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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ G: Financial Economics
/ / G0: General
/ / / G01: Financial Crises
Most recent items first, undated at the end.
  • 2016 Financialisation in Emerging Economies: A Systematic Overview and Comparison with Anglo-Saxon Economies
    by Karwowski, Ewa & Stockhammer, Engelbert

  • 2016 Capital Markets Union in Europe: Why other Unions must lead the Way
    by Viral V. Acharya & Sascha Steffen

  • 2016 Macroprudential Policy and Credit Supply
    by José Luis Peydró

  • 2016 Get Bold with Blockchain
    by Jessel, Benjamin & Marshall, Tommy

  • 2016 Excess liquidity creation of banks and nancial market peaks
    by Dr. Patrick Weber

  • 2016 Lender of last resort versus buyer of last resort: The impact of the European Central Bank actions on the bank-sovereign nexus
    by Acharya, Viral & Pierret, Diane & Steffen, Sascha

  • 2016 The intended and unintended consequences of financial-market regulations: A general equilibrium analysis
    by Buss, Adrian & Dumas, Bernard & Uppal, Raman & Vilkov, Grigory

  • 2016 Did quantitative easing affect interest rates outside the US? New evidence based on interest tate differentials
    by Belke, Ansgar & Gros, Daniel & Osowski, Thomas

  • 2016 Systemic risk spillovers in the European banking and sovereign network
    by Betz, Frank & Hautsch, Nikolaus & Peltonen, Tuomas A. & Schienle, Melanie

  • 2016 Eine erste Bewertung makroprudenzieller Instrumente in der Immobilienfinanzierung
    by Bendel, Daniel & Demary, Markus & Voigtländer, Michael

  • 2016 The Role of Complexity for Bank Risk during the Financial Crisis: Evidence from a Novel Dataset
    by Krause, Thomas & Sondershaus, Talina & Tonzer, Lena

  • 2016 Causes and consequences of the financial crisis and the implications for a more resilient financial and economic system
    by Hein, Eckhard

  • 2016 Fiscal implications of central bank balance sheet policies
    by Orphanides, Athanasios

  • 2016 A double-edged sword: High interest rates in capital control regimes
    by Gudmundsson, Gudmundur S. & Zoega, Gylfi

  • 2016 A financially stressed Euro area
    by Kappler, Marcus & Schleer, Frauke

  • 2016 End of the sovereign-bank doom loop in the European Union? The bank recovery and resolution directive
    by Covi, Giovanni & Eydam, Ulrich

  • 2016 Systemic risk: Time-lags and persistence
    by Kubitza, Christian & Gründl, Helmut

  • 2016 Bubble Economics How Big a Shock to China’s Real Estate Sector Will Throw the Country into Recession, and Why Does It Matter?
    by Michael, Bryane & Zhao, Simon

  • 2016 Bank exposures and sovereign stress transmission
    by Altavilla, Carlo & Pagano, Marco & Simonelli, Saverio

  • 2016 Shadow banking, financial regulation and animal spirits: An ACE approach
    by Krug, Sebastian & Wohltmann, Hans-Werner

  • 2016 The determinants of CDS spreads: Evidence from the model space
    by Pelster, Matthias & Vilsmeier, Johannes

  • 2016 Cross-border transmission of emergency liquidity
    by Kick, Thomas & Koetter, Michael & Storz, Manuela

  • 2016 Capturing information contagion in a stress-testing framework
    by Anand, Kartik & Gauthier, Céline & Gai, Prasanna S. & Souissi, Moez

  • 2016 International banking and cross-border effects of regulation: Lessons from Germany
    by Ohls, Jana & Pramor, Marcus & Tonzer, Lena

  • 2016 Asset encumbrance, bank funding and financial fragility
    by Ahnert, Toni & Anand, Kartik & Gai, Prasanna & Chapman, James

  • 2016 The International Impact of Financial Shocks: A Global VAR and Connectedness Measures Approach
    by Donal Smith

  • 2016 Government Policies and Financial Crises: Mitigation, Postponement or Prevention?
    by Jakob Kapeller & Michael Landesmann & Franz X. Mohr & Bernhard Schütz

  • 2016 Bescheidener Aufschwung im Osten – Bremsklotz EU-Fiskalregeln
    by Mario Holzner

  • 2016 Growth Stabilises: Investment a Major Driver, Except in Countries Plagued by Recession
    by Amat Adarov & Vasily Astrov & Serkan Çiçek & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Simona Jokubauskaite & Sebastian Leitner & Isilda Mara & Olga Pindyuk & Leon Podkaminer & Sandor Richter & Hermine Vidovic

  • 2016 Labour Shortages Driving Economic Growth?
    by Vasily Astrov & Serkan Çiçek & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Michael Landesmann & Sebastian Leitner & Isilda Mara & Olga Pindyuk & Leon Podkaminer & Oliver Reiter & Sandor Richter & Robert Stehrer & Hermine Vidovic

  • 2016 Exuberance, Bubbles or Froth? Some Historical Results using Long Run House Price Data for Amsterdam, Norway and Paris
    by Yang Hu & Les Oxley

  • 2016 In Praise of (Some) Red Tape: A New Approach to Regulation
    by Gordon Menzies & Peter Dixon & Maureen Rimmer

  • 2016 Are Correlations Constant? Empirical and Theoretical Results on Popular Correlation Models in Finance
    by Adams, Zeno & Fuess, Roland & Glueck, Thorsten

  • 2016 Unsecured and Secured Funding
    by Ranaldo, Angelo & Wrampelmeyer, Jan

  • 2016 Social Norms and Strategic Default
    by Brown, Martin & Schmitz, Jan & Zehnder, Christian

  • 2016 Fragility of Money Markets
    by Ranaldo, Angelo & Rupprecht, Matthias & Wrampelmeyer, Jan

  • 2016 How secular is the current economic stagnation?
    by Maria Roubtsova

  • 2016 Political connections: Evidence from insider trading around TARP
    by Ozlem Akin & Nicholas S. Coleman & Christian Fons-Rosen & José-Luis Peydró

  • 2016 Anticipating the financial crisis: Evidence from insider trading in banks
    by Ozlem Akin & José M. Marín & José-Luis Peydró

  • 2016 Crisis-Contingent Dynamics of Connectedness: An SVAR-Spatial-Network “Tripod” Model with Thresholds
    by Sun, Hang

  • 2016 Banking Crisis, Moral Hazard and Fiscal Policy Responses
    by Jin Cheng & Meixing Dai & Frédéric Dufourt

  • 2016 Testing for a Common Volatility Process and Information Spillovers in Bivariate Financial Time Series Models
    by Jinghui Chen & Masahito Kobayashi & Michael McAleer

  • 2016 Nowhere to run, nowhere to hide: asset diversification in a flat world
    by John Cotter & Stuart Gabriel & Richard Roll

  • 2016 Grexit News and Stock Returns
    by Andreas Haupenthal & Matthias Neuenkirch

  • 2016 Tourism Stocks in Times of Crises: An Econometric Investigation of Non-macro Factors
    by Anastasios Zopiatis & Christos S. Savva & Neophytos Lambertides & Michael McAleer

  • 2016 Network, Market, and Book-Based Systemic Risk Rankings
    by Michiel C.W. van de Leur & Andre Lucas

  • 2016 Score-Driven Systemic Risk Signaling for European Sovereign Bond Yields and CDS Spreads
    by Rutger-Jan Lange & Andre Lucas & Arjen H. Siegmann

  • 2016 Measuring Financial Cycles in a Model-Based Analysis: Empirical Evidence for the United States and the Euro Area
    by Gabriele Galati & Irma Hindrayanto & Siem Jan Koopman & Marente Vlekke

  • 2016 Testing for a Common Volatility Process and Information Spillovers in Bivariate Financial Time Series Models
    by Jinghui Chen & Masahito Kobayashi & Michael McAleer

  • 2016 Coco Design, Risk Shifting and Financial Fragility
    by Stephanie Chan & Sweder van Wijnbergen

  • 2016 A Bayesian Approach to Excess Volatility, Short-term Underreaction and Long-term Overreaction During Financial Crises
    by Xu Guo & Michael McAleer & Wing-Keung Wong & Lixing Zhu

  • 2016 Capital Adequacy Regulations in Hungary: Did It Really Matter?
    by Dóra Siklós

  • 2016 Market Stability vs. Market Resilience: Regulatory Policies Experiments in an Agent-Based Model with Low- and High- Frequency Trading
    by Sandrine Jacob Leal & Mauro Napoletano

  • 2016 Networks and lending conditions: Empirical evidence from the Swiss franc money markets
    by Silvio Schumacher

  • 2016 Impact Of The Global Financial Crises On The Major Asian Countries And Usa Stock Markets And Inter-Linkages Among Them
    by Cenk Gokce ADAS & Bibigul Tussupova

  • 2016 Control Strategy To Trade Cryptocurrencies
    by Josef KokeÅ¡ & Michal BejÄ ek

