Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
2011
- Sudipto Bhattacharya & Kjell G. Nyborg, 2011, "Bank Bailout Menus," FMG Discussion Papers, Financial Markets Group, number dp676, Mar.
- Dembinski, Paul H., 2011, "Encyclical Letter "Caritas in Veritate": An Economist's Reading," FSES Working Papers, Faculty of Economics and Social Sciences, University of Freiburg/Fribourg Switzerland, number 422, Oct.
- Panzera, Fabio S., 2011, "Price stability and financial imbalances: rethinking the macrofinancial framework after the 2007-8 financial crisis," FSES Working Papers, Faculty of Economics and Social Sciences, University of Freiburg/Fribourg Switzerland, number 423, Dec.
2010
- Ziesemer, Thomas H.W., 2010, "The impact of the credit crisis on poor developing countries: Growth, worker remittances, accumulation and migration," Economic Modelling, Elsevier, volume 27, issue 5, pages 1230-1245, September.
- Jiang, Zhi-Qiang & Zhou, Wei-Xing & Sornette, Didier & Woodard, Ryan & Bastiaensen, Ken & Cauwels, Peter, 2010, "Bubble diagnosis and prediction of the 2005-2007 and 2008-2009 Chinese stock market bubbles," Journal of Economic Behavior & Organization, Elsevier, volume 74, issue 3, pages 149-162, June.
- Panageas, Stavros, 2010, "Bailouts, the incentive to manage risk, and financial crises," Journal of Financial Economics, Elsevier, volume 95, issue 3, pages 296-311, March.
- Veronesi, Pietro & Zingales, Luigi, 2010, "Paulson's gift," Journal of Financial Economics, Elsevier, volume 97, issue 3, pages 339-368, September.
- Campello, Murillo & Graham, John R. & Harvey, Campbell R., 2010, "The real effects of financial constraints: Evidence from a financial crisis," Journal of Financial Economics, Elsevier, volume 97, issue 3, pages 470-487, September.
- Demirgüç-Kunt, Asli & Huizinga, Harry, 2010, "Bank activity and funding strategies: The impact on risk and returns," Journal of Financial Economics, Elsevier, volume 98, issue 3, pages 626-650, December.
- Demyanyk, Yuliya & Hasan, Iftekhar, 2010, "Financial crises and bank failures: A review of prediction methods," Omega, Elsevier, volume 38, issue 5, pages 315-324, October.
- Uhlig, Harald, 2010, "A model of a systemic bank run," Journal of Monetary Economics, Elsevier, volume 57, issue 1, pages 78-96, January.
- Suhadolnik, Nicolas & Galimberti, Jaqueson & Da Silva, Sergio, 2010, "Robot traders can prevent extreme events in complex stock markets," Physica A: Statistical Mechanics and its Applications, Elsevier, volume 389, issue 22, pages 5182-5192, DOI: 10.1016/j.physa.2010.07.025.
- Dirk G. Baur, 2010, "Financial Contagion and the Real Economy," CAMA Working Papers, Centre for Applied Macroeconomic Analysis, Crawford School of Public Policy, The Australian National University, number 2010-16, May.
- Dušan Zbašnik, 2010, "Rješavanje problematike deficita i dugova u kriznom periodu," Ekonomija Economics, Rifin d.o.o., volume 17, issue 1, pages 257-280.
- Alejandro Villagómez & Luis Navarro, 2010, "Política fiscal contracíclica en México durante la crisis reciente: Un análisis preliminar," Working Papers, CIDE, División de Economía, number DTE 475, Feb.
- Alejandro Villagómez, 2010, "Notas sobre la primera crisis global del siglo XXI," Working Papers, CIDE, División de Economía, number DTE 492, May.
- Peter Backé, Ernest Gnan and Philipp Hartmann (ed.), 2010, "Contagion and Spillovers: New Insights from the Crisis," SUERF Studies, SUERF - The European Money and Finance Forum, number 2010/5, ISBN: ARRAY(0x7ccee500), May.
- Nicolas Berman and Philippe Martin, 2010, "The Vulnerability Of Sub-Saharan Africa To The Financial Crisis: The Case Of Trade," EUI-RSCAS Working Papers, European University Institute (EUI), Robert Schuman Centre of Advanced Studies (RSCAS), number 15, Mar.
