Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2013
- Michele Fratianni & Francesco Marchionne, 2013, "The fading stock market response to announcements of bank bailouts," Mo.Fi.R. Working Papers, Money and Finance Research group (Mo.Fi.R.) - Univ. Politecnica Marche - Dept. Economic and Social Sciences, number 76, Jan.
- Federico Cingano & Francesco Manaresi & Enrico Sette, 2013, "Does credit crunch investments down? New evidence on the real effects of the bank-lending channel," Mo.Fi.R. Working Papers, Money and Finance Research group (Mo.Fi.R.) - Univ. Politecnica Marche - Dept. Economic and Social Sciences, number 91, Dec.
- Tulin Tunc Deveci & Suleyman Degirmen, 2013, "Does Twin Deficits Relationship Affect The Leading Indicators Of Crisis? Analysis Of The Us And Turkey In Light Of The 2008 Global Crisis," Anadolu University Journal of Social Sciences, Anadolu University, volume 13, issue 2, pages 1-14, June.
- Paul Cockshott & David Zachariah, 2013, "Conservation laws, financial entropy and the Eurozone crisis," Papers, arXiv.org, number 1301.5974, Jan.
- Vlatka Bilas & Sanja Franc & Branimir Arbanas, 2013, "The Impact Of Current Economic Crisis On The Automotive Industry," Economic Thought and Practice, Department of Economics and Business, University of Dubrovnik, volume 22, issue 1, pages 299-320, june.
- Marko Kukanja & Tanja Planinc, 2013, "The Response Of The Restaurant Industry To The Financial Crisis," Economic Thought and Practice, Department of Economics and Business, University of Dubrovnik, volume 22, issue 1, pages 39-56, june.
- Ignazio Angeloni & Giacomo Caviglia, 2013, "The road towards Banking Union," BANCARIA, Bancaria Editrice, volume 12, pages 02-15, December.
- Luigi Chiarella & Guido Ferrarini, 2013, "The Single Supervisory Mechanism, a first step against fragmentation," BANCARIA, Bancaria Editrice, volume 12, pages 16-28, December.
- Rupert N. Limentani & Normanna Tresoldi, 2013, "The road to compliance: the new regulation on Internal controls system in Italy," BANCARIA, Bancaria Editrice, volume 12, pages 63-70, December.
- Carlo Boselli & Francesco G. Truglia & Alessandro Zeli, 2013, "A spatial analysis of the liquidity of italian firms," BANCARIA, Bancaria Editrice, volume 12, pages 76-85, December.
- Vincenzo Chiorazzo & Vincenzo D'Apice & Pierluigi Morelli, 2013, "The global economic scenario and the prospects for the Italian banking industry in 2013-2014," BANCARIA, Bancaria Editrice, volume 1, pages 19-27, January.
- Matteo Mattei Gentili, 2013, "Time deposits and funding policies in Italian banks," BANCARIA, Bancaria Editrice, volume 1, pages 46-51, January.
- Pierpaolo Ferrari & Roberto Ruozi, 2013, "The impact of liquidity regulation in banks’ strategies," BANCARIA, Bancaria Editrice, volume 1, pages 52-65, January.
- Giancarlo Durante & Luigi Prosperetti, 2013, "Cost reduction and structural adjustment in European banks," BANCARIA, Bancaria Editrice, volume 2, pages 17-25, February.
- Giovanni Ferri, 2013, "Financial regulation, the need of a new approach," BANCARIA, Bancaria Editrice, volume 2, pages 2-16, February.
- Fabrizio Menghini, 2013, "Credit strategies, risk and planning process," BANCARIA, Bancaria Editrice, volume 2, pages 39-51, February.
- Manuela De Cesare & Riccardo De Lisa & Anna Laura Lombardo & Francesca Pluchino, 2013, "Bank crisis regulation and the European proposals," BANCARIA, Bancaria Editrice, volume 2, pages 52-63, February.
- Paolo Mottura, 2013, "Securitization, the new road for commercial credit," BANCARIA, Bancaria Editrice, volume 3, pages 2-20, March.
- Alessandro Carretta & Vincenzo Farina & Albana Nako, 2013, "The impact of social networks and mass medias on financial news and investors’ perceptions," BANCARIA, Bancaria Editrice, volume 3, pages 77-85, March.