  • 2016 Public debt management in Poland compared to other countries of the European Union
    by Oksana Seroka-Stolka & JUSTYNA LUKOMSKA-SZAREK

  • 2016 Stylized Facts And Weak-Form Efficiency In Turkish Stock Market
    by Hasan AÄŸan Karaduman

  • 2016 20. Century’s Economic Crises and Their Effects on Turkey’s Economy
    by Ä°smail CAKMAK

  • 2016 Interaction between monetary policy and bank regulation: lessons for the ECB
    by Marek D¹browski

  • 2016 Comovement Between Africa and Advanced Economies: 1980-2011
    by Carike Claassen, Elsabe Loots and Alain Kabundi

  • 2016 Bank Loyalty, Social Networks And Crisis
    by Sümeyra Atmaca & Koen Schoors & Marijn Verschelde

  • 2016 Connections Between Corporate Governanc E, Corporate Savings And Business Cycles In The Economic Literature Around The Great Depression
    by Giovanni Scarano

  • 2016 Inequality, Financialisation and Credit Booms - a Model of Two Crises
    by Cardaci, Alberto & Saraceno, Francesco

  • 2016 Exit Risks and Contagion in the Euro Area
    by Canofari, Paolo & Messori, Marcello

  • 2016 Monetary Policy Tradeoffs Between Financial Stability and Price Stability
    by Shukayev, Malik & Ueberfeldt, Alexander

  • 2016 Tail Systemic Risk And Banking Network Contagion: Evidence From the Brazilian Banking System
    by Miguel Rivera-Castro & Andrea Ugolini & Juan Arismendi Z

  • 2016 Contractual Imperfections and the Impact of Crises on Trade: Evidence from Industry-Level Data
    by Castellares, Renzo & Salas, Jorge

  • 2016 International Correlation Asymmetries: Frequent-but-Small and Infrequent-but-Large Equity Returns
    by Bruno Solnik & Thaisiri Watewai

  • 2016 Financial Bubble Detection : A Non-Linear Method with Application to S&P 500
    by Michaelides, Panayotis G. & Tsionas, Efthymios & Konstantakis, Konstantinos

  • 2016 Redundancy, Unilateralism and Bias beyond GDP – results of a Global Index Benchmark
    by Dill, Alexander & Gebhart, Nicolas

  • 2016 Conventional and Islamic stock markets: what about financial performance?
    by Ben Rejeb, Aymen & Arfaoui, Mongi

  • 2016 The Impacts of the 2008 and 2011 Crises on the Japan REIT Market
    by Miyakoshi, Tatsuyoshi & Shimada, Junji & Li, Kui-Wai

  • 2016 Impact of Global Financial Crisis and Implied Volatility in the Equity Market on Gold Futures Traded on Multi Commodity Exchange, India
    by Sinha, Pankaj & Mathur, Kritika

  • 2016 Comment on Peek and Rosengren (2005) “Unnatural Selection: Perverse Incentives and the Allocation of Credit in Japan”
    by Inoue, Hitoshi & Nakashima, Kiyotaka & Takahashi, Koji

  • 2016 Risk-sharing the sole basis of Islamic finance? time for a serious rethink
    by Hasan, Zubair

  • 2016 Persistence and Amplification of Financial Frictions
    by Shirai, Daichi

  • 2016 Stock market integration and diversification possibilities during financial crises: Evidence from Balkan countries
    by Zdravkovski, Aleksandar

  • 2016 Eurozone network connectedness during calm and crisis: evidence from the MTS platform for interdealer trading of European sovereign debt
    by Li, Youwei & Waterworth, James

  • 2016 Basel III and responding to the recent Financial Crisis: progress made by the Basel Committee in relation to the need for increased bank capital and increased quality of loss absorbing capital
    by Ojo, Marianne

  • 2016 Termination of Bank-Firm Relationships
    by Nakashima, Kiyotaka & Takahashi, Koji

  • 2016 The Real Effects of Bank-Driven Termination of Relationships: Evidence from Loan-level Matched Data
    by Nakashima, Kiyotaka & Takahashi, Koji

  • 2016 The determinants of banking crises: Further evidence
    by Peña, Guillermo

  • 2016 О Некоторых Успехах Цб России В 2015 Году
    by BLINOV, Sergey

  • 2016 Три Варианта Экономической Политики Для России
    by BLINOV, Sergey

  • 2016 Credit control instruments in a dual banking system: leverage control rate (LCR) – a proposal
    by Hasan, Zubair

  • 2016 Determinants of capital structure of firms: an analysis on the Euro Zone and the U.K
    by Rafael Garcia & António Cerqueira & Elísio Brandão

  • 2016 The impact of financial crisis on earnings management: evidence from EU-25
    by Luísa Andreia Serra Costa & António de Melo da Costa Cerqueira & Elísio Fernando Moreira Brandão

  • 2016 Explaining the Euro crisis: Current account imbalances, credit booms and economic policy in different economic paradigms
    by Engelbert Stockhammer & collin constantine & Severin Reissl

  • 2016 Financialisation in emerging economies: a systematic overview and comparison with Anglo-Saxon economies
    by Ewa Karwowski & Engelbert Stockhammer

  • 2016 The multivariate nature of systemic risk: direct and common exposures
    by Paolo Giudici & Peter Sarlin & Alessandro Spelta

  • 2016 Macroeconomics and Consumption
    by John Muellbauer

  • 2016 Stock Market Contagion in Central and Eastern Europe: Unexpected Volatility and Extreme Co-exceedance
    by Roman Horváth & Štefan Lyócsa & Eduard Baumöhl

  • 2016 European lending channel: differences in transmission mechanisms due to the global financial crisis
    by Tomáš Heryán & Panayiotis G. Tzeremes & Roman Matousek

  • 2016 The Theory of Credit and Macro-economic Stability
    by Joseph E. Stiglitz

  • 2016 Fighting Crises
    by Gary Gorton & Guillermo Ordoñez

  • 2016 Credit Expansion and Neglected Crash Risk
    by Matthew Baron & Wei Xiong

  • 2016 The Stock Market and Bank Risk-Taking
    by Antonio Falato & David Scharfstein

  • 2016 How Quantitative Easing Works: Evidence on the Refinancing Channel
    by Marco Di Maggio & Amir Kermani & Christopher Palmer

  • 2016 Mobile Collateral versus Immobile Collateral
    by Gary Gorton & Tyler Muir

  • 2016 The I Theory of Money
    by Markus K. Brunnermeier & Yuliy Sannikov

  • 2016 Optimal Domestic (and External) Sovereign Default
    by Pablo D'Erasmo & Enrique G. Mendoza

  • 2016 Macro, Money and Finance: A Continuous Time Approach
    by Markus K. Brunnermeier & Yuliy Sannikov

  • 2016 Sovereign Risk and Bank Lending: Evidence from 1999 Turkish Earthquake
    by Yusuf Soner Baskaya & Sebnem Kalemli-Ozcan

  • 2016 The Value of Trading Relationships in Turbulent Times
    by Marco Di Maggio & Amir Kermani & Zhaogang Song

  • 2016 Diagnostic Expectations and Credit Cycles
    by Pedro Bordalo & Nicola Gennaioli & Andrei Shleifer

  • 2016 Multiple Equilibria in Open Economy Models with Collateral Constraints: Overborrowing Revisited
    by Stephanie Schmitt-Grohé & Martín Uribe

  • 2016 The Granular Nature of Large Institutional Investors
    by Itzhak Ben-David & Francesco Franzoni & Rabih Moussawi & John Sedunov

  • 2016 Financial Frictions in Production Networks
    by Saki Bigio & Jennifer La’O

  • 2016 Who Sold During the Crash of 2008-9? Evidence from Tax-Return Data on Daily Sales of Stock
    by Jeffrey Hoopes & Patrick Langetieg & Stefan Nagel & Daniel Reck & Joel Slemrod & Bryan Stuart

  • 2016 Corporate Resilience to Banking Crises: The Roles of Trust and Trade Credit
    by Ross Levine & Chen Lin & Wensi Xie

  • 2016 The Real Effects of Liquidity During the Financial Crisis: Evidence from Automobiles
    by Efraim Benmelech & Ralf R. Meisenzahl & Rodney Ramcharan

  • 2016 Why Does Fast Loan Growth Predict Poor Performance for Banks?
    by Rüdiger Fahlenbrach & Robert Prilmeier & René M. Stulz

  • 2016 Network Contagion and Interbank Amplification during the Great Depression
    by Kris James Mitchener & Gary Richardson

  • 2016 Fiscal and Financial Crises
    by Michael D. Bordo & Christopher M. Meissner

  • 2016 Liquidity Requirements, Liquidity Choice and Financial Stability
    by Douglas W. Diamond & Anil K Kashyap

  • 2016 Good Booms, Bad Booms
    by Gary Gorton & Guillermo Ordoñez

  • 2016 Breaking the Spell with Credit-Easing: Self-Confirming Credit Crises in Competitive Search Economies
    by Gaetano Gaballo & Ramon Marimon