- Amalia Venera Todorut & Liliana Constantinescu, 2010, "A New Strategy for Europe and New Economic Opportunities for Greece and the East European Countries," European Research Studies Journal, European Research Studies Journal, volume 0, issue 2, pages 15-22.
- Monica Violeta Achim & Nicolae Sorin Borlea & Ludovica Breban, 2010, "Financial Crisis and Accounting Information: The Need for Corporate Social Responsibility in Accounting Profession," European Research Studies Journal, European Research Studies Journal, volume 0, issue 3, pages 39-62.
- Angulo Sánchez, Nicolás, 2010, "Gobernanza y crisis del neoliberalismo," Entelequia. Revista Interdisciplinar, Entelequia y Servicios Académicos Intercontinentales SL, issue 11, pages 241-259, Spring.
- Haase, Fee-Alexandra, 2010, "The Linguistic Representation of financial crisis. 'The New York Times Online,' 2008-2009," Entelequia. Revista Interdisciplinar, Entelequia y Servicios Académicos Intercontinentales SL, issue 11, pages 93-106, Spring.
- Jourdon, Philippe, 2010, "La monnaie unique europeenne et sa relation au developpement economique et social coordonne : une analyse cliometrique. Tome I : revue des auteurs et preamble," Entelequia eBooks, Entelequia y Servicios Académicos Intercontinentales SL, number b010, edition 1, ISBN: ARRAY(0x6dbf71a0), May.
- Jourdon, Philippe, 2010, "La monnaie unique europeenne et sa relation au developpement economique et social coordonne : une analyse cliometrique. Tome II : Donnees empiriques sur la periode 1800-2000 : histoires economique et ," Entelequia eBooks, Entelequia y Servicios Académicos Intercontinentales SL, number b011, edition 1, ISBN: ARRAY(0x6e660a68), May.
- Jourdon, Philippe, 2010, "La monnaie unique europeenne et sa relation au developpement economique et social coordonne : une analyse cliometrique. Tome III : Modele et calculs : une theorie monetaire des Cycles de Kondratieff, ," Entelequia eBooks, Entelequia y Servicios Académicos Intercontinentales SL, number b012, edition 1, ISBN: ARRAY(0x6cbbe630), May.
- Jourdon, Philippe, 2010, "La monnaie unique europeenne et sa relation au developpement economique et social coordonne : une analyse cliometrique. Tome IV : Annexes," Entelequia eBooks, Entelequia y Servicios Académicos Intercontinentales SL, number b013, edition 1, ISBN: ARRAY(0x6c96cd08), May.
- Ila Patnaik, 2010, "Why India Choked when Lehman Broke," Working Papers, eSocialSciences, number id:2362.
- Xiaoqiang Cheng & Patrick VAN CAYSEELE, 2010, "State Aid and Competition in Banking: The Case of China in the Late Nineties," Working Papers, eSocialSciences, number id:2435, Feb.
- Ramkishen Rajan, 2010, "The Japanese Economy and Economic Policy in Light of the East Asian Financial Crisis," Working Papers, eSocialSciences, number id:2695, Jul.
- Gloria O. Pasadilla, 2010, "Financial Crisis, Trade Finance, and SMEs: Case of Central Asia," Working Papers, eSocialSciences, number id:3023, Oct.
- Lucas Bretschger & Vivien Kappel, 2010, "Market concentration and the likelihood of financial crises," CER-ETH Economics working paper series, CER-ETH - Center of Economic Research (CER-ETH) at ETH Zurich, number 10/138, Sep.
- Lucjan T. Orlowski, 2010, "Proliferation of risk and policy responses in the EU financial markets," European Economy - Economic Papers 2008 - 2015, Directorate General Economic and Financial Affairs (DG ECFIN), European Commission, number 416, Jul.
- Friederike Niepmann & Tim Schmidt-Eisenlohr, 2010, "Bank Bail-Outs, International Linkages and Cooperation," Economics Working Papers, European University Institute, number ECO2010/05.
- Franklin Allen & Ana Babus & Elena Carletti, 2010, "Financial Connections and Systemic Risk," Economics Working Papers, European University Institute, number ECO2010/26.
- Franklin Allen & Ana Babus & Elena Carletti, 2010, "Financial Connections and Systemic Risk," Economics Working Papers, European University Institute, number ECO2010/30.