- Zeno Rotondi, 2013, "Relationship banking and organizational models: a new structure for UniCredit Group in Italy," BANCARIA, Bancaria Editrice, volume 4, pages 15-23, April.
- Roberto Bottiglia, 2013, "The lessons from the crisis of Cajas de Ahorros in Spain," BANCARIA, Bancaria Editrice, volume 5, pages 19-31, May.
- Giancarlo Forestieri, 2013, "Financial systems and economic growth: a critical relationship?," BANCARIA, Bancaria Editrice, volume 5, pages 2-18, May.
- Laura Chiaramonte & Federica Poli & Marco Ercole Oriani, 2013, "Cooperative banking and financial stability. Evidence from the recent financial crisis in some European countries," BANCARIA, Bancaria Editrice, volume 5, pages 32-48, May.
- Fabrizio Saccomanni, 2013, "A bridge towards recovery," BANCARIA, Bancaria Editrice, volume 7, pages 20-27, July.
- Vittorio Conti, 2013, "Investor protection and the new challenges of European regulation," BANCARIA, Bancaria Editrice, volume 7, pages 28-34, July.
- Jacek Marczyk, 2013, "Resilience, stability and complexity of banks: a quantitative approach to systemic risks," BANCARIA, Bancaria Editrice, volume 9, pages 49-55, September.
- Alessandro Pellegatta, 2013, "Under-capitalization of Italian Smes and the role of new financial sources," BANCARIA, Bancaria Editrice, volume 9, pages 56-64, September.
- Philipp Matros & Johannes Vilsmeier, 2013, "The Multivariate Option iPoD Framework - Assessing Systemic Financial Risk," Working Papers, Bavarian Graduate Program in Economics (BGPE), number 143, Oct.
- Arupratan Daripa & Sandeep Kapur & Stephen Wright, 2013, "Labour's Record on Financial Regulation," Birkbeck Working Papers in Economics and Finance, Birkbeck, Department of Economics, Mathematics & Statistics, number 1301, Feb.
- Alicia Garcia-Herrero & Fielding Chen, 2013, "Deleveraging from Emerging Markets: the Case of Euro-area Banks," Working Papers, BBVA Bank, Economic Research Department, number 1313, Mar.
- Ian Christensen & Fuchun Li, 2013, "A Semiparametric Early Warning Model of Financial Stress Events," Staff Working Papers, Bank of Canada, number 13-13, DOI: 10.34989/swp-2013-13.
- Ron Alquist & Rahul Mukherjee & Linda Tesar, 2013, "Fire-Sale FDI or Business as Usual?," Staff Working Papers, Bank of Canada, number 13-17, DOI: 10.34989/swp-2013-17.
- Philipp König & Kartik Anand & Frank Heinemann, 2013, "The ‘Celtic Crisis’: Guarantees, Transparency and Systemic Liquidity Risk," Staff Working Papers, Bank of Canada, number 13-31, DOI: 10.34989/swp-2013-31.
- Mehdi Beyhaghi & Chris D'Souza & Gordon S. Roberts, 2013, "Funding Advantage and Market Discipline in the Canadian Banking Sector," Staff Working Papers, Bank of Canada, number 13-50, DOI: 10.34989/swp-2013-50.
- Jesper Jespersen, 2013, "The Euro: Why it Went Wrong and How to Get On?," Ensayos Económicos, Central Bank of Argentina, Economic Research Department, volume 1, issue 68, pages 23-42, June.
- Philip Arestis, 2013, "Inflation Targeting: A Critical Approach," Ensayos Económicos, Central Bank of Argentina, Economic Research Department, volume 1, issue 68, pages 7-21, June.
- John Weeks, 2013, "Euro Crises and Euro Scams: Trade not Debt and Deficits Tell the Tale," Ensayos Económicos, Central Bank of Argentina, Economic Research Department, volume 1, issue 69, pages 7-36, December.
- Eloísa Ortega & Juan Peñalosa, 2013, "Some Thoughts On The Spanish Economy After Five Years Of Crisis," Occasional Papers, Banco de España, number 1304, Dec.