  • 2016 The Sovereign-Bank Diabolic Loop and ESBies
    by Markus K. Brunnermeier & Luis Garicano & Philip Lane & Marco Pagano & Ricardo Reis & Tano Santos & David Thesmar & Stijn Van Nieuwerburgh & Dimitri Vayanos

  • 2016 Global Cycles: Capital Flows, Commodities, and Sovereign Defaults, 1815-2015
    by Carmen M. Reinhart & Vincent Reinhart & Christoph Trebesch

  • 2016 Intermediary Asset Pricing: New Evidence from Many Asset Classes
    by Zhiguo He & Bryan Kelly & Asaf Manela

  • 2016 Dynamic Debt Maturity
    by Zhiguo He & Konstantin Milbradt

  • 2016 Cost-Benefit Analysis of Leaning Against the Wind: Are Costs Larger Also with Less Effective Macroprudential Policy?
    by Lars E.O. Svensson

  • 2016 Rare Events and Long-Run Risks
    by Robert J. Barro & Tao Jin

  • 2016 “One size does not fit all” – institutional determinantsof financial safety net effectiveness
    by Aleksandra Masłowska-Jokinen & Anna Matysek-Jędrych

  • 2016 The response of euro area sovereign spreads to the ECB unconventional monetary policies
    by Hans Dewachter & Leonardo Iania & Jean-Charles Wijnandts

  • 2016 The response of euro area sovereign spreads to the ECB unconventional monetary policies
    by Hans Dewachter & Leonardo Iania & Jean-Charles Wijnandts

  • 2016 The response of euro area sovereign spreads to the ECB unconventional monetary policies
    by Hans Dewachter & Leonardo Iania & Jean-Charles Wijnandts

  • 2016 The response of euro area sovereign spreads to the ECB unconventional monetary policies
    by Hans Dewachter & Leonardo Iania & Jean-Charles Wijnandts

  • 2016 Bank capital (requirements) and credit supply: Evidence from pillar 2 decisions
    by Olivier De Jonghey & Hans Dewachter & Steven Ongenax

  • 2016 Bank capital (requirements) and credit supply: Evidence from pillar 2 decisions
    by Olivier De Jonghey & Hans Dewachter & Steven Ongenax

  • 2016 Bank capital (requirements) and credit supply: Evidence from pillar 2 decisions
    by Olivier De Jonghey & Hans Dewachter & Steven Ongenax

  • 2016 Bank capital (requirements) and credit supply: Evidence from pillar 2 decisions
    by Olivier De Jonghey & Hans Dewachter & Steven Ongenax

  • 2016 The transmission mechanism of credit support policies in the Euro Area
    by Jef Boeckx & Maite de Sola Perea & Gert Peersman

  • 2016 The transmission mechanism of credit support policies in the Euro Area
    by Jef Boeckx & Maite de Sola Perea & Gert Peersman

  • 2016 The transmission mechanism of credit support policies in the Euro Area
    by Jef Boeckx & Maite de Sola Perea & Gert Peersman

  • 2016 The transmission mechanism of credit support policies in the Euro Area
    by Jef Boeckx & Maite de Sola Perea & Gert Peersman

  • 2016 Inference on Self-Exciting Jumps in Prices and Volatility using High Frequency Measures
    by Worapree Maneesoonthorn & Catherine S. Forbes & Gael M. Martin

  • 2016 What was fair in actuarial fairness?
    by Antonio Heras Martínez & David Teira & Pierre-Charles Pradier

  • 2016 Combining risk measures to overcome their limitations - spectrum representation of the sub-additivity issue, distortion requirement and added-value of the Spatial VaR solution: An application to Regulatory Requirement for Financial Institutions
    by Dominique Guegan & Bertrand K. Hassani

  • 2016 The Impact of regulatory capital regulation on balance sheet structure, intermediation cost and growth
    by Pierre-Charles Pradier & Hamza El Khalloufi

  • 2016 The evolution of insurance regulation in the EU since 2005
    by Pierre-Charles Pradier & Arnaud Chneiweiss

  • 2016 Finansal Küreselleşme Sürecinde Türkiye’de Para Politikalarının Evrimi, 1980-2014
    by Hasan Cömert & Oktar Türel

  • 2016 The Feldstein-Horioka Puzzle in the Presence of Structural Breaks: Evidence from China
    by Dilem Yıldırım & Ethem Erdem Orman

  • 2016 Are Banking Shocks Contagious? Evidence from the Eurozone
    by Thomas Flavin & Dolores Lagoa-Varela

  • 2016 Contagion in Eurozone Sovereign Bond Markets? The Good, the Bad and the Ugly
    by Thomas Flavin & David Cronin & Lisa Sheenan

  • 2016 Regulation and Rational Banking Bubbles in Infinite Horizon
    by Claire Océane Chevallier & Sarah El Joueidi

  • 2016 Minsky at Basel: A Global Cap to Build an Effective Postcrisis Banking Supervision Framework
    by Giuseppe Mastromatteo & Giuseppe Mastromatteo

  • 2016 Networks of volatility spillovers among stock markets
    by Eduard Baumohl & Evzen Kocenda & Stefan Lyocsa & Tomas Vyrost

  • 2016 An Analysis of Simultaneous Company Defaults Using a Shot Noise Process
    by Masahiko Egami & Rusudan Kevkhishvili

  • 2016 Government Policies and Financial Crises: Mitigation, Postponement or Prevention?
    by Jakob Kapeller & Michael Landesmann & Franz X. Mohr & Bernhard Schütz

  • 2016 On Measuring Uncertainty: Snakes and Ladders
    by Junankar, Pramod N. (Raja)

  • 2016 The Role of Complexity for Bank Risk during the Financial Crisis: Evidence from a Novel Dataset
    by Thomas Krause & T. Sondershaus & Lena Tonzer

  • 2016 Current account balance cyclicality
    by António Afonso & Jorge Silva

  • 2016 Budgetary Decomposition and Yield Spreads
    by António Afonso & João Tovar Jalles

  • 2016 Economic Volatility and Sovereign Yields’ Determinants: a Time-Varying Approach
    by António Afonso & João Tovar Jalles

  • 2016 Weathering the storm: Ownership structure and performance of microfinance institutions in the wake of the global financial crisis
    by Mahinda Wijesiri

  • 2016 Inequality and the New Deal
    by Christian A. Belabed

  • 2016 An extreme value analysis of the last century crises across industries in the U.S. economy
    by Marco Bee & Massimo Riccaboni & Luca Trapin

  • 2016 Risk and Return Spillovers among the G10 Currencies
    by Matthew Greenwood-Nimmo & Viet Hoang Nguyen & Barry Rafferty

  • 2016 Time Varying Quantile Lasso
    by Lenka Zbonakova & Wolfgang Karl Härdle & Weining Wang

  • 2016 Information Acquisition and Liquidity Dry-Ups
    by Philipp Koenig & David Pothier &

  • 2016 Firm Entry and Exit during a Crisis Period Evidence from Russian Regions
    by Iwasaki, Ichiro & Maurel, Mathilde & Meunier, Bogdan

  • 2016 The Evolution of Corporate Governance in the Global Financial Crisis : The Case of Russian Industrial Firms
    by Iwasaki, Ichiro

  • 2016 Depositor Discipline in Russian Regions: Flight to Familiarity or Trust in Local Authorities?
    by Koen Schoors & Maria Semenova & Andrey Zubanov

  • 2016 Currency Shifts as a Market Discipline Device: The Case of the Russian Market for Personal Deposits
    by Maria Semenova & Andrey Shapkin

  • 2016 Subprime Borrowers, Securitization and the Transmission of Business Cycles
    by Grodecka, Anna

  • 2016 Stock Return Expectations in the Credit Market
    by Byström, Hans

  • 2016 TARP and Market Discipline: Evidence on the Moral Hazard Effects of Bank Recapitalizations
    by Forssbaeck, Jens & Nielsen, Caren Yinxia

  • 2016 Personal Insolvency Dynamics in Germany and the UK -- A SUR-TAR Approach
    by Nadja König

  • 2016 Executive Compensation and Environmental Harm
    by Dylan Minor

  • 2016 Pure Theory of the Federal Funds Rate
    by Homburg, Stefan

  • 2016 Modeling Financial Market Volatility in Transition Markets: A Multivariate Case
    by Leoni Eleni Oikonomikou

  • 2016 Political Economics of Fiscal Consolidations and External Sovereign Accidents
    by Carolina Achury & Christos Koulovatianos & John Tsoukalas

  • 2016 Deep Recessions and Slow Recoveries
    by Tatiana Kirsanova & Charles Nolan & Maryam Shafiei Deh Abad

  • 2016 Financial Markets and Financial Institutions in Russia in 2015
    by Abramov Alexander

  • 2016 Combining Markov Switching and Smooth Transition in Modeling Volatility: A Fuzzy Regime MEM
    by Giampiero M. Gallo & Edoardo Otranto

