Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2013
- Mariana Mazzucato & Alan Shipman, 2013, "Accounting for productive investment and value creation," SPRU Working Paper Series, SPRU - Science Policy Research Unit, University of Sussex Business School, number 2013-09, Oct.
- Markus Behn & Rainer Haselmann & Paul Wachtel, 2013, "Pro-Cyclical Capital Regulation and Lending," Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics, number 13-11.
- Thomas Cooley & Ramon Marimon & Vincenzo Quadrini, 2013, "Risky Investments with Limited Commitment," Working Papers, New York University, Leonard N. Stern School of Business, Department of Economics, number 13-17.
- S. Anderson & T. R. Beard & H. Kim & L. V. Stern, 2013, "Fear and Closed-End Fund discounts," Applied Economics Letters, Taylor & Francis Journals, volume 20, issue 10, pages 956-959, July, DOI: 10.1080/13504851.2013.767969.
- Radu Vranceanu & Damien Besancenot, 2013, "The spending multiplier in a time of massive public debt: The Euro-area case," Applied Economics Letters, Taylor & Francis Journals, volume 20, issue 8, pages 758-762, May, DOI: 10.1080/13504851.2012.741674.
- Roland Craigwell & Troy Lorde & Winston Moore, 2013, "Fiscal policy and the duration of financial crises," Applied Economics, Taylor & Francis Journals, volume 45, issue 6, pages 793-801, February, DOI: 10.1080/00036846.2011.613769.
- Murat Ungor, 2013, ""In the Wake of the Crisis : Leading Economists Reassess Economic Policy" Edited by Olivier Blanchard, David Romer, Michael Spence, and Joseph Stiglitz," Central Bank Review, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, volume 13, issue 2, pages 103-114.
- Stijn Claessens & M. Ayhan Kose, 2013, "Financial Crises: Review and Evidence," Central Bank Review, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, volume 13, issue 3, pages 1-23.
- Irem Talasli, 2013, "Systemic Risk Analysis of Turkish Financial Institutions with Systemic Expected Shortfall," Central Bank Review, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, volume 13, issue Special I, pages 25-40.
- Irem Talasli, 2013, "Systemic Risk Analysis of Turkish Financial Institutions with Systemic Expected Shortfall," Working Papers, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, number 1311.
- Yavuz Arslan, 2013, "Interest Rate Fluctuations and Equilibrium in the Housing Market," Working Papers, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, number 1343.
- CLIPICI Emilia & FRANT Florin, 2013, "Considerations Concerning Guarantee Schemes," Anale. Seria Stiinte Economice. Timisoara, Faculty of Economics, Tibiscus University in Timisoara, volume 0, pages 134-141, May.
- CRISTE Adina & LUPU Iulia, 2013, "The Conflict Relation Between the Sovereign Debt of the Euro Area Countries and the Common Monetary Policy As a Potential Source For Geopolitical Changes," Anale. Seria Stiinte Economice. Timisoara, Faculty of Economics, Tibiscus University in Timisoara, volume 0, pages 167-173, May.
- Beniamino Moro, 2013, "The Run On Repo and the Liquidity Shortage Problems of the Current Global Financial Crisis: Europe vs. The US," Ekonomi-tek - International Economics Journal, Turkish Economic Association, volume 2, issue 1, pages 41-77, January.
- , L., 2013, "Fragility of reputation and clustering of risk-taking," Theoretical Economics, Econometric Society, volume 8, issue 3, September.
- Dirk Schoenmaker & Arjen Siegmann, 2013, "Efficiency Gains of a European Banking Union," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 13-026/IV/DSF51, Feb.
- Sweder van Wijnbergen & Sajjad Zaheer, 2013, "Sukuk Defaults: On Distress Resolution in Islamic Finance," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 13-087/VI/DSF57, Jul.
- David Allen & Michael McAleer, 2013, "A Capital Adequacy Buffer Model," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 13-168/III, Oct.