- Erkan TOKUCU, 2010, "Kriz Ve Para Politikaları: Para Politikalarının Başarısızlığı Üzerine," Ekonomik Yaklasim, Ekonomik Yaklasim Association, volume 21, issue 76, pages 31-54, DOI: 10.5455/ey.20044.
- Mustafa DURMUŞ, 2010, "Aşırı Birikim - Finansallaşma İlişkisinin 2008 Krizi Bağlamında Analizi," Ekonomik Yaklasim, Ekonomik Yaklasim Association, volume 21, issue 77, pages 1-48, DOI: 10.5455/ey.20036.
- Petra Benešová & Petr Teply, 2010, "Main Flaws of The Collateralized Debt Obligation‘s: Valuation Before And During The 2008/2009 Global Turmoil," Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, number 2010/01, Jan, revised Jan 2010.
- Radovan Parrák & Jakub Seidler, 2010, "Mean-Variance & Mean-VaR Portfolio Selection: A Simulation Based Comparison in the Czech Crisis Environment," Working Papers IES, Charles University Prague, Faculty of Social Sciences, Institute of Economic Studies, number 2010/27, Nov, revised Nov 2010.
- Viral V. Acharya & Lasse H. Pedersen & Thomas Philippon & Matthew Richardson, 2010, "Measuring systemic risk," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1002, DOI: 10.26509/frbc-wp-201002.
- Martin Saldias Zambrana, 2010, "Systemic risk analysis using forward-looking distance-to-default series," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1005, DOI: 10.26509/frbc-wp-201005.
- Stefania D'Amico & Don H. Kim & Min Wei, 2010, "Tips from TIPS: the informational content of Treasury Inflation-Protected Security prices," Finance and Economics Discussion Series, Board of Governors of the Federal Reserve System (U.S.), number 2010-19.
- Song Han & Dan Li, 2010, "The fragility of discretionary liquidity provision - lessons from the collapse of the auction rate securities market," Finance and Economics Discussion Series, Board of Governors of the Federal Reserve System (U.S.), number 2010-50.
- Viral V. Acharya, 2010, "Measuring systemic risk," Proceedings, Federal Reserve Bank of Chicago, number 1140.
- Gene Amromin & Jennifer Huang & Clemens Sialm & Edward Zhong, 2010, "Complex mortgages," Working Paper Series, Federal Reserve Bank of Chicago, number WP-2010-17.
- Alan S. Blinder, 2010, "Quantitative easing: entrance and exit strategies," Review, Federal Reserve Bank of St. Louis, volume 92, issue Nov, pages 465-480.
- Darrell Duffie & Ada Li & Theo Lubke, 2010, "Policy perspectives on OTC derivatives market infrastructure," Staff Reports, Federal Reserve Bank of New York, number 424.
- Gara M. dup Afonso & Anna Kovner & Antoinette Schoar, 2010, "Stressed, not frozen: the Federal Funds market in the financial crisis," Staff Reports, Federal Reserve Bank of New York, number 437, Mar.
- Nicola Cetorelli & Linda S. Goldberg, 2010, "Global banks and international shock transmission: evidence from the crisis," Staff Reports, Federal Reserve Bank of New York, number 446.
- Adam B. Ashcraft & Paul Goldsmith-Pinkham & James Vickery, 2010, "MBS ratings and the mortgage credit boom," Staff Reports, Federal Reserve Bank of New York, number 449.
- Tobias Adrian & Adam B. Ashcraft & Hayley Boesky & Zoltan Pozsar, 2010, "Shadow banking," Staff Reports, Federal Reserve Bank of New York, number 458.
- Toni Dechario & Patricia C. Mosser & Joseph Tracy & James Vickery & Joshua Wright, 2010, "A private lender cooperative model for residential mortgage finance," Staff Reports, Federal Reserve Bank of New York, number 466, Aug.
- Matteo Barigozzi & Christian T. Brownlees & Giampiero M. Gallo & David Veredas, 2010, "Disentangling Systematic and Idiosyncratic Risk for Large Panels of Assets," Econometrics Working Papers Archive, Universita' degli Studi di Firenze, Dipartimento di Statistica, Informatica, Applicazioni "G. Parenti", number wp2010_06, Jul.
- Andrew Ellul & Vijay Yerramilli, 2010, "Stronger Risk Controls, Lower Risk: Evidence from U.S. Bank Holding Companies," FMG Discussion Papers, Financial Markets Group, number dp646, Feb.