  • 2016 Median Response to Shocks: A Model for VaR Spillovers in East Asia
    by Fabrizio Cipollini & Giampiero Gallo & Andrea Ugolini

  • 2016 Financial Fragility and Over-the-Counter Markets
    by Sultanum, Bruno

  • 2016 Network Contagion and Interbank Amplification during the Great Depression
    by Mitchener, Kris James & Richardson, Gary

  • 2016 Intraday market making with overnight inventory costs
    by Adrian, Tobias & Capponi, Agostino & Vogt, Erik & Zhang, Hongzhong

  • 2016 Global price of risk and stabilization policies
    by Adrian, Tobias & Stackman, Daniel & Vogt, Erik

  • 2016 Learning from History : Volatility and Financial Crises
    by Jon Danielsson & Marcela Valenzuela & Ilknur Zer

  • 2016 Institutional Herding and Its Price Impact : Evidence from the Corporate Bond Market
    by Fang Cai & Song Han & Dan Li & Yi Li

  • 2016 Endogenous Debt Maturity and Rollover Risk
    by Emanuele Brancati & Marco Macchiavelli

  • 2016 Financial Stability and Optimal Interest-Rate Policy
    by Andrea Ajello & Thomas Laubach & J. David Lopez-Salido & Taisuke Nakata

  • 2016 The Political Origin of Home Bias: The Case of Europe
    by Filippo De Marco & Marco Macchiavelli

  • 2016 Government-Backed Mortgage Insurance, Financial Crisis, and the Recovery from the Great Recession
    by Passmore, Wayne & Sherlund, Shane M.

  • 2016 The Resolution of a Systemically Important Insurance Company during the Great Depression
    by Rose, Jonathan D.

  • 2016 Can a Bank Run Be Stopped? Government Guarantees and the Run on Continental Illinois
    by Carlson, Mark A. & Rose, Jonathan D.

  • 2016 The Social Cost of Near-Rational Investment
    by Hassan, Tarek A. & Mertens, Thomas M.

  • 2016 Credit-fuelled bubbles
    by Doblas-Madrid, Antonio & Lansing, Kevin J.

  • 2016 Banking crises, external crises and gross capital flows
    by Janus, Thorsten & Riera-Crichton, Daniel

  • 2016 Peer Pressure: Social Interaction and the Disposition Effect
    by Heimer, Rawley

  • 2016 Sovereign Default in the US
    by Ergungor, O. Emre

  • 2016 Where the Wild Things Are: Measuring Systemic Risk through Investor Sentiment
    by Ergungor, O. Emre

  • 2016 A dynamic network model of the unsecured interbank lending market
    by Blasques, Francisco & Brauning, Falk & Lelyveld, Iman Van

  • 2016 Macroeconomic and financial sector policies to better serve the economy and society
    by Jesus Ferreiro

  • 2016 Changes in the relationship between the financial and the real sector and the present financial crisis in the European Union
    by Amaia Altuzarra & Patricia Peinado & Carlos Rodriguez & Felipe Serrano

  • 2016 Central Banks And Financial Supervision; New Tendencies
    by Elisabetta Montanaro

  • 2016 The Process Towards The Centralisation Of The European Financial Supervisory Architecture; The Case Of The Banking Union
    by Elisabetta Montanaro

  • 2016 Market stability vs. Market resilience : Regulatory policies experiments in an agent based model with low-and high -frequency trading
    by Sandrine Jacob Leal & Mauro Napoletano

  • 2016 Are All Booms and Busts Created Equal? A New Methodology for Understanding Bull and Bear Stock Markets
    by German Forero-Laverde

  • 2016 Breaking the spell with credit-easing : self-confirming credit crises in competitive search economies
    by Gaballo, Gaetano; Marimon, Ramon

  • 2016 What Makes a Good "Bad Bank"? The Irish, Spanish and German Experience
    by Stephanie Medina Cas & Irena Peresa

  • 2016 Testing for a Common Volatility Process and Information Spillovers in Bivariate Financial Time Series Models
    by Chen, J. & Kobayashi, M. & McAleer, M.J.

  • 2016 A Bayesian Approach to Excess Volatility, Short-term Underreaction and Long-term Overreaction during Financial Crises
    by Guo, X. & McAleer, M.J. & Wong, W-K. & Zhu, L.

  • 2016 Equity Is Cheap for Large Financial Institutions: The International Evidence
    by Gandhi, Priyank & Lustig, Hanno & Plazzi, Alberto

  • 2016 Dynamic Coordination and Intervention Policy
    by Cong, Lin William & Grenadier, Steven & Hu, Yunzhi

  • 2016 Systematic Mistakes in the Mortgage Market and Lack of FInancial Sophistication
    by Agarwal, Sumit & Ben-David, Itzhak & Yao, Vincent W.

  • 2016 Why Does Fast Loan Growth Predict Poor Performance for Banks?
    by Fahlenbrach, Rudiger & Prilmeier, Robert & Stulz, Rene M.

  • 2016 Loss Sequencing in Banking Networks: Threatened Banks as Strategic Dominoes
    by Tran, Ngoc-Khanh & Vuong, Thao & Zeckhauser, Richard

  • 2016 US Crashes of 2008 and 1929 How did the French market react? An empirical study
    by Raphael Hekimian & David Le Bris

  • 2016 Timing of banks' loan loss provisioning during the crisis
    by Leo de Haan & Maarten van Oordt

  • 2016 How to monitor the exit from the Eurosystem's unconventional monetary policy: Is EONIA dead and gone?
    by Ronald Heijmans & Richard Heuver & Zion Gorgi

  • 2016 A descriptive model of banking and aggregate demand
    by Jochen Mierau & Mark Mink

  • 2016 Measuring financial cycles with a model-based filter: Empirical evidence for the United States and the euro area
    by Gabriele Galati & Irma Hindrayanto & Siem Jan Koopman & Marente Vlekke

  • 2016 Ambiguity and Time-Varying Risk Aversion in Sovereign Debt Markets
    by Christoph Große Steffen & Maximilian Podstawski

  • 2016 The Integration of International Financial Markets: An Attempt to Quantify Contagion in an Input-Output-Type Analysis
    by Dieter Schumacher

  • 2016 Implicit rating: A potential new method to alert crisis on the interbank lending market
    by Berlinger, Edina

  • 2016 A unfi ed view of systemic risk: detecting SIFIs and forecasting the fi nancial cycle via EWSs
    by Alessandro Spelta

  • 2016 Multiple Equilibria in Open Economy Models with Collateral Constraints: Overborrowing Revisited
    by Schmitt-Grohé, Stephanie & Uribe, Martin

  • 2016 Is Optimal Capital-Control Policy Countercyclical In Open-Economy Models With Collateral Constraints?
    by Schmitt-Grohé, Stephanie & Uribe, Martin

  • 2016 Macroeconomics and Consumption
    by Muellbauer, John

  • 2016 The Output Costs of Hard and Soft Sovereign Default
    by Trebesch, Christoph & Zabel, Michael

  • 2016 A comedy of errors: misguided policy, mis-sold mortgages, and more
    by Miller, Marcus & Rastapana, Songklod & Zhang, Lei

  • 2016 Market Integration and Global Crashes
    by Malamud, Semyon & Malkhozov, Aytek

  • 2016 The I Theory of Money
    by Brunnermeier, Markus K & Sannikov, Yuliy

  • 2016 Household Leverage and the Recession
    by Midrigan, Virgiliu & Philippon, Thomas

  • 2016 Nonlinearity and Flight-to-Safety in the Risk-Return Tradeoff for Stocks and Bonds
    by Adrian, Tobias & Crump, Richard K. & Vogt, Erik

  • 2016 Fiscal Implications of Central Bank Balance Sheet Policies
    by Orphanides, Athanasios

  • 2016 Macro, Money and Finance: A Continuous Time Approach
    by Brunnermeier, Markus K & Sannikov, Yuliy

  • 2016 Anticipating the Financial Crisis: Evidence from Insider Trading in Banks
    by Akin, Ozlem & Marin, Jose & Peydró, José Luis

  • 2016 Bank Exposures and Sovereign Stress Transmission
    by Altavilla, Carlo & Pagano, Marco & Simonelli, Saverio

  • 2016 Banking Crises
    by Grossman, Richard

  • 2016 Network Contagion and Interbank Amplification during the Great Depression
    by Mitchener, Kris James & Richardson, Gary

  • 2016 Breaking the Spell with Credit-Easing: Self-Confirming Credit Crises in Competitive Search Economies
    by Gaballo, Gaetano & Marimon, Ramon

  • 2016 How Excessive Is Banks' Maturity Transformation?
    by Segura, Anatoli & Suarez, Javier

  • 2016 CoCo Design, Risk Shifting and Financial Fragility
    by Chan, Stephanie & van Wijnbergen, Sweder

  • 2016 Global Cycles: Capital Flows, Commodities, and Sovereign Defaults, 1815-2015
    by Reinhart, Carmen M. & Reinhart, Vincent & Trebesch, Christoph