- Amelia Pais & Philip A. Stork, 2013, "Short-Selling, Leverage and Systemic Risk," Tinbergen Institute Discussion Papers, Tinbergen Institute, number 13-186/IV/DSF68, Nov.
- Ongena, S. & Peydro, J.L. & van Horen, N., 2013, "Shocks Abroad, Pain at Home? Bank-firm Level Evidence on the International Transmission of Financial Shocks," Discussion Paper, Tilburg University, Center for Economic Research, number 2013-040.
- Giusti, G. & Noussair, C.N. & Voth, H-J., 2013, "Recreating the South Sea Bubble : Lessons from an Experiment in Financial History," Discussion Paper, Tilburg University, Center for Economic Research, number 2013-042.
- Ongena, S. & Peydro, J.L. & van Horen, N., 2013, "Shocks Abroad, Pain at Home? Bank-firm Level Evidence on the International Transmission of Financial Shocks," Other publications TiSEM, Tilburg University, School of Economics and Management, number 74a6ead6-0e8d-4843-91c0-0.
- Ongena, S. & Peydro, J.L. & van Horen, N., 2013, "Shocks Abroad, Pain at Home? Bank-firm Level Evidence on the International Transmission of Financial Shocks," Other publications TiSEM, Tilburg University, School of Economics and Management, number 9f253c47-adc4-43bf-873b-3.
- Giusti, G. & Noussair, C.N. & Voth, H-J., 2013, "Recreating the South Sea Bubble : Lessons from an Experiment in Financial History," Other publications TiSEM, Tilburg University, School of Economics and Management, number dd894e7e-521a-4092-94b0-0.
- TN Srinivasan, 2013, "Trends and Impacts of Real and Financial Globalization in the People's Republic of China and India since the 1980s," Asian Development Review, MIT Press, volume 30, issue 1, pages 1-30, March.
- Hiau Looi Kee & Cristina Neagu & Alessandro Nicita, 2013, "Is Protectionism on the Rise? Assessing National Trade Policies during the Crisis of 2008," The Review of Economics and Statistics, MIT Press, volume 95, issue 1, pages 342-346, March.
- Mary Hallward-Driemeier & Bob Rijkers, 2013, "Do Crises Catalyze Creative Destruction? Firm-level Evidence from Indonesia," The Review of Economics and Statistics, MIT Press, volume 95, issue 5, pages 1788-1810, December.
- Mark Setterfield & Bill Gibson, 2013, "Real and financial crises: A multi-agent approach," Working Papers, Trinity College, Department of Economics, number 1309, Jul, revised Jul 2014.
- Ronny Mazzocchi, 2013, "Monetary Policy when the NAIRI is unknown: The Fed and the Great Deviation," DEM Discussion Papers, Department of Economics and Management, number 2013/16.
- David E. Allen & Michael McAleer & Robert J. Powell & Abhay K. Singh, 2013, "A Capital Adequacy Buffer Model," Documentos de Trabajo del ICAE, Universidad Complutense de Madrid, Facultad de Ciencias Económicas y Empresariales, Instituto Complutense de Análisis Económico, number 2013-33.
- Massimiliano Caporin & Juan Ángel Jiménez Martín & Lydia González-Serrano, 2013, "Currency hedging strategies, strategic benchmarks and the Global and Euro Sovereign financial crises," Documentos de Trabajo del ICAE, Universidad Complutense de Madrid, Facultad de Ciencias Económicas y Empresariales, Instituto Complutense de Análisis Económico, number 2013-36, Jun.
- Pedro Carmona Ibáñez & Julián Martínez Vargas & José Pozuelo Campillo, 2013, "Diagnóstico económico-financiero de la empresa cooperativa: (Un estudio comparado de los años 2004 y 2007)
[Economic and financial diagnosis of cooperative enterprises: (A comparative study of the years 2004 and 2007)]," REVESCO: Revista de estudios cooperativos, Universidad Complutense de Madrid, Facultad de Ciencias Económicas y Empresariales, Escuela de Estudios Cooperativos, issue 110, pages 43-95. - Simón Sosvilla-Rivero & Amalia Morales-Zumaquero, 2013, "Real exchange rate volatility, financial crises and nominal exchange regimes," Working Papers del Instituto Complutense de Estudios Internacionales, Universidad Complutense de Madrid, Instituto Complutense de Estudios Internacionales, number 1306.