- Enrique Alberola & Ángel Estrada & Daniel Santabárbara, 2013, "Growth beyond imbalances. Sustainable growth rates and output gap reassessment," Working Papers, Banco de España, number 1313, Oct.
- Carmen Broto & Gabriel Perez-Quiros, 2013, "Disentangling contagion among sovereign cds spreads during the european debt crisis," Working Papers, Banco de España, number 1314, Oct.
- Lorenzo Esposito, 2013, "Connect them where it hurts. The missing piece of the puzzle," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 151, Feb.
- Sergio Masciantonio & Andrea Tiseno, 2013, "The rise and fall of universal banking: ups and downs of a sample of large and complex financial institutions since the late �90s," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 164, Jun.
- Gola Carlo & Ilari Antonio, 2013, "Financial innovation oversight: a policy framework," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 200, Sep.
- Sergio Masciantonio, 2013, "Identifying and tracking global, EU and Eurozone systemically important banks with public data," Questioni di Economia e Finanza (Occasional Papers), Bank of Italy, Economic Research and International Relations Area, number 204, Oct.
- Raffaela Giordano & Marcello Pericoli & Pietro Tommasino, 2013, "Pure or wake-up-call contagion? Another look at the EMU sovereign debt crisis," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 904, Apr.
- Riccardo De Bonis & Andrea Silvestrini, 2013, "The Italian financial cycle: 1861-2011," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 936, Oct.
- Melo-Velandia, Luis Fernando & Rincón-Castro, Hernán, 2013, "Choques externos y precios de los activos en Latinoamérica antes y después de la quiebra de Lehman Brothers," Chapters, Banco de la Republica de Colombia, chapter 4, in: Rincón-Castro, Hernán & Velasco, Andrés M., "Flujos de capitales, choques externos y respuestas de política en países emergentes", DOI: 10.32468/Ebook.664-270-5.
- Echavarría-Soto, Juan José & González-Gómez, Andrés & López, Enrique & Rodríguez-Niño, Norberto, 2013, "Choques internacionales reales y financieros y su efecto en la economía colombiana," Chapters, Banco de la Republica de Colombia, chapter 5, in: Rincón-Castro, Hernán & Velasco, Andrés M., "Flujos de capitales, choques externos y respuestas de política en países emergentes", DOI: 10.32468/Ebook.664-270-5.
- Matthieu Bussière, 2013, "In Defense of Early Warning Signals," Working papers, Banque de France, number 420.
- Valère Fourel & Héam, J-C. & Dilyar Salakhova & Tavolaro, S., 2013, "Domino Effects when Banks Hoard Liquidity: The French network," Working papers, Banque de France, number 432.
- Acharya, V. V., 2013, "A transparency standard for derivatives," Financial Stability Review, Banque de France, issue 17, pages 81-89, April.
- Rajkamal Iyer & Samuel Da-Rocha-Lopes & Antoinette Schoar & José-Luis Peydró, 2015, "Interbank Liquidity Crunch and the Firm Credit Crunch: Evidence from the 2007-2009 Crisis," Working Papers, Barcelona School of Economics, number 687, Sep.
- Giovanni Giusti & Hans-Joachim Voth, 2015, "Recreating the South Sea Bubble: Lessons from an Experiment in Financial History," Working Papers, Barcelona School of Economics, number 710, Sep.
- Vasile Cocris & Anca Elena Nucu, 2013, "Monetary policy and financial stability: empirical evidence from Central and Eastern European countries," Baltic Journal of Economics, Baltic International Centre for Economic Policy Studies, volume 13, issue 1, pages 75-98, July.
- Nadežda Sinenko & Deniss Titarenko & Mikus Arinš, 2013, "The Latvian financial stress index as an important element of the financial system stability monitoring framework," Baltic Journal of Economics, Baltic International Centre for Economic Policy Studies, volume 13, issue 2, pages 85-110, December.
- Patrick E. McCabe & Marco Cipriani & Michael Holscher & Antoine Martin, 2013, "The Minimum Balance at Risk: A Proposal to Mitigate the Systemic Risks Posed by Money Market Funds," Brookings Papers on Economic Activity, Economic Studies Program, The Brookings Institution, volume 44, issue 1 (Spring, pages 211-278.