  • 2016 Short-Selling Bans and Bank Stability
    by Beber, Alessandro & Fabbri, Daniela & Pagano, Marco

  • 2016 Macroeconomic Effects of Financial Shocks: Comment
    by Pfeifer, Johannes

  • 2016 Credit Supply Shocks in the Netherlands
    by Adam Elbourne & Fabio Duchi

  • 2016 Inestabilidad financiera en economías en desarrollo: evidencia para el caso colombiano 1990-2013
    by Carlos Daniel Rojas Martínez

  • 2016 Credit Funding and Banking Fragility: An Empirical Analysis for Emerging Economies
    by Alexander Guarín-López & Ignacio Lozano-Espitia

  • 2016 Economic Shocks and Crime: Evidence from the Crash of Ponzi Schemes
    by Darwin Cortés & Julieth Santamaria & Juan F. Vargas

  • 2016 Confidence Cycles and Liquidity Hoarding
    by Volha Audzei

  • 2016 How Excessive Is Banks' Maturity Transformation?
    by Anatoli Segura & Javier Suarez

  • 2016 What Do We Know About the Global Financial Safety Net? A New Comprehensive Data Set
    by Beatrice D. Scheubel & Livio Stracca

  • 2016 The Output Costs of Hard and Soft Sovereign Default
    by Christoph Trebesch & Michael Zabel

  • 2016 Global Cycles: Capital Flows, Commodities, and Sovereign Defaults, 1815-2015
    by Carmen M. Reinhart & Vincent Reinhart & Christoph Trebesch

  • 2016 The Intended and Unintended Consequences of Financial-Market Regulations: A General Equilibrium Analysis
    by Adrian Buss & Bernard Dumas & Raman Uppal & Grigory Vilkov

  • 2016 Mortgage modifications and loan performance
    by Danne, Christian & McGuinness, Anne

  • 2016 Contagion in Eurozone Sovereign Bond Markets? The Good, the Bad and the Ugly
    by Cronin, David & Flavin, Thomas J. & Sheenan, Lisa

  • 2016 Bank Lending, Collateral, and Credit Traps in a Monetary Union
    by Corbisiero, Giuseppe

  • 2016 How banks price loans in leveraged buy-outs: an empirical analysis of spreads determinants
    by João Pinto & Luís Pacheco & Paulo Alves & M. Ricardo Cunha

  • 2016 Dynamic Efficiency of Stock Markets and Exchange Rates
    by Ahmet Sensoy & Benjamin M. Tabak

  • 2016 Moral hazard and strategic default: evidence from Greek corporate loans
    by Ioannis Asimakopoulos & Panagiotis K. Avramidis & Dimitris Malliaropulos & Nickolaos G. Travlos

  • 2016 Use of unit root methods in early warning of financial crises
    by Virtanen, Timo & Tölö, Eero & Virén, Matti & Taipalus, Katja

  • 2016 Leverage dynamics and the burden of debt
    by Juselius, Mikael & Drehmann, Mathias

  • 2016 Macroeconomic tail events with non-linear Bayesian VARs
    by Chiu, Ching-Wai (Jeremy) & Hacioglu Hoke, Sinem

  • 2016 Do we need a stable funding ratio? Banks’ funding in the global financial crisis
    by Lallour, Antoine & Mio, Hitoshi

  • 2016 Non-performing loans: regulatory and accounting treatments of assets
    by Bholat, David & Lastra, Rosa & Markose, Sheri & Miglionico, Andrea & Sen, Kallol

  • 2016 Detecting imbalances in house prices: What goes up must come down?
    by André K. Anundsen

  • 2016 Leaning against the wind when credit bites back
    by Karsten R. Gerdrup & Frank Hansen & Tord Krogh & Junior Maih

  • 2016 The risk-taking channel of monetary policy in Norway
    by Artashes Karapetyan

  • 2016 Political Connections: Evidence From Insider Trading Around TARP
    by Ozlem Akin & Nicholas S. Coleman & Christian Fons-Rosen & José-Luis Peydró

  • 2016 International Debt Deleveraging
    by Luca Fornaro

  • 2016 Anticipating the Financial Crisis: Evidence from Insider Trading in Banks
    by Ozlem Akin & José M. Marín & José-Luis Peydró

  • 2016 Balance Sheet Recessions with Informational and Trading Frictions
    by Vladimir Asriyan

  • 2016 The real effects of universal banking on firms’ investment: Micro-evidence from 2004-2009
    by F. Vinas

  • 2016 The Collateral Channel of Open Market Operations
    by N. Cassola & F. Koulischer

  • 2016 Functional Systemic Risk, Complementarities and Early Warnings
    by Cañón Salazar Carlos Iván;Gallón Santiago;Olivar Santiago

  • 2016 Distributional Policy Effects with Many Treatment Outcomes
    by Cañón Salazar Carlos Iván

  • 2016 Should I stay or should I go? Firms’ mobility across banks in the aftermath of financial turmoil
    by Davide Arnaudo & Giacinto Micucci & Massimiliano Rigon & Paola Rossi

  • 2016 How excessive is banks’ maturity transformation?
    by Anatoli Segura & Javier Suarez

  • 2016 Informational contagion in the laboratory
    by Marco Cipriani & Antonio Guarino & Giovanni Guazzarotti & Federico Tagliati & Sven Fischer

  • 2016 The quantity of corporate credit rationing with matched bank-firm data
    by Lorenzo Burlon & Davide Fantino & Andrea Nobili & Gabriele Sene

  • 2016 Beyond the austerity dispute: new priorities for fiscal policy
    by Luca Agnello & Nikola Altiparmakov & Michal Andrle & Maria Grazia Attinasi & Jan Babecký & Salvador Barrios & John Bluedorn & Vladimir Borgy & Othman Bouabdallah & Andries Brandsma & Adi Brender & Vítor Castro & Cristina Checherita-Westphal & Jerome Creel & Jasper De Jong & Luiz de Mello & Francesco Di Comite & Olga Diukanova & Luc Eyraud & Serena Fatica & Marien Ferdinandusse & Davide Fiaschi & Maura Francese & Maximilian Freier & Josip Funda & Davide Furceri & Paul Hubert & Anna Iara & Joao Jalles & Tidiane Kinda & Gabor P. Kiss & ya Koeva-Brooks & Martin Larch & Jesús López Rodríguez & Prakash Loungani & d'Artis Kancs & Sandro Momigliano & Carlos Mulas-Granados & Ludovit Odor & George Palaiodimos & Lucio Pench & Damiaan Persyn & Álvaro Pina & Lesley Potters & Doris Prammer & Jonathan Pycroft & Ernesto Rezk & Marzia Romanelli & Fabrizio Saccomanni & Francesco Saraceno & Gerd Schwartz & Ricardo Sousa & Martino Tasso & Teresa Ter-Minassian & Pietro Tommasino & Anke Weber & Jochen Zimmer

  • 2016 Bank bonds in Italian households’ portfolios
    by Massimo Coletta & Raffaele Santioni

  • 2016 Purchases of sovereign debt securities by Italian banks during the crisis: the role of balance-sheet conditions
    by Massimiliano Affinito & Giorgio Albareto & Raffaele Santioni

  • 2016 When local banks lend to local communities: evidence from Italy (2007-2014)
    by Maria Lucia Stefani & Valerio Vacca & Daniele Coin & Silvia Del Prete & Cristina Demma & Maddalena Galardo & Iconio Garri & Sauro Mocetti & Dario Pellegrino

  • 2016 The “Concordato preventivo” in Italian corporate bankruptcy law: a policy evaluation
    by Claudio Castelli & Giacinto Micucci & Giacomo Rodano & Guido Romano

  • 2016 Investment and investment financing in Italy: some evidence at the macro level
    by Claire Giordano & Marco Marinucci & Andrea Silvestrini

  • 2016 The drivers of European banks’ US dollar debt issuance: opportunistic funding in times of crisis?
    by Luna Azahara Romo González

  • 2016 The countercyclical capital buffer in spain: an analysis of key guiding indicators
    by Christian Castro & Ángel Estrada & Jorge Martínez

  • 2016 Characterising the financial cycle in Luxembourg
    by Gaston Giordana & Sabbah Gueddoudj

  • 2016 Monetary Policy Tradeoffs Between Financial Stability and Price Stability
    by Malik Shukayev & Alexander Ueberfeldt

  • 2016 Fragility of Resale Markets for Securitized Assets and Policy of Asset Purchases
    by Martin Kuncl

  • 2016 Time-Varying Crash Risk: The Role of Stock Market Liquidity
    by Peter Christoffersen & Bruno Feunou & Yoontae Jeon & Chayawat Ornthanalai

  • 2016 International Banking and Cross-Border Effects of Regulation: Lessons from Canada
    by H. Evren Damar & Adi Mordel

  • 2016 Timing of Banks’ Loan Loss Provisioning During the Crisis
    by Leo de Haan & Maarten van Oordt

  • 2016 Estimating Systematic Risk Under Extremely Adverse Market Conditions
    by Maarten van Oordt & Chen Zhou