- Karl Whelan, 2013, "Ireland’s economic crisis - the good, the bad and the ugly," Working Papers, School of Economics, University College Dublin, number 201306, Jul.
- Nicolas Berman & José de Sousa & Philippe Martin & Thierry Mayer, 2013, "Time to Ship during Financial Crises," NBER International Seminar on Macroeconomics, University of Chicago Press, volume 9, issue 1, pages 225-260, DOI: 10.1086/669587.
- Tobias Adrian & Paolo Colla & Hyun Song Shin, 2013, "Which Financial Frictions? Parsing the Evidence from the Financial Crisis of 2007 to 2009," NBER Macroeconomics Annual, University of Chicago Press, volume 27, issue 1, pages 159-214, DOI: 10.1086/669176.
- Stefano Grassi & Paolo Santucci de Magistris, 2013, "It's all about volatility of volatility: evidence from a two-factor stochastic volatility model," Studies in Economics, School of Economics, University of Kent, number 1404, Nov.
- Matthieu Bussière & Jean Imbs & Robert Kollmann & Romain Rancière, 2013, "The financial crisis: Lessons for international macroeconomics," ULB Institutional Repository, ULB -- Universite Libre de Bruxelles, number 2013/187952, Jul.
- Oğuz Esen & Ayla Oğuş Binatlı, 2013, "The Minsky Perspective on Macroprudential Policy," Working Papers, Political Economy Research Institute, University of Massachusetts at Amherst, number wp308.
- Westerlund, J. & Smeekes, S., 2013, "Robust block bootstrap panel predictability tests," Research Memorandum, Maastricht University, Graduate School of Business and Economics (GSBE), number 060, Jan, DOI: 10.26481/umagsb.2013060.
- Peter Koudijs & Joachim Voth, 2013, "Leverage and beliefs: Personal experience and risk taking in margin lending," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1343, Nov.
- Rajkamal Iyer & Samuel Da-Rocha-Lopes & José-Luis Peydró & Antoinette Schoar, 2013, "Interbank liquidity crunch and the firm credit crunch: Evidence from the 2007-2009 crisis," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1365, Apr.
- Giovanni Giusti & Charles Noussair & Joachim Voth, 2013, "Recreating the South Sea bubble: Lessons from an experiment in financial history," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1381, Sep.
- Matteo Ciccarelli & Angela Maddaloni & José-Luis Peydró, 2013, "Trusting the bankers: A new look at the credit channel of monetary policy," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1724, Jul.
- Mancini, Loreano & Ranaldo, Angelo & Wrampelmeyer, Jan, 2013, "The Euro Interbank Repo Market," Working Papers on Finance, University of St. Gallen, School of Finance, number 1316, Sep, revised Sep 2015.
- Chabi-Yo, Fousseni & Ruenzi, Stefan & Weigert, Florian, 2013, "Crash Sensitivity and the Cross-Section of Expected Stock Returns," Working Papers on Finance, University of St. Gallen, School of Finance, number 1324, Mar, revised Feb 2016.
- Weigert, Florian, 2013, "Crash Aversion and the Cross-Section of Expected Stock Returns Worldwide," Working Papers on Finance, University of St. Gallen, School of Finance, number 1325, Mar, revised Nov 2015.
- Ruenzi, Stefan & Ungeheuer, Michael & Weigert, Florian, 2013, "Extreme Downside Liquidity Risk," Working Papers on Finance, University of St. Gallen, School of Finance, number 1326, Nov, revised Jul 2015.
- Alesia Kalbaska, 2013, "From Sovereigns to Banks: Evidence on Cross-border Contagion (2006-2011)," Department of Economics University of Siena, Department of Economics, University of Siena, number 680, Aug.