- Mathias Drehmann, 2013, "Total credit as an early warning indicator for systemic banking crises," BIS Quarterly Review, Bank for International Settlements, June.
- Raffaela Giordano & Marcello Pericoli & Pietro Tommasino, 2013, "Pure or Wake-up-Call Contagion? Another Look at the EMU Sovereign Debt Crisis," International Finance, Wiley Blackwell, volume 16, issue 2, pages 131-160, June.
- Thomas Philippon & Philipp Schnabl, 2013, "Efficient Recapitalization," Journal of Finance, American Finance Association, volume 68, issue 1, pages 1-42, February, DOI: j.1540-6261.2012.01793.x.
- Alessandro Beber & Marco Pagano, 2013, "Short-Selling Bans Around the World: Evidence from the 2007–09 Crisis," Journal of Finance, American Finance Association, volume 68, issue 1, pages 343-381, February, DOI: j.1540-6261.2012.01802.x.
- Nicola Gennaioli & Andrei Shleifer & Robert W. Vishny, 2013, "A Model of Shadow Banking," Journal of Finance, American Finance Association, volume 68, issue 4, pages 1331-1363, August.
- Loriano Mancini & Angelo Ranaldo & Jan Wrampelmeyer, 2013, "Liquidity in the Foreign Exchange Market: Measurement, Commonality, and Risk Premiums," Journal of Finance, American Finance Association, volume 68, issue 5, pages 1805-1841, October.
- Virginie Coudert & Mathieu Gex, 2013, "The Interactions between the Credit Default Swap and the Bond Markets in Financial Turmoil," Review of International Economics, Wiley Blackwell, volume 21, issue 3, pages 492-505, August.
- BALTES Nicolae & VASIU Diana Elena, 2013, "Case Study Regarding The Financial Performance Based On Rates Of Return, For Companies Listed On Bucharest Stock Exchange, Acting In Mining And Quarrying Domain," Revista Economica, Lucian Blaga University of Sibiu, Faculty of Economic Sciences, volume 65, issue 3, pages 123-142.
- BAKO Elena Dana & SECHEL Ioana - Cristina, 2013, "Speculative Bubbles - Appearance And Growth," Revista Economica, Lucian Blaga University of Sibiu, Faculty of Economic Sciences, volume 65, issue 3, pages 182-191.
- Gregg Huff & Shinobu Majima, 2013, "Financing Japan’s World War II occupation of Southeast Asia," Working Paper, Norges Bank, number 2013/02, Jan.
- Marketa Halova Wolfe & Georg H. Strasser, 2013, "Learning to Argue with Intermediate Macro Theory: A Semester-Long Team Writing Project," Boston College Working Papers in Economics, Boston College Department of Economics, number 826, Aug, revised 23 Apr 2014.
- Christopher F. Baum & Dorothea Schäfer & Andreas Stephan, 2013, "Credit Rating Agency Downgrades and the Eurozone Sovereign Debt Crises," Boston College Working Papers in Economics, Boston College Department of Economics, number 841, Nov, revised 30 Jan 2014.
- Peter Gal & Gabor Pinter, 2013, "Capital over the business cycle: renting versus ownership," Bank of England working papers, Bank of England, number 478, Aug.
- Marco Galbiati & Kimmo Soramaki, 2013, "Central counterparties and the topology of clearing networks," Bank of England working papers, Bank of England, number 480, Aug.
- Nicola Anderson & Joseph Noss, 2013, "Financial Stability Paper No 23: The Fractal Market Hypothesis and its implications for the stability of financial markets," Bank of England Financial Stability Papers, Bank of England, number 23, Aug.
- Evangelos Benos & Anne Wetherilt & Filip Zikes, 2013, "Financial Stability Paper No 25: The structure and dynamics of the UK CDS market," Bank of England Financial Stability Papers, Bank of England, number 25, Nov.
- Martin Brooke & Alex Pienkowski & Rhys Mendes & Eric Santor, 2013, "Financial Stability Paper No 27: Sovereign Default and State-Contingent Debt," Bank of England Financial Stability Papers, Bank of England, number 27, Nov.
- Vitor Constancio, 2013, "The European Crisis and the role of the financial system," Special Conference Papers, Bank of Greece, number 15, Jul.