- Caitlin Ann Greatrex & Erick W. Rengifo, 2010, "Government Intervention and the CDS Market: A Look at the Market's Response to Policy Announcements During the 2007-2009 Financial Crisis," Fordham Economics Discussion Paper Series, Fordham University, Department of Economics, number dp2010-12.
- Pavel Trunin, 2010, "Monetary Policy in the Crisis Period," Published Papers, Gaidar Institute for Economic Policy, number 18, revised 2012.
- Wajih Khallouli & Modibo René Sandretto, 2010, "Testing for “contagion” of the subprime crisis on the Middle East and North African stock markets : A Markov Switching EGARCH approach," Working Papers, Groupe d'Analyse et de Théorie Economique Lyon St-Étienne (GATE Lyon St-Étienne), Université de Lyon, number 1022.
- Philippe Bacchetta & Cedric Tille & Eric van Wincoop, 2010, "Self-Fulfilling Risk Panics," IHEID Working Papers, Economics Section, The Graduate Institute of International Studies, number 17-2010, Jun.
- Michael G. Arghyrou & Alexandros Kontonikas, 2010, "The EMU sovereign-debt crisis: Fundamentals, expectations and contagion," Working Papers, Business School - Economics, University of Glasgow, number 2010_25, Sep.
- Ana Fostel & John Geanakoplos, 2010, "Why does Bad News Increase Volatility and Decrease Leverage?," Working Papers, The George Washington University, Institute for International Economic Policy, number 2010-18, Jun.
- François Facchini, 2010, "2007 : une crise systémique ?," Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers), HAL, number hal-00480066, Mar, DOI: 10.3406/ecofi.2010.5397.
- Jézabel Couppey-Soubeyran, 2010, "Financial Regulation in the Crisis Regulation, Market Discipline, Internal Control: The Big Three in turmoil," Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers), HAL, number hal-00627436.
- Fabrizio Coricelli & Isabelle Roland, 2010, "Credit and recessions," Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers), HAL, number halshs-00469521, Jan.
- Pierre-André Maugis, 2010, "Market Efficiencies and Market Risks," Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers), HAL, number halshs-00544324, Nov.
- Jézabel Couppey-Soubeyran, 2010, "Financial Regulation in the Crisis Regulation, Market Discipline, Internal Control: The Big Three in turmoil," Post-Print, HAL, number hal-00627436.
- Fabrizio Coricelli & Isabelle Roland, 2010, "Credit and recessions," Post-Print, HAL, number halshs-00469521, Jan.
- Davide Furceri & Aleksandra Zdzienicka-Durand, 2010, "Banking Crises and Short and Medium Term Output Losses in Developing Countries: The Role of Structural and Policy Variables," Post-Print, HAL, number halshs-00491089.
- Wajih Khallouli & René Sandretto, 2010, "Testing for "contagion" of the subprime crisis on the Middle East and North African stock markets: A Markov Switching EGARCH approach," Post-Print, HAL, number halshs-00589830, Nov.
- Mohamed El Hedi Arouri & Duc Khuong Nguyen & Fredj Jawadi, 2010, "What can we tell about monetary policy synchronization and interdependence over the 2007-2009 global financial crisis?," Working Papers, HAL, number hal-00507826, Aug.
- Hélène Raymond, 2010, "Sovereign Wealth Funds as domestic investors of last resort during crises," Working Papers, HAL, number hal-04140918.
- Vladimir Borgy & Julien Idier & Gaëlle Le Fol, 2010, "Liquidity Problems in the FX Liquid Market," Working Papers, HAL, number halshs-00539985.
- Annamaria Lusardi & Daniel Schneider & Peter Tufano, 2010, "The Economic Crisis and Medical Care Usage," Harvard Business School Working Papers, Harvard Business School, number 10-079, Mar.
- Oxelheim, Lars & Wihlborg, Clas & Thorsheim, Marcus, 2010, "The CFO’s Information Challenge in Managing Macroeconomic Risk," Working Paper Series, Research Institute of Industrial Economics, number 847, Aug.
- De Graeve, Ferre & Karas, Alexei, 2010, "Identifying VARs through Heterogeneity: An Application to Bank Runs," Working Paper Series, Sveriges Riksbank (Central Bank of Sweden), number 244, Jul.