- Loriana Pelizzon & Domenico Sartore, 2013, "Deciphering the Libor and Euribor Spreads during the subprime crisis," Working Papers, Department of Economics, University of Venice "Ca' Foscari", number 2013: 14.
- Grzegorz Libor & Jolanta Galuszka & Ireneusz Galuszka, 2013, "Economic and political implications of the Poladn’s accession to the European fiscal union," Rivista Internazionale di Scienze Sociali, Vita e Pensiero, Pubblicazioni dell'Universita' Cattolica del Sacro Cuore, volume 121, issue 2, pages 211-232.
- CLICHICI, Dorina, 2013, "The Determinants Of Banking System Vulnerability In The Republic Of Moldova," Studii Financiare (Financial Studies), Centre of Financial and Monetary Research "Victor Slavescu", volume 17, issue 4, pages 8-21.
- Adams-Kane, Jonathon & Caballero, Julian A. & Lim, Jamus Jerome, 2013, "Foreign bank behavior during financial crises," Policy Research Working Paper Series, The World Bank, number 6590, Sep.
- Vasily Astrov & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Michael Landesmann & Sebastian Leitner & Olga Pindyuk & Leon Podkaminer & Sandor , 2013, "Double-dip Recession over, yet no Boom in Sight," wiiw Forecast Reports, The Vienna Institute for International Economic Studies, wiiw, number 11, Mar.
- Vasily Astrov & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Michael Landesmann & Sebastian Leitner & Olga Pindyuk & Leon Podkaminer & Sandor , 2013, "Animal Spirits still Dimmed: Slow Recovery Expected," wiiw Forecast Reports, The Vienna Institute for International Economic Studies, wiiw, number 12, Jul.
- Helmut Hofer & Michael Landesmann & Isilda Mara & Philip Schuster & Gerlinde Titelbach & Hermine Vidovic, 2013, "Auswirkungen der Arbeitsmarktöffnung am 1. Jänner 2014 auf den Wirtschafts- und Arbeitsstandort Österreich," wiiw Research Reports in German language, The Vienna Institute for International Economic Studies, wiiw, number 2013-10, Oct.
- Sandra M. Leitner & Robert Stehrer, 2013, "R&D and Non-R&D Innovators in the Financial Crisis: the Role of Binding Credit Constraints," wiiw Working Papers, The Vienna Institute for International Economic Studies, wiiw, number 95, Feb.
- Patrick Konermann & Christoph Meinerding & Olga Sedova, 2013, "Asset allocation in markets with contagion: The interplay between volatilities, jump intensities, and correlations," Review of Financial Economics, John Wiley & Sons, volume 22, issue 1, pages 36-46, January, DOI: 10.1016/j.rfe.2012.08.001.
- Khawla Bourkhis & Mahmoud Sami Nabi, 2013, "Islamic and conventional banks' soundness during the 2007–2008 financial crisis," Review of Financial Economics, John Wiley & Sons, volume 22, issue 2, pages 68-77, April, DOI: 10.1016/j.rfe.2013.01.001.
- Claudio Albanese & Damiano Brigo & Frank Oertel, 2013, "Restructuring Counterparty Credit Risk," International Journal of Theoretical and Applied Finance (IJTAF), World Scientific Publishing Co. Pte. Ltd., volume 16, issue 02, pages 1-29, DOI: 10.1142/S0219024913500106.
- A. Karunagaran, 2013, "Global Crisis And The Demand For Gold By Central Banks: A Review Essay With Reference To India," Journal of International Commerce, Economics and Policy (JICEP), World Scientific Publishing Co. Pte. Ltd., volume 4, issue 01, pages 1-18, DOI: 10.1142/S1793993313500063.
- Oliviero Roggi & Edward I Altman (ed.), 2013, "Managing and Measuring Risk:Emerging Global Standards and Regulations After the Financial Crisis," World Scientific Books, World Scientific Publishing Co. Pte. Ltd., number 8565, ISBN: ARRAY(0x86b46d68).
- Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer (ed.), 2013, "The Role of Central Banks in Financial Stability:How Has It Changed?," World Scientific Books, World Scientific Publishing Co. Pte. Ltd., number 8720, ISBN: ARRAY(0x86c0ffd8).
