudential Stress Tests: The Risk of Regulatory Risk Weights," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 9800, Jan.
- Obstfeld, Maurice, 2014, "Never Say Never: Commentary on a Policymaker?s Reflections," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 9802, Feb.
- Beetsma, Roel & de Jong, Frank & Giuliodori, Massimo & Widijanto, Daniel, 2014, "The Impact of News and the SMP on Realized (Co)Variances in the Eurozone Sovereign Debt Market," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 9803, Feb.
- Shin, Hyun Song & Acharya, Viral & Le, Hanh, 2014, "Bank Capital and Dividend Externalities," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 9865, Mar.
- Vayanos, Dimitri & Kondor, Péter, 2014, "Liquidity Risk and the Dynamics of Arbitrage Capital," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 9885, Mar.
- Timmermann, Allan & Wermers, Russ, 2014, "Runs on Money Market Funds," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 9906, Mar.
- Voth, Hans-Joachim & Koudijs, Peter, 2014, "Leverage and Beliefs: Personal Experience and Risk Taking in Margin Lending," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 9920, Mar.
- Roman Kräussl & Luiz Félix & Philip Stork, 2014, "The 2011 European Short Sale Ban: An Option Market Perspective," LSF Research Working Paper Series, Luxembourg School of Finance, University of Luxembourg, number 14-02.
- Roman Kräussl & Elizaveta Mirgorodskaya, 2014, "News Media Sentiment and Investor Behavior," LSF Research Working Paper Series, Luxembourg School of Finance, University of Luxembourg, number 14-03.
- Daniel Kapp & Marco Vega, 2014, "Real output costs of financial crises: A loss distribution approach," Cuadernos de Economía - Spanish Journal of Economics and Finance, Asociación Cuadernos de Economía, volume 37, issue 103, pages 13-28, Abril.
- Carmen Badía Batlle & Merche Galisteo Rodríguez & Teresa Preixens Benedicto, 2014, "Probabilidades de default de las empresas españolas en época de crisis," Cuadernos de Economía - Spanish Journal of Economics and Finance, Asociación Cuadernos de Economía, volume 37, issue 105, pages 150-158, Septiembr.
- Pennacchi, George & Vermaelen, Theo & Wolff, Christian C. P., 2014, "Contingent Capital: The Case of COERCs," Journal of Financial and Quantitative Analysis, Cambridge University Press, volume 49, issue 3, pages 541-574, June.
- Adams, Zeno & Füss, Roland & Gropp, Reint, 2014, "Spillover Effects among Financial Institutions: A State-Dependent Sensitivity Value-at-Risk Approach," Journal of Financial and Quantitative Analysis, Cambridge University Press, volume 49, issue 3, pages 575-598, June.
- Allen, Franklin & Barth, James R. & Yago, Glenn, 2014, "Financial Innovations and the Stability of the Housing Market," National Institute Economic Review, National Institute of Economic and Social Research, volume 230, issue , pages 16-33, November.
- Wachter, Susan, 2014, "The Market Structure of Securitisation and the US Housing Bubble," National Institute Economic Review, National Institute of Economic and Social Research, volume 230, issue , pages 34-44, November.
- Marius Kokert & Dorothea Schäfer & Andreas Stephan, 2014, "Niedriger Leitzins: eine Chance in der Euro-Schuldenkrise," DIW Wochenbericht, DIW Berlin, German Institute for Economic Research, volume 81, issue 7, pages 115-126.
- Helmut Herwartz & Konstantin A. Kholodilin, 2014, "Uncertainty of Macroeconomic Forecasters and the Prediction of Stock Market Bubbles," Discussion Papers of DIW Berlin, DIW Berlin, German Institute for Economic Research, number 1405.
- Guglielmo Maria Caporale & Stefano Di Colli & Roberto Di Salvo & Juan Sergio Lopez, 2014, "Local Banking and Local Economic Growth in Italy: Some Panel Evidence," Discussion Papers of DIW Berlin, DIW Berlin, German Institute for Economic Research, number 1409.
- WARBURTON Christopher E.S., 2014, "Time Dynamics Of Stabilization Theories And Responses To Debt And Financial Crises: An Analysis Of Mexico, Argentina, Nigeria And Ghana, 1960-2011," Applied Econometrics and International Development, Euro-American Association of Economic Development, volume 14, issue 2.