  • 2016 Early Warning of Financial Stress Events: A Credit-Regime-Switching Approach
    by Fuchun Li & Hongyu Xiao

  • 2016 Should Monetary Policy Lean Against Housing Market Booms?
    by Sami Alpanda & Alexander Ueberfeldt

  • 2016 Opaque Assets and Rollover Risk
    by Toni Ahnert & Benjamin Nelson

  • 2016 Asset Encumbrance, Bank Funding and Financial Fragility
    by Toni Ahnert & Kartik Anand & Prasanna Gai & James Chapman

  • 2016 Dating Systemic Financial Stress Episodes in the EU Countries
    by Thibaut Duprey & Benjamin Klaus & Tuomas Peltonen

  • 2016 The Role of Central Banks in Promoting Financial Stability: An International Perspective
    by Rose Cunningham & Christian Friedrich

  • 2016 On the Nexus of Monetary Policy and Financial Stability: Is the Financial System More Resilient?
    by Patricia Palhau Mora & Michael Januska

  • 2016 The foreign currency mortgage loans in the Polish banking sector and its possible macroeconomic and political consequences
    by Krzysztof Czerkas

  • 2016 The asymmetric burden of regulation: will local banks survive?
    by Pietro Alessandrini & Michele Fratianni & Luca Papi & Alberto Zazzaro

  • 2016 Banks, regions and development after the crisis and under the new regulatory system
    by Pietro Alessandrini & Michele Fratianni & Luca Papi & Alberto Zazzaro

  • 2016 Currency Diversification of Banks: A Spontaneous Buffer Against Financial Losses
    by Justine Pedrono

  • 2016 Forecasting Financial Vulnerability in the US: A Factor Model Approach
    by Hyeongwoo Kim & Wen Shi

  • 2016 Forecasting Financial Stress Indices in Korea: A Factor Model Approach
    by Hyeongwoo Kim & Wen Shi & Hyun Hak Kim

  • 2016 Uncertainty: A diagrammatic treatment
    by Dow, Sheila

  • 2016 A double-edged sword: High interest rates in capital control regimes
    by Gudmundsson, Gudmundur S. & Zoega, Gylfi

  • 2016 Regulierung der EU-Finanzmärkte
    by Dorothea Schäfer

  • 2016 Endogenous time-varying risk aversion and asset returns
    by Michele Berardi

  • 2016 Innovation, growth and financial markets
    by Zakaria Babutsidze & Maurizio Iacopetta

  • 2016 Rock around the clock: An agent-based model of low- and high-frequency trading
    by Sandrine Jacob Leal & Mauro Napoletano & Andrea Roventini & Giorgio Fagiolo

  • 2016 Chaotic banking crises and regulations
    by Jess Benhabib & Jianjun Miao & Pengfei Wang

  • 2016 Optimal banking contracts and financial fragility
    by Huberto M. Ennis & Todd Keister

  • 2016 Toward an understanding of market resilience: market liquidity and heterogeneity in the investor decision cycle
    by Richard Bookstaber & Michael D. Foley & Brian F. Tivnan

  • 2016 The Shadow Banking System in the Euro Area: Definitions, Key Features and the Funding of Firms
    by Fabrizio Malatesta & Sergio Masciantonio & Andrea Zaghini

  • 2016 The Impact of Basel III Indexes of Leverage and Liquidity CRDIV/CRR on Bank Performance: Evidence from Greek Banks
    by Psillaki Maria & Georgoulea Eleftheria

  • 2016 The Global Financial Crisis from the perspective of Behavioral Finance
    by Teodor Sedlarski & Gergana Dimitrova

  • 2016 The relationship between distance-to-default and CDS spreads as measures of default risk for European banks
    by Kim Ristolainen

  • 2016 Impact Of The Global Financial Crises On The Major Asian Countries And Usa Stock Markets And Inter-Linkages Among Them
    by Cenk Gokce ADAS

  • 2016 EU Membership, Financial Services and Stability
    by Angus Armstrong

  • 2016 An evaluation of the effectiveness of Value-at-Risk (VaR) models for Australian banks under Basel III
    by Katherine Uylangco & Siqiwen Li

  • 2016 Low interest rates - do they revise household saving motives in the Euro area?
    by Katarzyna Kochaniak

  • 2016 Currency competition in the Eurozone: an answer to the crisis
    by Krzysztof Spirzewski

  • 2016 How not to deal with the crisis (About the book by Barry Eichengreen, "Hall of Mirrors. The Great Depression, Great Recession, and undigested learned the lessons of history")
    by Tooze, Adam

  • 2016 The Contagion Effects on Real Economy: Emerging Markets during the Recent Crises
    by Hatice Gaye Gencer & Sercan Demiralay

  • 2016 International Evidence on the Financial Kuznets Curve
    by Moosa, Imad

  • 2016 The process towards centralisation of the European financial supervisory architecture: The case of the Banking Union
    by Elisabetta Montanaro

  • 2016 Peněžní a úvěrové multiplikátory ve vybraných ekonomikách
    by Zbyněk Revenda

  • 2016 Income Contingent Repayments - How Can We Get into a Debt Trap?
    by Edina Berlinger & György Walter

  • 2016 Volatility Of Yields Of Government Bonds Among Giips Countries During The Sovereign Debt Crisis In The Euro Area
    by Tomas Heryan & Jan Ziegelbauer

  • 2016 Managing a "N" Securities Portfolio
    by Costicã Vlad

  • 2016 State-Owned, Acquisition Or Greenfield Banks In The New Eu Member States. A Post-Crisis Analysis
    by Radu Alin Morutan & Daniel Badulescu

  • 2016 Principles, circumstances and constraints: the Nationalbank as lender of last resort from 1816 to 1931
    by Clemens Jobst & Kilian Rieder

  • 2016 Comparative Study on Monetary and Fiscal Policy in the Eurozone and Bulgaria
    by Tsvetelina Marinova

  • 2016 Pseudo-Scientific Economic Policies Of Moldova Association To The Eu: Methodology, Problems, Solutions
    by Gheorghe RUSU & Tudor ROBU & Mihai BUMBU

  • 2016 World Economy Post-Crysis Development
    by Sergiu GARSTEA & Iulita BIRCA & Alexandru GRIBINCEA

  • 2016 The Application Of Bulgaria For The Euro Area In The Context Of The Debt Crisis
    by VIKTOR MIHAYLOV DINEV

  • 2016 Bulgarian Exports In The Context Of Euro Area Debt Crisis
    by VIKTOR DINEV

  • 2016 Evolution of Russian Macroeconomic Policy in Three Crises
    by Gurvich, E.

  • 2016 Japanese responses to asset price bubbles: comparison with the U.S
    by Ryozo Himino

  • 2016 Implications on the Systemic Relevance in the Japanese Insurance Industry
    by Jumpei Miwa

  • 2016 Bank resolution as a new MNB function – resolution of MKB Bank
    by Krisztina Földényi Láhm & András Kómár & Antal Stréda & Róbert Szegedi

  • 2016 Has the risk index of Islamic banks and conventional banks in GCC countries changed in response to the 2008 economic crisis?
    by Talla M Aldeehani

  • 2016 Financial Contagion During the European Sovereign Debt Crisis
    by Dieter Smeets

  • 2016 Financial Stress Indicator Variables and Monetary Policy in South Africa
    by Leroi RAPUTSOANE

  • 2016 A magyar bankrendszer tulajdonosi struktúrájának átalakulása
    by Király, Júlia

  • 2016 Measuring sovereign credit risk using a structural model approach
    by Han-Hsing Lee & Kuanyu Shih & Kehluh Wang

  • 2016 Securitization and regulatory arbitrage within the ABCT framework
    by Gabriel A. Giménez Roche & Jason Lermyte

  • 2016 Endogenous transactions costs and institutions in the 2007/08 financial crisis
    by Jamus Jerome Lim & Terence Tan

  • 2016 The Short-Run Pricing Behavior of Closed-End Funds: Bond vs. Equity Funds
    by Seth Anderson & T. Randolph Beard & Hyeongwoo Kim & Liliana V. Stern

  • 2016 Supervisory Ratings and Bank Lending to Small Businesses During the Financial Crisis and Great Recession
    by Elizabeth K. Kiser & Robin A. Prager & Jason R. Scott

  • 2016 Overcoming the euro crisis and prospects for a political union
    by Paul J. J. Welfens

  • 2016 Assessing financial distress dependencies in OTC markets: a new approach using trade repositories data
    by Michele Bonollo & Irene Crimaldi & Andrea Flori & Laura Gianfagna & Fabio Pammolli

  • 2016 Analysis of Correlation Based Networks Representing DAX 30 Stock Price Returns
    by Jenna Birch & Athanasios A. Pantelous & Kimmo Soramäki

  • 2016 Characteristics of Banking Crises: A Comparative Study with Geographical Contagion
    by Fendel Ralf & Stremmel Hanno