- Bernard Lee, 2014, "Evolving Roles of Sovereign Wealth Managers After the Financial Crisis:Past, Present and Future," World Scientific Books, World Scientific Publishing Co. Pte. Ltd., number 8732, ISBN: ARRAY(0x85da4a70).
- Oliviero Roggi & Omar Ottonelli, 2013, "An Evolutionary Perspective On The Concept Of Risk, Uncertainty And Risk Management," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 1, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Edward I. Altman & Herbert Rijken, 2013, "Toward A Bottom-Up Approach To Assessing Sovereign Default Risk: An Update," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 2, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Viral V. Acharya & Christian Brownlees & Robert Engle & Farhang Farazmand & Matthew Richardson, 2013, "Measuring Systemic Risk," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 3, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Viral V. Acharya & Lasse Pedersen & Thomas Philippon & Matthew Richardson, 2013, "Taxing Systemic Risk," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 4, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Menachem Brenner & Ben Z. Schreiber, 2013, "Liquidity And Efficiency In Three Related Foreign Exchange Options Markets," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 5, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Nils Friewald & Rainer Jankowitsch & Marti G. Subrahmanyam, 2013, "Illiquidity Or Credit Deterioration: A Study Of Liquidity In The Us Corporate Bond Market During Financial Crises," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 6, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Zvi Bodie, 2013, "Integrated Wealth And Risk Management: First Principles," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 7, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Torben Juul Andersen, 2013, "Analyzing The Impact Of Effective Risk Management: Innovation And Capital Structure Effects," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 8, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Edward I. Altman & Gabriele Sabato, 2013, "MODELING CREDIT RISK FOR SMEs: EVIDENCE FROM THE US MARKET," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 9, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Oliviero Roggi & Alessandro Giannozzi, 2013, "Sme Rating: Risk Globally, Measure Locally," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 10, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Jon Frye & Michael Jacobs Jr., 2013, "Credit Loss And Systematic Lgd," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 11, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Aswath Damodaran, 2013, "Equity Risk Premiums (Erp): Determinants, Estimation And Implications — The 2012 Edition," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 12, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Sébastien Lleo & William T. Ziemba, 2013, "Stock Market Crashes In 2007–2009: Were We Able To Predict Them?," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 13, in: Oliviero Roggi & Edward I Altman, "Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis".
- Peter Praet, 2013, "The (Changing) Role of Central Banks in Financial Stability Policies," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 1, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Willem H. Buiter, 2013, "The Role of Central Banks in Financial Stability: How Has It Changed?," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 2, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Janet L. Yellen, 2013, "Pursuing Financial Stability at the Federal Reserve," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 3, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Nellie Liang, 2013, "Financial Stability: Lessons Learned from the Recent Crisis and Implications for the Federal Reserve," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 4, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Takeo Hoshi, 2013, "Role of Central Banks in Financial Stability: Lessons from the Experience of the Bank of Japan," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 5, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Carlos A. Vegh & Guillermo Vuletin, 2013, "Overcoming the Fear of Free Falling: Monetary Policy Graduation in Emerging Markets," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 6, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Mathias Drehmann & Claudio Borio & Kostas Tsatsaronis, 2013, "Can We Identify the Financial Cycle?," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 7, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Kenneth N. Kuttner, 2013, "Low Interest Rates and Housing Bubbles: Still No Smoking Gun," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 8, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Takatoshi Ito, 2013, "Classic FIT and Lean FIT: Is Inflation-Targeting Guilty of Causing the Financial Instability of 2007–2009?," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 9, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Asli Demirgüç-Kunt, 2013, "Bank Capital Regulations: Learning the Right Lessons from the Crisis," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 10, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Ronald McKinnon, 2013, "International Monetary