- C.A.E Goodhart, 2013, "Lessons for monetary policy from the euro-area crisis," Special Conference Papers, Bank of Greece, number 17, Jul.
- Karl Whelan, 2013, "Ireland’s economic crisis the good, the bad and the ugly," Special Conference Papers, Bank of Greece, number 19, Jul.
- Barry Eichengreen & Naeun Jung & Stephen Moch & Ashoka Mody, 2013, "The eurozone crisis: phoenix miracle or lost decade?," Special Conference Papers, Bank of Greece, number 25, Jul.
- John Geanakoplos, 2013, "Leverage, default, and forgiveness: lessons from the American and European crises," Special Conference Papers, Bank of Greece, number 27, Jul.
- Heather D. Gibson & Theodore Palivos & George S. Tavlas, 2013, "The crisis in the euro area: an analytic overview," Special Conference Papers, Bank of Greece, number 28, Jul.
- Dimitrios P. Louzis, 2013, "Measuring return and volatility spillovers in euro area financial markets," Working Papers, Bank of Greece, number 154, Mar.
- Dimitrios P. Louzis & Angelos T. Vouldis, 2013, "A financial systemic stress index for Greece," Working Papers, Bank of Greece, number 155, Mar.
- Frederick Dongchuhl Oh & Hyunjoon Lim, 2013, "Recent Theories Regarding Financial Contagion (in Korean)," Economic Analysis (Quarterly), Economic Research Institute, Bank of Korea, volume 19, issue 3, pages 111-140, September.
- Jong Kyu Lee, 2013, "The Operation of Macroprudential Policy Measures: The Case of Korea in the 2000s," Working Papers, Economic Research Institute, Bank of Korea, number 2013-1, Feb.
- Seung Hwan Lee, 2013, "Systemic Liquidity Shortages and Interbank Network Structures," Working Papers, Economic Research Institute, Bank of Korea, number 2013-4, Mar.
- Jack Joo K. Ree & Kyoungsoo Yoon & Hail Park, 2013, "FX Funding Risks and Exchange Rate Volatility-Korea's Case," Working Papers, Economic Research Institute, Bank of Korea, number 2013-12, May.
- P. Manasse & L. Zavalloni, 2013, "Sovereign Contagion in Europe: Evidence from the CDS Market," Working Papers, Dipartimento Scienze Economiche, Universita' di Bologna, number wp863, Jan.
- P. Manasse & R. Savona & M. Vezzoli, 2013, "Rules of Thumb for Banking Crises in Emerging Markets," Working Papers, Dipartimento Scienze Economiche, Universita' di Bologna, number wp872, Mar.
- Hautcoeur Pierre-Cyrille & Riva Angelo E., 2013, "What Financiers Usually Do, and What We Can Learn from History," Accounting, Economics, and Law: A Convivium, De Gruyter, volume 3, issue 3, pages 313-331, April, DOI: 10.1515/ael-2013-0034.
- Cristina, CHIFANE, 2013, "Metaphors Of The Crisis - A Reflection Of The Global Financial Situation," Management Strategies Journal, Constantin Brancoveanu University, volume 22, issue 4, pages 78-84.
- Rafael Felipe Schiozer & Diego Lins de Albuquerque Pennachi Tejerina, 2013, "Risk Exposure and Net Flow in Investment Funds: Do Shareholders Monitor Asset Allocation?," Brazilian Review of Finance, Brazilian Society of Finance, volume 11, issue 4, pages 527-558.
- Miriama Vašková, 2013, "Príjmové Nerovnosti Ako Príčina Svetovej Finančnej A Ekonomickej Krízy," Medzinarodne vztahy (Journal of International Relations), Ekonomická univerzita, Fakulta medzinárodných vzťahov, volume 11, issue 4, pages 48-68.
- Laurent Clerc, 2013, "Le shadow banking en Europe," Revue d'économie financière, Association d'économie financière, volume 0, issue 1, pages 17-32.
- Michel Lescure, 2013, "Système financier et crises immobilières : l'exemple de la France à la fin du xix e siècle," Revue d'économie financière, Association d'économie financière, volume 0, issue 2, pages 169-188.
- Ingrid Nappi-Choulet, 2013, "La financiarisation du marché immobilier français : de la crise des années 1990 à la crise des subprimes de 2008," Revue d'économie financière, Association d'économie financière, volume 0, issue 2, pages 189-206.