- Chollete, Loran & Ning, Cathy, 2010, "Asymmetric Dependence in US Financial Risk Factors?," UiS Working Papers in Economics and Finance, University of Stavanger, number 2011/2, Apr.
- Bask, Mikael & Widerberg, Anna, 2010, "Measuring the Stability of a Dynamic System: The Case of the Stock Market Turmoil 2007-2008," Working Paper Series, Uppsala University, Department of Economics, number 2010:25, Dec.
- Matthew S. Yiu & Wai-Yip Alex Ho & Lu Jin, 2010, "Dynamic Correlation Analysis of Financial Spillover to Asian and Latin American Markets in Global Financial Turmoil," Working Papers, Hong Kong Monetary Authority, number 1001, Apr.
- Philippe Bacchetta & Cedric Tille & Eric van Wincoop, 2010, "Self-Fulfilling Risk Panics," Working Papers, Hong Kong Institute for Monetary Research, number 282010, Nov.
- Co-Pierre Georg, 2010, "The effect of the interbank network structure on contagion and financial stability," Global Financial Markets Working Paper Series, Friedrich-Schiller-University Jena, number 12-2010, Oct.
- Tomislav Galac, 2010, "The Central Bank as Crisis-Manager in Croatia – A Counterfactual Analysis," Working Papers, The Croatian National Bank, Croatia, number 27, Dec.
- Laibson, David I. & Mollerstrom, Johanna Britta, 2010, "Capital Flows, Consumption Booms and Asset Bubbles: A Behavioural Alternative to the Savings Glut Hypothesis," Scholarly Articles, Harvard University Department of Economics, number 4686766.
- Lynda S. Livingston, 2010, "A Historical Perspective On Dutch Auction Rate Preferred Stock," Accounting & Taxation, The Institute for Business and Finance Research, volume 2, issue 1, pages 1-20.
- Lynda S. Livingston & Amy R. Kast & Kyle M. Benson, 2010, "Investigating The Darps Market Meltdown Through An Investments Project," Business Education and Accreditation, The Institute for Business and Finance Research, volume 2, issue 1, pages 77-92.
- Peter Harris & Paul R. Kutasovic, 2010, "Did Fasb 157 Cause The Financial Crisis?," Global Journal of Business Research, The Institute for Business and Finance Research, volume 4, issue 3, pages 119-125.
- Wei-Hsi Hsu & Yung-Shi Liau & Jack J.W. Yang, 2010, "Evidence On Hedge Ratios Changes Around The Subprime Mortgage Crisis," Global Journal of Business Research, The Institute for Business and Finance Research, volume 4, issue 3, pages 61-71.
- Howard Qi & Yan Alice Xie & Sheen Liu, 2010, "Credit Risk Models: An Analysis Of Default Correlation," The International Journal of Business and Finance Research, The Institute for Business and Finance Research, volume 4, issue 1, pages 37-49.
- Thorvardur Tjörvi Ólafsson & Thórarinn G. Pétursson, 2010, "Weathering the financial storm: The importance of fundamentals and flexibility," Economics, Department of Economics, Central bank of Iceland, number wp51, Oct.
- Galindo, Arturo & Izquierdo, Alejandro & Rojas-Suárez, Liliana, 2010, "Financial Integration and Foreign Banks in Latin America: How Do They Impact the Transmission of External Financial Shocks?," IDB Publications (Working Papers), Inter-American Development Bank, number 1689, Feb.
- Zambrano, Omar & Aguilera-Lizarazu, Gabriela, 2010, "Elementos de sostenibilidad fiscal en países ricos en hidrocarburos: El caso de Bolivia," IDB Publications (Working Papers), Inter-American Development Bank, number 3973, Nov.
- Simona Moagar Poladian, 2010, "The Cyclical Behaviour of Global Economic Crises and Their Strenght," Revista de Economie Mondiala / The Journal of Global Economics, Institute for World Economy, Romanian Academy, volume 2, issue 2, June.
- Olivier Jeanne & Anton Korinek, 2010, "Excessive Volatility in Capital Flows: A Pigouvian Taxation Approach," Working Paper Series, Peterson Institute for International Economics, number WP10-5, May.