Reform: Exchange Rates or Interest Rates?," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 11, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Liliana Rojas-Suarez, 2013, "Threats to Financial Stability in Emerging Markets: The New and Very Active Role of Central Banks," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 12, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Ross Levine, 2013, "In Defense of Wall Street: The Social Productivity of the Financial System," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 13, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Alexander Popov, 2013, "Output Growth Variability: The Role of Financial Markets," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 14, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Gerard Caprio Jr., 2013, "Occupying the Wrong Street? The Social Productivity of the Financial Sector: Some Comments," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 15, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Edward J. Kane, 2013, "Bankers and Brokers First: Loose Ends in the Theory of Central Bank Policymaking," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 16, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Joseph P. Hughes, 2013, "The Elusive Scale Economies of the Largest Banks and Their Implications for Global Competitiveness," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 17, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Evren Damar & Reint Gropp & Adi Mordel, 2013, "The Ex Ante versus Ex Post Effect of Public Guarantees," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 18, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- David A. Skeel Jr., 2013, "Real and Imaginary Resolution Options for Large Financial Institutions," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 19, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Benjamin M. Friedman, 2013, "Is Our Economy's Financial Sector Worth What It Costs Us?," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 20, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Richard C. Koo, 2013, "The Eurozone Crisis: Causes, Remedy, and Misperceptions," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 21, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Frederic S. Mishkin, 2013, "Macroprudential and Monetary Policies," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 22, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Richard Portes, 2013, "The Eurozone Crisis," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 23, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Anne Sibert, 2013, "The Way Forward — Central Banks with Financial Stability Mandates: The Case of the Eurosystem," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 24, in: Douglas D Evanoff & Cornelia Holthausen & George G Kaufman & Manfred Kremer, "The Role of Central Banks in Financial Stability How Has It Changed?".
- Marco Pagano, 2013, "Finance: Economic Lifeblood or Toxin?," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 8, in: Viral V Acharya & Thorsten Beck & Douglas D Evanoff & George G Kaufman & Richard Portes, "The Social Value of the Financial Sector Too Big to Fail or Just Too Big?".
- Viral V. Acharya & T. Sabri Öncü, 2013, "A Proposal for the Resolution of Systemically Important Assets and Liabilities: The Case of the Repo Market," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 10, in: Viral V Acharya & Thorsten Beck & Douglas D Evanoff & George G Kaufman & Richard Portes, "The Social Value of the Financial Sector Too Big to Fail or Just Too Big?".
- David Guerreiro, 2013, "Is the European debt crisis a mere balance of payments crisis?," FIW Working Paper series, FIW, number 118, Apr.
- Sorana VĂTAVU, 2013, "Determinants of Corporate Debt Ratios: Evidence from Manufacturing Companies Listed on the Bucharest Stock Exchange," Timisoara Journal of Economics and Business, West University of Timisoara, Romania, Faculty of Economics and Business Administration, volume 6, issue 20, pages 99-126.
- Peter Simmons & Yuanyuan Xie, 2013, "Financial Markets Around the Great Recession: East Meets West," Discussion Papers, Department of Economics, University of York, number 13/29, Nov.
- Duncan, Andrew S. & Kabundi, Alain, 2013, "Domestic and foreign sources of volatility spillover to South African asset classes," Economic Modelling, Elsevier, volume 31, issue C, pages 566-573, DOI: 10.1016/j.econmod.2012.11.016.
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- Samitas, Aristeidis & Tsakalos, Ioannis, 2013, "How can a small country affect the European economy? The Greek contagion phenomenon," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 25, issue C, pages 18-32, DOI: 10.1016/j.intfin.2013.01.005.
- Gavriilidis, Konstantinos & Kallinterakis, Vasileios & Ferreira, Mario Pedro Leite, 2013, "Institutional industry herding: Intentional or spurious?," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 26, issue C, pages 192-214, DOI: 10.1016/j.intfin.2013.05.008.
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- Easton, Steve & Pinder, Sean & Uylangco, Katherine, 2013, "A case study of short-sale constraints and limits to arbitrage," Journal of Banking & Finance, Elsevier, volume 37, issue 10, pages 3924-3929, DOI: 10.1016/j.jbankfin.2013.07.012.