- Gérard Chastagnaret, 2013, "Banques, caisses d'épargne, immobilier et politiques publiques Une lecture historienne de la crise financière espagnole : l'Espagne toujours diferente ?," Revue d'économie financière, Association d'économie financière, volume 0, issue 2, pages 207-244.
- Paolo Angelini & Giuseppe Grande & Fabio Panetta, 2013, "Les interactions négativesentre banques et États," Revue d'économie financière, Association d'économie financière, volume 0, issue 3, pages 19-62.
- Hans J. Blommestein, 2013, "Le futur de l'emprunt souverain dans un paysage bancaire européen en évolution : moteurs, liens et rétroactions," Revue d'économie financière, Association d'économie financière, volume 0, issue 3, pages 63-82.
- Laurent Nahmias, 2013, "Les banques britanniques à l'épreuve d'un nouveau paradigme réglementaire et d'incertitudes économiques," Revue d'économie financière, Association d'économie financière, volume 0, issue 3, pages 83-107.
- Guillaume Gilquin, 2013, "Le secteur bancaire en Allemagne," Revue d'économie financière, Association d'économie financière, volume 0, issue 3, pages 107-122.
- Giovanni Ajassa, 2013, "Le secteur bancaire italien face aux transformations structurelles et à la récession économique," Revue d'économie financière, Association d'économie financière, volume 0, issue 3, pages 123-138.
- Jésus Castillo, 2013, "Le système bancaire espagnol : du mirage au désastre," Revue d'économie financière, Association d'économie financière, volume 0, issue 3, pages 139-158.
- Erkki Liikanen, 2013, "Quelles leçons avons-nous apprises de la crise financière ?," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 111-124.
- Jan Schildbach & Bernhard Speyer, 2013, "La banque universelle : un modèle menacé malgré son succès," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 125-158.
- Sylvie Matherat, 2013, "Banques : quel business model après la crise ?," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 159-174.
- Stefanie Kleimeier & Harald Sander, 2013, "Les activités bancaires transfrontalières de détail : un aspect méconnu de la mondialisation financière en temps de crise," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 211-242.
- Dominique Dufour & Gregory Heem, 2013, "La valorisation des instruments financiers dans les banques européennes entre 2009 et 2011 : valeurs de marché ou valeurs issues de modèles ?," Revue d'économie financière, Association d'économie financière, volume 0, issue 4, pages 317-338.
- Alain Béraud, 2013, "Mill et la crise de 1825," Revue d'économie politique, Dalloz, volume 123, issue 2, pages 237-264.
- Ito, Ryoko, 2013, "Modeling Dynamic Diurnal Patterns in High-Frequency Financial Data," Cambridge Working Papers in Economics, Faculty of Economics, University of Cambridge, number 1315, Jun.
- João Pinto & Manuel Marques & William Megginson, 2013, "A Comparative Analysis Of Ex Ante Credit Spreads: Structured Finance Versus Straight Debt Finance," Working Papers de Economia (Economics Working Papers), Católica Porto Business School, Universidade Católica Portuguesa, number 05, Dec.
- Conefrey, Thomas & Cronin, David, 2013, "Spillover in Euro Area Sovereign Bond Markets," Research Technical Papers, Central Bank of Ireland, number 05/RT/13, Jul.
- Lidija Barjaktarović & Maja Paunović & Dejan Ječmenica, 2013, "Development of the Banking Sector in CEE Countries – Comparative Analysis," Journal of Central Banking Theory and Practice, Central bank of Montenegro, volume 2, issue 2, pages 93-114.
- David Allen & Michael McAleer & Robert Powell & Abhay Singh, 2013, "A Capital Adequacy Buffer Model," Working Papers in Economics, University of Canterbury, Department of Economics and Finance, number 13/35, Oct.
- Piergiorgio Alessandri & Haroon Mumtaz, 2013, "Financial conditions and density forecasts for US Output and inflation," Joint Research Papers, Centre for Central Banking Studies, Bank of England, number 4, May.
- Nicholas Oulton, 2013, "Medium and Long Run Prospects for UK Growth in the Aftermath of the Financial Crisis," CEP Occasional Papers, Centre for Economic Performance, LSE, number 37, Oct.