- Serdar ÖZKAN & Çağnur KAYTMAZ BALSARI, 2010, "Impact of financial crises on the value relevance of earnings and book value: 1994 and 2001 crises in Turkey," Iktisat Isletme ve Finans, Bilgesel Yayincilik, volume 25, issue 288, pages 81-95.
- Aidan Corcoran, 2010, "Global Funding Liquidity, Equity Returns and Crash Risk: Implications for Monetary Policy," The Institute for International Integration Studies Discussion Paper Series, IIIS, number iiisdp318, Feb, revised Feb 2010.
- Alan S. Blinder, 2010, "It’s Broke, Let’s Fix It: Rethinking Financial Regulation," International Journal of Central Banking, International Journal of Central Banking, volume 6, issue 34, pages 277-330, December.
- Jose M. Berrospide & Rochelle M. Edge, 2010, "The Effects of Bank Capital on Lending: What Do We Know, and What Does It Mean?," International Journal of Central Banking, International Journal of Central Banking, volume 6, issue 34, pages 1-50, December.
- Douglas Gale, 2010, "The Effects of Bank Capital on Lending: What Do We Know, and What Does It Mean?," International Journal of Central Banking, International Journal of Central Banking, volume 6, issue 34, pages 187-204, December.
- Christos S. Savva & Kyriakos C. Neanidis & Denise R. Osborn, 2010, "Business cycle synchronization of the euro area with the new and negotiating member countries," International Journal of Finance & Economics, John Wiley & Sons, Ltd., volume 15, issue 3, pages 288-306, DOI: 10.1002/ijfe.396.
- Verick, Sher. & Islam, Iyanatul,, 2010, "The great recession of 2008-2009 : causes, consequences and policy responses," ILO Working Papers, International Labour Organization, number 994576933402676.
- Franklin Allen & Elena Carletti, 2010, "Financial Regulation Going Forward," IMES Discussion Paper Series, Institute for Monetary and Economic Studies, Bank of Japan, number 10-E-18, Jul.
- Mr. Romain Ranciere & Mr. Michael Kumhof, 2010, "Inequality, Leverage and Crises," IMF Working Papers, International Monetary Fund, number 2010/268, Nov.
- Valentina Vasile & Mirela Matei, 2010, "The Romanian Municipal Bond Market and the International Financial Crisis," Romanian Journal of Economics, Institute of National Economy, volume 30, issue 1(39), pages 110-126, June.
- Gheorghe Zaman & George Georgescu, 2010, "Romania’s External Debt Sustainability Under Crisis Circumstances," Romanian Journal of Economics, Institute of National Economy, volume 30, issue 1(39), pages 5-38, June.
- Michele Cincera & Claudio Cozza & Alexander Tübke & Peter Voigt, 2010, "Doing R&D or not (in a crisis), that is the question..," JRC Working Papers on Corporate R&D and Innovation, Joint Research Centre, number 2010-12, Dec.
- Andrea Amaral & Margarida Abreu & Victor Mendes, 2010, "Contagion in Banking Crises: A Spatial Probit Model," Working Papers Department of Economics, ISEG - Lisbon School of Economics and Management, Department of Economics, Universidade de Lisboa, number 2010/03, Jan.
- Helmut Dietl & Tobias Duschl & Markus Lang, 2010, "Executive Pay Regulation: What Regulators, Shareholders, and Managers Can Learn from Major Sports Leagues," Working Papers, University of Zurich, Institute for Strategy and Business Economics (ISU), number 0129, May, revised Oct 2010.
- Abdulkadir KAYA & Unal GULHAN, 2010, "Küresel Finansal Krizin Isletmelerin Etkinlik ve Performans Duzeylerine Etkileri: 2008 Finansal Kriz Ornegi," Istanbul University Econometrics and Statistics e-Journal, Department of Econometrics, Faculty of Economics, Istanbul University, volume 11, issue 1, pages 61-89, May.
- Michele Fratianni & Francesco Marchionne, 2010, "Banks’ Great Bailout of 2008-2009," Working Papers, Indiana University, Kelley School of Business, Department of Business Economics and Public Policy, number 2010-03, Feb.
- Verick, Sher & Islam, Iyanatul, 2010, "The Great Recession of 2008-2009: Causes, Consequences and Policy Responses," IZA Discussion Papers, Institute of Labor Economics (IZA), number 4934, May.