  • 2016 Romania – To Have Or Not To Have Its Own Development Path?
    by Gabriela BODEA & Aurelian-Petrus PLOPEANU

  • 2016 FDI, domestic investment and 2008 financial crisis: Evidence from emerging nations
    by Lalita Mohan Mohapatra & Arun Kumar Gopalaswamy

  • 2016 Do social responsibility disclosures show improvements on stock price?
    by Mohammad Jizi & Rabih Nehme & Aly Salama

  • 2016 How to Measure the Unsecured Money Market: The Eurosystem’s Implementation and Validation Using TARGET2 Data
    by Luca Arciero & Ronald Heijmans & Richard Heuver & Marco Massarenti & Cristina Picillo & Francesco Vacirca

  • 2016 Eu Banking Union – Recent Developments
    by Petre Prisecaru

  • 2016 Efectos De La Crisis Sobre La Financiación Bancaria Del Emprendimiento. Un Análisis De Las Microempresas Españolas Desde El Sector De Las Sociedades De Garantía Recíproca / Crises Effects On Banking Entrepreneurship Financing. An Analysis Of Micro Enterprises In Spain From The Perspective Of Mutual Guarantee Institutions
    by Santero Sánchez, Rosa & de la Fuente-Cabrero, Concepción & Laguna Sánchez, Pilar

  • 2016 The Impact of the 2008 Global Crisis on Human Development: An Examination of the Human Assets Index
    by Halil D. Kaya

  • 2016 The Gordon Gekko effect: the role of culture in the financial industry
    by Lo, Andrew W.

  • 2016 Consumption Growth Regimes and the Post-Financial Crisis Recovery
    by Foerster, Andrew T. & Choi, Jason

  • 2016 The Lasting Damage from the Financial Crisis to U.S. Productivity
    by Redmond, Michael & Van Zandweghe, Willem

  • 2016 The Nexus Between Systemic Risk and Sovereign Crises
    by Tomas Klinger & Petr Teply

  • 2016 Quale tutela del consumatore finanziario
    by Giovanni Battista Pittaluga

  • 2016 Growth and distribution after the 2007–2008 US financial crisis: who shouldered the burden of the crisis?
    by Mathieu Dufour & Özgür Orhangazi

  • 2016 Cash flow sensitivities during normal and crisis times: Evidence from shipping
    by Drobetz, Wolfgang & Haller, Rebekka & Meier, Iwan

  • 2016 Financial crises and estimation bias in international bond markets
    by Juneja, Januj A.

  • 2016 Credit rating model development: An ordered analysis based on accounting data
    by Balios, Dimitris & Thomadakis, Stavros & Tsipouri, Lena

  • 2016 An investigation of return and volatility linkages among equity markets: A study of selected European and emerging countries
    by Yavas, Burhan F. & Dedi, Lidija

  • 2016 Freeing Greece from capital controls: Were the restrictions enforced in time?
    by Samitas, Aristeidis & Polyzos, Stathis

  • 2016 Time-varying co-movements and volatility spillovers among financial sector CDS indexes in the UK
    by Tamakoshi, Go & Hamori, Shigeyuki

  • 2016 MENA stock market volatility persistence: Evidence before and after the financial crisis of 2008
    by Assaf, Ata

  • 2016 Financial market interdependencies: A quantile regression analysis of volatility spillover
    by Ben Rejeb, Aymen & Arfaoui, Mongi

  • 2016 Stock market dynamics, leveraged network-based financial accelerator and monetary policy
    by Riccetti, Luca & Russo, Alberto & Gallegati, Mauro

  • 2016 Linkages between financial sector CDS spreads and macroeconomic influence in a nonlinear setting
    by Lahiani, Amine & Hammoudeh, Shawkat & Gupta, Rangan

  • 2016 The effect of leverage and liquidity on earnings and capital management: Evidence from U.S. commercial banks
    by Gombola, Michael J. & Ho, Amy Yueh-Fang & Huang, Chin-Chuan

  • 2016 Systematic risk, government policy intervention, and dynamic contrarian investments
    by Liu, Jiapeng & Tao, Qizhi & Hou, Wenxuan & Zhang, Ting

  • 2016 Market integration and efficiency of CDS and equity markets
    by Kiesel, Florian & Kolaric, Sascha & Schiereck, Dirk

  • 2016 Inflation forecasts extracted from nominal and real yield curves
    by Geyer, Alois & Hanke, Michael & Weissensteiner, Alex

  • 2016 Realized correlation analysis of contagion
    by Vortelinos, Dimitrios I.

  • 2016 Tail risk spillovers and corporate cash holdings
    by Chiu, Wan-Chien & Wang, Chih-Wei & Peña, Juan Ignacio

  • 2016 The effectiveness of the ECB's asset purchase programs of 2009 to 2012
    by Gibson, Heather D. & Hall, Stephen G. & Tavlas, George S.

  • 2016 The impacts of the 2008 and 2011 crises on the Japan REIT market
    by Miyakoshi, Tatsuyoshi & Shimada, Junji & Li, Kui-Wai

  • 2016 Japanese repo and call markets before, during, and emerging from the financial crisis
    by Fukunaga, Ichiro & Kato, Naoya

  • 2016 The risk of financial crises: Is there a role for income inequality?
    by Kirschenmann, Karolin & Malinen, Tuomas & Nyberg, Henri

  • 2016 Commodity returns co-movements: Fundamentals or “style” effect?
    by Charlot, Philippe & Darné, Olivier & Moussa, Zakaria

  • 2016 What is the effect of unconventional monetary policy on bank performance?
    by Mamatzakis, Emmanuel & Bermpei, Theodora

  • 2016 Exchange market pressure in OECD and emerging economies: Domestic vs. external factors and capital flows in the old and new normal
    by Aizenman, Joshua & Binici, Mahir

  • 2016 On the separation of monetary and prudential policy: How much of the precrisis consensus remains?
    by Cecchetti, Stephen G.

  • 2016 Economic policy uncertainty and risk spillovers in the Eurozone
    by Bernal, Oscar & Gnabo, Jean-Yves & Guilmin, Grégory

  • 2016 Factor decomposition of the Eurozone sovereign CDS spreads
    by Fabozzi, Frank J. & Giacometti, Rosella & Tsuchida, Naoshi

  • 2016 Sovereign-bank linkages: Quantifying directional intensity of risk transfers in EMU countries
    by Singh, Manish K. & Gómez-Puig, Marta & Sosvilla-Rivero, Simón

  • 2016 The early warnings of banking crises: Interaction of broad liquidity and demand deposits
    by Lang, Michael & Schmidt, Paul G.

  • 2016 Market frictions and the pricing of sovereign credit default swaps
    by Rubia, Antonio & Sanchis-Marco, Lidia & Serrano, Pedro

  • 2016 Who neglects risk? Investor experience and the credit boom
    by Chernenko, Sergey & Hanson, Samuel G. & Sunderam, Adi

  • 2016 Sovereign credit risk, liquidity, and European Central Bank intervention: Deus ex machina?
    by Pelizzon, Loriana & Subrahmanyam, Marti G. & Tomio, Davide & Uno, Jun

  • 2016 Double bank runs and liquidity risk management
    by Ippolito, Filippo & Peydró, José-Luis & Polo, Andrea & Sette, Enrico

  • 2016 Can analysts assess fundamental risk and valuation uncertainty? An empirical analysis of scenario-based value estimates
    by Joos, Peter & Piotroski, Joseph D. & Srinivasan, Suraj

  • 2016 Fragility in money market funds: Sponsor support and regulation
    by Parlatore, Cecilia

  • 2016 Securities trading by banks and credit supply: Micro-evidence from the crisis
    by Abbassi, Puriya & Iyer, Rajkamal & Peydró, José-Luis & Tous, Francesc R.

  • 2016 The value of connections in turbulent times: Evidence from the United States
    by Acemoglu, Daron & Johnson, Simon & Kermani, Amir & Kwak, James & Mitton, Todd

  • 2016 Sentiments, financial markets, and macroeconomic fluctuations
    by Benhabib, Jess & Liu, Xuewen & Wang, Pengfei

  • 2016 CEO overconfidence and financial crisis: Evidence from bank lending and leverage
    by Ho, Po-Hsin & Huang, Chia-Wei & Lin, Chih-Yung & Yen, Ju-Fang

  • 2016 Are retail traders compensated for providing liquidity?
    by Barrot, Jean-Noel & Kaniel, Ron & Sraer, David

  • 2016 Disagreement, speculation, and aggregate investment
    by Baker, Steven D. & Hollifield, Burton & Osambela, Emilio

  • 2016 Endogenous information acquisition and countercyclical uncertainty
    by Benhabib, Jess & Liu, Xuewen & Wang, Pengfei

  • 2016 Cost of funds indexed mortgage contracts with government-backed catastrophic insurance (COFI-Cats): A realistic alternative to the 30-year fixed-rate mortgage?
    by Hancock, Diana & Passmore, Wayne

  • 2016 Economic shocks and crime: Evidence from the crash of Ponzi schemes
    by Cortés, Darwin & Santamaría, Julieth & Vargas, Juan F.