- Carmen GONZÁLEZ & Francisco JAREÑO, 2014, "Financial Analysis Of The Main Hotel Chains Of The Spanish Tourism Sector," Regional and Sectoral Economic Studies, Euro-American Association of Economic Development, volume 14, issue 2.
- Giuliodori, Massimo & Beetsma, Roel & de Jong, Frank & Widijanto, Daniel, 2014, "The impact of news and the SMP on realized (co)variances in the eurozone sovereign debt market," Working Paper Series, European Central Bank, number 1629, Jan.
- Bussière, Matthieu & Hoerova, Marie & Klaus, Benjamin, 2014, "Commonality in hedge fund returns: driving factors and implications," Working Paper Series, European Central Bank, number 1658, Mar.
- Ahnert, Toni, 2014, "Rollover risk, liquidity, and macro-prudential regulation," Working Paper Series, European Central Bank, number 1667, Apr.
- Grothe, Magdalena & Lejsgaard Autrup, Søren, 2014, "Economic surprises and inflation expectations: Has anchoring of expectations survived the crisis?," Working Paper Series, European Central Bank, number 1671, Apr.
- Gropp, Reint & Damar, H. Evren & Mordel, Adi, 2014, "Banks' financial distress, lending supply and consumption expenditure," Working Paper Series, European Central Bank, number 1687, Jul.
- Onorante, Luca & Alessi, Lucia & Ghysels, Eric & Potter, Simon & Peach, Richard, 2014, "Central bank macroeconomic forecasting during the global financial crisis: the European Central Bank and Federal Reserve Bank of New York experiences," Working Paper Series, European Central Bank, number 1688, Jul.
- Brumm, Johannes & Kubler, Felix & Grill, Michael & Schmedders, Karl, 2014, "Margin regulation and volatility," Working Paper Series, European Central Bank, number 1698, Jul.
- Camba-Méndez, Gonzalo & Serwa, Dobromil, 2014, "Market perception of sovereign credit risk in the euro area during the financial crisis," Working Paper Series, European Central Bank, number 1710, Aug.
- Vašíček, Bořek & Calice, Giovanni & Miao, RongHui & Štěrba, Filip, 2014, "Short-term determinants of the idiosyncratic sovereign risk premium: a regime-dependent analysis for european credit default swaps," Working Paper Series, European Central Bank, number 1717, Aug.
- Beirne, John & Friedrich, Christian, 2014, "Capital flows and macroprudential policies - A multilateral assessment of effectiveness and externalities," Working Paper Series, European Central Bank, number 1721, Aug.
- Detken, Carsten & Alessi, Lucia, 2014, "Identifying excessive credit growth and leverage," Working Paper Series, European Central Bank, number 1723, Aug.
- Camba-Méndez, Gonzalo & Rodriguez-Palenzuela, Diego & Carbó-Valverde, Santiago, 2014, "Financial reputation, market interventions and debt issuance by banks: a truncated two-part model approach," Working Paper Series, European Central Bank, number 1741, Nov.
- Alessi, Lucia, 2014, "Identifying Excessive Credit Growth and Leverage," Financial Stability Review, European Central Bank, volume 1.
- Boyson, Nicole M. & Fahlenbrach, Rudiger & Stulz, Rene M., 2014, "Why Do Banks Practice Regulatory Arbitrage? Evidence from Usage of Trust Preferred Securities," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2014-01, Nov.
- Merrill, Craig B. & Nadauld, Taylor & Stulz, Rene M. & Sherlund, Shane M., 2014, "Were There Fire Sales in the RMBS Market?," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2014-09, May.
- Chernenko, Sergey & Hanson, Samuel Gregory & Sunderam, Adi, 2014, "The Rise and Fall of Demand for Securitizations," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2014-16, Dec.
- Admati, Anat R., 2014, "The Compelling Case for Stronger and More Effective Leverage Regulation in Banking," Research Papers, Stanford University, Graduate School of Business, number 3030, Sep.
- Koudijs, Peter & Voth, Hans-Joachim, 2014, "Leverage and Beliefs: Personal Experience and Risk Taking in Margin Lending," Research Papers, Stanford University, Graduate School of Business, number 3103, Feb.
- Boyson, Nicole M. & Fahlenbrach, Rudiger & Stulz, Rene M., 2014, "Why Do Banks Practice Regulatory Arbitrage? Evidence from Usage of Trust Preferred Securities," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 14-03, Mar.
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