- Kontonikas, Alexandros & MacDonald, Ronald & Saggu, Aman, 2013, "Stock market reaction to fed funds rate surprises: State dependence and the financial crisis," Journal of Banking & Finance, Elsevier, volume 37, issue 11, pages 4025-4037, DOI: 10.1016/j.jbankfin.2013.06.010.
- Trapp, Monika & Wewel, Claudio, 2013, "Transatlantic systemic risk," Journal of Banking & Finance, Elsevier, volume 37, issue 11, pages 4241-4255, DOI: 10.1016/j.jbankfin.2013.07.024.
- Cipriani, Marco & Gardenal, Gloria & Guarino, Antonio, 2013, "Financial contagion in the laboratory: The cross-market rebalancing channel," Journal of Banking & Finance, Elsevier, volume 37, issue 11, pages 4310-4326, DOI: 10.1016/j.jbankfin.2013.06.005.
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- Cull, Robert & Martínez Pería, María Soledad, 2013, "Bank ownership and lending patterns during the 2008–2009 financial crisis: Evidence from Latin America and Eastern Europe," Journal of Banking & Finance, Elsevier, volume 37, issue 12, pages 4861-4878, DOI: 10.1016/j.jbankfin.2013.08.017.
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- Akay, Ozgur (Ozzy) & Griffiths, Mark D. & Kotomin, Vladimir & Winters, Drew B., 2013, "A look inside AMLF: What traded and who benefited," Journal of Banking & Finance, Elsevier, volume 37, issue 5, pages 1643-1657, DOI: 10.1016/j.jbankfin.2012.12.010.
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- Carbó-Valverde, Santiago & Kane, Edward J. & Rodriguez-Fernandez, Francisco, 2013, "Safety-net benefits conferred on difficult-to-fail-and-unwind banks in the US and EU before and during the great recession," Journal of Banking & Finance, Elsevier, volume 37, issue 6, pages 1845-1859, DOI: 10.1016/j.jbankfin.2012.07.024.
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- Groba, Jonatan & Lafuente, Juan A. & Serrano, Pedro, 2013, "The impact of distressed economies on the EU sovereign market," Journal of Banking & Finance, Elsevier, volume 37, issue 7, pages 2520-2532, DOI: 10.1016/j.jbankfin.2013.02.003.
- Asako, Kazumi & Liu, Zhentao, 2013, "A statistical model of speculative bubbles, with applications to the stock markets of the United States, Japan, and China," Journal of Banking & Finance, Elsevier, volume 37, issue 7, pages 2639-2651, DOI: 10.1016/j.jbankfin.2013.02.015.
- Baltzer, Markus & Stolper, Oscar & Walter, Andreas, 2013, "Is local bias a cross-border phenomenon? Evidence from individual investors’ international asset allocation," Journal of Banking & Finance, Elsevier, volume 37, issue 8, pages 2823-2835, DOI: 10.1016/j.jbankfin.2013.04.009.
- Mirzaei, Ali & Moore, Tomoe & Liu, Guy, 2013, "Does market structure matter on banks’ profitability and stability? Emerging vs. advanced economies," Journal of Banking & Finance, Elsevier, volume 37, issue 8, pages 2920-2937, DOI: 10.1016/j.jbankfin.2013.04.031.
- Chang, Charles & Fuh, Cheng-Der & Lin, Shih-Kuei, 2013, "A tale of two regimes: Theory and empirical evidence for a Markov-modulated jump diffusion model of equity returns and derivative pricing implications," Journal of Banking & Finance, Elsevier, volume 37, issue 8, pages 3204-3217, DOI: 10.1016/j.jbankfin.2013.03.009.
- Gębka, Bartosz & Karoglou, Michail, 2013, "Have the GIPSI settled down? Breaks and multivariate stochastic volatility models for, and not against, the European financial integration," Journal of Banking & Finance, Elsevier, volume 37, issue 9, pages 3639-3653, DOI: 10.1016/j.jbankfin.2013.04.035.
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