- Co-Pierre Georg & Jenny Poschmann, 2010, "Systemic risk in a network model of interbank markets with central bank activity," Jena Economics Research Papers, Friedrich-Schiller-University Jena, number 2010-033, Jun.
- William Lang & Julapa Jagtiani, 2010, "The Mortgage and Financial Crises: The Role of Credit Risk Management and Corporate Governance," Atlantic Economic Journal, Springer;International Atlantic Economic Society, volume 38, issue 2, pages 123-144, June, DOI: 10.1007/s11293-010-9221-7.
- William Lang & Julapa Jagtiani, 2010, "The Mortgage and Financial Crises: The Role of Credit Risk Management and Corporate Governance," Atlantic Economic Journal, Springer;International Atlantic Economic Society, volume 38, issue 3, pages 295-316, September, DOI: 10.1007/s11293-010-9240-4.
- Frank Reilly & David Wright & James Gentry, 2010, "An analysis of credit risk spreads for high yield bonds," Review of Quantitative Finance and Accounting, Springer, volume 35, issue 2, pages 179-205, August, DOI: 10.1007/s11156-009-0162-7.
- Oliver Arentz & Johann Eekhoff & Christine Arentz, 2010, "Zur Finanzmarktkrise: Die Rolle der Immobilienbewertung," IWP Discussion Paper Series, Institute for Economic Policy, Cologne, Germany, number 01/2010, Jan.
- Katsushi S. Imai & Ganesh Thapa & Samuel Kobina Annim, 2010, "Microfinance and Poverty -A Macro Perspective," Discussion Paper Series, Research Institute for Economics & Business Administration, Kobe University, number DP2010-30, Oct.
- Katsushi S. Imai & Raghav Gaiha & Ganesh Thapa & Samuel Kobina Annim, 2010, "Microfinance and Poverty -A Macro Perspective," Discussion Paper Series, Research Institute for Economics & Business Administration, Kobe University, number DP2010-33, Nov.
- Király, Júlia & Nagy, Márton & Banai, Ádám, 2010, "Az aranykor vége Magyarországon. "Külföldi" és "lokális" bankok - válság előtt és válság után
[End of the golden age in Hungary. "Foreign" and "local" banks ," Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences), Közgazdasági Szemle Alapítvány (Economic Review Foundation), volume 0, issue 2, pages 105-131. - Várhegyi, Éva, 2010, "A válság hatása a magyarországi bankversenyre
[The effect of the crisis on bank competition in Hungary]," Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences), Közgazdasági Szemle Alapítvány (Economic Review Foundation), volume 0, issue 10, pages 825-846. - Philippe Bacchetta & Cédric Tille & Eric van Wincoop, 2010, "Self-Fulfilling Risk Panics," Cahiers de Recherches Economiques du Département d'économie, Université de Lausanne, Faculté des HEC, Département d’économie, number 10.05, Jun.
- Rémi BAZILLIER & Boris Najman, 2010, "Labour and Financial crisis: is labour paying the price of the crisis ?," LEO Working Papers / DR LEO, Orleans Economics Laboratory / Laboratoire d'Economie d'Orleans (LEO), University of Orleans, number 982.
- Eric Tymoigne, 2010, "Detecting Ponzi Finance: An Evolutionary Approach to the Measure of Financial Fragility," Economics Working Paper Archive, Levy Economics Institute, number wp_605, Jun.
- Stolper, Anno, 2010, "The Appeal of Risky Assets," Discussion Papers in Economics, University of Munich, Department of Economics, number 11878, Oct.
- Sebastian A. Schuetz, 2010, "Structured Finance Influence on Financial Market Stability – Evaluation of Current Regulatory Developments," Working Paper Series in Economics, University of Lüneburg, Institute of Economics, number 178, Jun.
- Katsushi Imai & Raghav Gaiha & Ganesh Thapa & Samuel Kobina Annim, 2010, "Microfinance and Poverty A Macro Perspective," Economics Discussion Paper Series, Economics, The University of Manchester, number 1020.
- Shajari, Parastoo & Mohebi Khah, Bita, 2010, "Early Warning System for Currency and Banking Crisis in Iran (KLR- Signaling Approach)," Journal of Monetary and Banking Research (فصلنامه پژوهشهای پولی-بانکی), Monetary and Banking Research Institute, Central Bank of the Islamic Republic of Iran, volume 2, issue 4, pages 115-152, September.