- Mathias Hoffmann & Toshihiro Okubo, 2013, "'By a Silken Thread': Regional Banking Integration and Pathways to Financial Development in Japan's Great Recession," CESifo Working Paper Series, CESifo, number 4090.
- Christa Hainz & Manuel Wiegand, 2013, "Financing of the German Economy During the Financial Crisis," ifo DICE Report, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 11, issue 01, pages 48-54, April.
- Stefan Homburg, 2013, "On European Austerity," CESifo Forum, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 14, issue 02, pages 38-40, August.
- Hans-Werner Sinn, 2013, "Die Target-Verluste im Fall des Auseinanderbrechens des Euro – Eine Replik auf De Grauwe und Ji," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 66, issue 01, pages 14-24, January.
- George Soros & Hans-Werner Sinn, 2013, "Zur Debatte zwischen George Soros und Hans-Werner Sinn," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 66, issue 09, pages 21-27, May.
- Ulrich van Suntum, 2013, "Prognos-Studie kann negative Folgen einer Rückkehr zur D-Mark nicht belegen," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 66, issue 10, pages 39-49, May.
- Tim Oliver Berg & Kai Carstensen, 2013, "Vorteile Deutschlands durch die Währungsunion?," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 66, issue 10, pages 50-54, May.
- Dietrich Murswiek, 2013, "Weiterentwicklung der Europäischen Währungsunion und demokratische Legitimation," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 66, issue 13, pages 06-11, July.
- Otmar Issing, 2013, "Wohin steuert die Europäische Währungsunion?," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 66, issue 13, pages 12-16, July.
- Michael Böhmer & Thieß Petersen, 2013, "Vorteile Deutschlands durch die Währungsunion: Replik auf die Beiträge von Ulrich van Suntum sowie Tim Oliver Berg und Kai Carstensen im ifo Schnelldienst 10/2013," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 66, issue 14, pages 25-29, July.
- Christa Hainz & Manuel Wiegand, 2013, "How does relationship banking influence credit financing? Evidence from the financial crisis," ifo Working Paper Series, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, number 157.
- Nicholas Oulton, 2013, "Medium and long run prospects for UK growth in the aftermath of the financial crisis," Discussion Papers, Centre for Macroeconomics (CFM), number 1307, Dec.
- Diego Ardila & Peter Cauwels & Dorsa Sanadgol & Didier Sornette, 2013, "Is There A Real Estate Bubble in Switzerland? (Diagnostic as of 2012-Q4)," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 13-07, Mar.
- Martin Hoesli & Reka Kustrim, 2013, "Contagion Channels between Real Estate and Financial Markets," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 13-12, Apr.
- Matthias Efing & Harald Hau, 2013, "Structured Debt Ratings: Evidence on Conflicts of Interest," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 13-21, Oct.
- Hamed Amini & Damir Filipović & Andreea Minca, 2013, "Systemic Risk and Central Clearing Counterparty Design," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 13-34, Jun.
- Didier Sornette & Peter Cauwels, 2013, "A Creepy World," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 13-55, Oct, revised Feb 2014.
- Johannes Brumm & Michael Grill & Felix Kubler & Karl Schmedders, 2013, "Margin Regulation and Volatility," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 13-59, Dec.
- Vladimir Filimonov & Didier Sornette, 2013, "Apparent Criticality and Calibration Issues in the Hawkes Self-Excited Point Process Model: Application to High-Frequency Financial Data," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 13-60, Dec.
- Giscard Assoumou Ella, 2013, "Impact of international income, prices and monetary shocks on real exchange rate in eight African economies: An empirical study," The Empirical Econometrics and Quantitative Economics Letters, Faculty of Economics, Chiang Mai University, volume 2, issue 3, pages 41-54, September.
- Varvara Isyuk, 2013, "Financial versus demand shocks in stock price returns of U.S. non-financial firms in the crisis of 2007," International Economics, CEPII research center, issue 133, pages 29-49.
- Theo Berger, 2013, "Forecasting value-at-risk using time varying copulas and EVT return distributions," International Economics, CEPII research center, issue 133, pages 93-106.
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