- Börsch-Supan, Axel & Gasche, Martin, 2010, "Zur Sinnhaftigkeit der Riester-Rente," MEA discussion paper series, Munich Center for the Economics of Aging (MEA) at the Max Planck Institute for Social Law and Social Policy, number 10197, Jan.
- Gasche, Martin & Ziegelmeyer, Michael, 2010, "Verbreitung der Riester-Rente - Hat die Finanz- und Wirtschaftskrise Spuren hinterlassen?," MEA discussion paper series, Munich Center for the Economics of Aging (MEA) at the Max Planck Institute for Social Law and Social Policy, number 10198, Feb.
- John T. Harvey, 2010, "Modeling financial crises: a schematic approach," Journal of Post Keynesian Economics, Taylor & Francis Journals, volume 33, issue 1, pages 61-82, October.
- Arnaldo MAURI & Claudia Gabriela BAICU, 2010, "Le istituzioni finanziarie della Romania nel periodo infrabellico (Financial institutions in interwar Romania)," Departmental Working Papers, Department of Economics, Management and Quantitative Methods at Università degli Studi di Milano, number 2010-003, Feb.
- Arnaldo MAURI & Claudia Gabriela BAICU, 2010, "Crisi finanziaria in corso e insegnamenti che si possono trarre," Departmental Working Papers, Department of Economics, Management and Quantitative Methods at Università degli Studi di Milano, number 2010-008, Apr.
- Arnaldo MAURI & Claudia Gabriela BAICU, 2010, "Le istituzioni finanziarie della Romania nel periodo infrabellico (Financial institutions in interwar Romania)," Departmental Working Papers, Department of Economics, Management and Quantitative Methods at Università degli Studi di Milano, number 2010-03, Feb.
- Giorgio PIZZUTTO, 2010, "Politica monetaria, finanza strutturata e mercati finanziari," Departmental Working Papers, Department of Economics, Management and Quantitative Methods at Università degli Studi di Milano, number 2010-036, Nov.
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- Giorgio PIZZUTTO, 2010, "Politica monetaria, finanza strutturata e mercati finanziari," Departmental Working Papers, Department of Economics, Management and Quantitative Methods at Università degli Studi di Milano, number 2010-36, Nov.
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- Kornél Kisgergely, 2010, "Carry trade," MNB Bulletin (discontinued), Magyar Nemzeti Bank (Central Bank of Hungary), volume 5, issue 2, pages 31-43, June.
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- Pierre-André Maugis, 2010, "Market efficiencies and market risks," Documents de travail du Centre d'Economie de la Sorbonne, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne, number 10094, Nov.
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- Ch. Van Nieuwenhuyze & M. D. Zachary, 2010, "The Belgian deposit guarantee scheme in a European perspective," Economic Review, National Bank of Belgium, issue iii, pages 91-106, December.
- Frédéric Malherbe, 2010, "Self-fulfilling liquidity dry-ups," Working Paper Research, National Bank of Belgium, number 185, Mar.
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- Gary Gorton & Andrew Metrick, 2010, "Securitized Banking and the Run on Repo," NBER Chapters, National Bureau of Economic Research, Inc, "Market Institutions and Financial Market Risk".
- Franklin Allen & Ana Babus & Elena Carletti, 2010, "Asset Commonality, Debt Maturity, and Systemic Risk," NBER Chapters, National Bureau of Economic Research, Inc, "Market Institutions and Financial Market Risk".
- Nicola Gennaioli & Andrei Shleifer & Robert Vishny, 2010, "Neglected Risks, Financial Innovation, and Financial Fragility," NBER Chapters, National Bureau of Economic Research, Inc, "Market Institutions and Financial Market Risk".
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- Mark Mitchell & Todd Pulvino, 2010, "Arbitrage Crashes and the Speed of Capital," NBER Chapters, National Bureau of Economic Research, Inc, "Market Institutions and Financial Market Risk".
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- Viral V. Acharya & Philipp Schnabl & Gustavo Suarez, 2010, "Securitization without risk transfer," NBER Working Papers, National Bureau of Economic Research, Inc, number 15730, Feb.
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- Alberto Martin & Jaume Ventura, 2010, "Theoretical Notes on Bubbles and the Current Crisis," NBER Working Papers, National Bureau of Economic Research, Inc, number 16399, Sep.
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