  • 2016 Credit constraints and the international propagation of US financial shocks
    by Metiu, Norbert & Hilberg, Björn & Grill, Michael

  • 2016 Financial innovation: The bright and the dark sides
    by Beck, Thorsten & Chen, Tao & Lin, Chen & Song, Frank M.

  • 2016 Derivatives usage, securitization, and the crash sensitivity of bank stocks
    by Trapp, Rouven & Weiß, Gregor N.F.

  • 2016 US bank credit spreads during the financial crisis
    by Spencer, Peter

  • 2016 Risk protection from risky collateral: Evidence from the euro bond market
    by Helberg, Stig & Lindset, Snorre

  • 2016 Assessing financial stability: The Capital and Loss Assessment under Stress Scenarios (CLASS) model
    by Hirtle, Beverly & Kovner, Anna & Vickery, James & Bhanot, Meru

  • 2016 Bank size, capital, and systemic risk: Some international evidence
    by Laeven, Luc & Ratnovski, Lev & Tong, Hui

  • 2016 Local bank competition and small business lending after the onset of the financial crisis
    by Sääskilahti, Jaakko

  • 2016 Financial constraints and international trade with endogenous mode of competition
    by Bouët, Antoine & Vaubourg, Anne-Gaël

  • 2016 Stock market volatility and business cycle: Evidence from linear and nonlinear causality tests
    by Choudhry, Taufiq & Papadimitriou, Fotios I. & Shabi, Sarosh

  • 2016 The level effect of bank lending standards on business lending
    by van der Veer, Koen J.M. & Hoeberichts, Marco M.

  • 2016 Pricing and hedging of derivatives in contagious markets
    by Kokholm, Thomas

  • 2016 Does the buck stop here? A comparison of withdrawals from money market mutual funds with floating and constant share prices
    by Witmer, Jonathan

  • 2016 An econometric evaluation of bank recapitalization programs with bank- and loan-level data
    by Nakashima, Kiyotaka

  • 2016 Fragility, stress, and market returns
    by Berger, Dave & Pukthuanthong, Kuntara

  • 2016 An analysis of euro area sovereign CDS and their relation with government bonds
    by Fontana, Alessandro & Scheicher, Martin

  • 2016 The information role of audit opinions in debt contracting
    by Chen, Peter F. & He, Shaohua & Ma, Zhiming & Stice, Derrald

  • 2016 Testing the asymmetric effects of financial conditions in South Africa: A nonlinear vector autoregression approach
    by Balcilar, Mehmet & Thompson, Kirsten & Gupta, Rangan & van Eyden, Reneé

  • 2016 Lending growth during the financial crisis and the sovereign debt crisis: The role of bank ownership type
    by Meriläinen, Jari-Mikko

  • 2016 Financial crisis, liquidity and dynamic linkages between large and small stocks: Evidence from the Athens Stock Exchange
    by Koulakiotis, Athanasios & Babalos, Vassilios & Papasyriopoulos, Nicholas

  • 2016 Fire-sale FDI or business as usual?
    by Alquist, Ron & Mukherjee, Rahul & Tesar, Linda

  • 2016 Investment and bank credit recovery after banking crises
    by Teimouri, Sheida & Dutta, Nabamita

  • 2016 How the euro-area sovereign-debt crisis led to a collapse in bank equity prices
    by Gibson, Heather D. & Hall, Stephen G. & Tavlas, George S.

  • 2016 Who should rescue subsidiaries of multinational banks?
    by Diemer, Michael

  • 2016 The credit quality channel: Modeling contagion in the interbank market
    by Fink, Kilian & Krüger, Ulrich & Meller, Barbara & Wong, Lui-Hsian

  • 2016 How much can illiquidity affect corporate debt yield spread?
    by Abudy, Menachem Meni & Raviv, Alon

  • 2016 Bank regulation, financial crisis, and the announcement effects of seasoned equity offerings of US commercial banks
    by Li, Hui & Liu, Hong & Siganos, Antonios & Zhou, Mingming

  • 2016 Systemic risk spillovers in the European banking and sovereign network
    by Betz, Frank & Hautsch, Nikolaus & Peltonen, Tuomas A. & Schienle, Melanie

  • 2016 Assessing the credit risk of money market funds during the eurozone crisis
    by Collins, Sean & Gallagher, Emily

  • 2016 Banks and sovereign risk: A granular view
    by Buch, Claudia M. & Koetter, Michael & Ohls, Jana

  • 2016 What is the systemic risk exposure of financial institutions?
    by Sedunov, John

  • 2016 Credit rating agency downgrades and the Eurozone sovereign debt crises
    by Baum, Christopher F. & Schäfer, Dorothea & Stephan, Andreas

  • 2016 Determinants of time varying co-movements among international stock markets during crisis and non-crisis periods
    by Mobarek, Asma & Muradoglu, Gulnur & Mollah, Sabur & Hou, Ai Jun

  • 2016 Model risk of risk models
    by Danielsson, Jon & James, Kevin R. & Valenzuela, Marcela & Zer, Ilknur

  • 2016 A comprehensive approach to measuring the relation between systemic risk exposure and sovereign debt
    by Pagano, Michael S. & Sedunov, John

  • 2016 TARP announcement, bank health, and borrowers’ credit risk
    by Song, Wei-Ling & Uzmanoglu, Cihan

  • 2016 The good, the bad and the impaired: A credit risk model of the Irish mortgage market
    by Kelly, Robert & O’Malley, Terence

  • 2016 The risk in capital controls
    by Gkillas (Gillas), Konstantinos & Tsagkanos, Athanasios & Siriopoulos, Costas

  • 2016 Foreign funding shocks and the lending channel: Do foreign banks adjust differently?
    by Noth, Felix & Ossandon Busch, Matias

  • 2016 What drives the time to resolution of defaulted bank loans?
    by Betz, Jennifer & Kellner, Ralf & Rösch, Daniel

  • 2016 The performance of the switching forecast model of value-at-risk in the Asian stock markets
    by Chiu, Yen-Chen & Chuang, I-Yuan

  • 2016 A comparison of investors’ sentiments and risk premium effects on valuing shares
    by Karavias, Yiannis & Spilioti, Stella & Tzavalis, Elias

  • 2016 Financial and real sector returns, IMF-related news, and the Asian crisisAuthor-Name: Kutan, Ali M
    by Muradoğlu, Yaz G.

  • 2016 Dynamic efficiency of stock markets and exchange rates
    by Sensoy, Ahmet & Tabak, Benjamin M.

  • 2016 The financial and fiscal stress interconnectedness: The case of G5 economies
    by Magkonis, Georgios & Tsopanakis, Andreas

  • 2016 Stock market risk in the financial crisis
    by Grout, Paul A. & Zalewska, Anna

  • 2016 Information asymmetry, leverage and firm value: Do crisis and growth matter?
    by Fosu, Samuel & Danso, Albert & Ahmad, Wasim & Coffie, William

  • 2016 The nature and determinants of disclosure practices in the insurance industry: Evidence from European insurers
    by Malafronte, Irma & Porzio, Claudio & Starita, Maria Grazia

  • 2016 A Markov switching unobserved component analysis of the CDX index term premium
    by Calice, Giovanni & Ioannidis, Christos & Miao, RongHui

  • 2016 On the dynamic links between commodities and Islamic equity
    by Nagayev, Ruslan & Disli, Mustafa & Inghelbrecht, Koen & Ng, Adam

  • 2016 Information spillover dynamics of the energy futures market sector: A novel common factor approach
    by Kuruppuarachchi, Duminda & Premachandra, I.M.

  • 2016 Market conditions, trader types and price–volume relation in energy futures markets
    by Alizadeh, Amir H. & Tamvakis, Michael

  • 2016 Recent hikes in oil-equity market correlations: Transitory or permanent?
    by Zhang, Bing & Li, Xiao-Ming

  • 2016 Euro crash risk
    by Kräussl, Roman & Lehnert, Thorsten & Senulytė, Sigita

  • 2016 Bank fragility and contagion: Evidence from the bank CDS market
    by Ballester, Laura & Casu, Barbara & González-Urteaga, Ana

  • 2016 Financial sector linkages and the dynamics of bank and sovereign credit spreads
    by Kallestrup, René & Lando, David & Murgoci, Agatha

  • 2016 Capital asset pricing model: A time-varying volatility approach
    by Kim, Kun Ho & Kim, Taejin

  • 2016 Credit market freedom and cost efficiency in US state banking
    by Chortareas, Georgios & Kapetanios, George & Ventouri, Alexia

  • 2016 Escaping financial crises? Macro evidence from sovereign wealth funds' investment behaviour
    by Ciarlone, Alessio & Miceli, Valeria

  • 2016 Linkages in the term structure of interest rates across sovereign bond markets
    by Sowmya, Subramaniam & Prasanna, Krishna & Bhaduri, Saumitra

  • 2016 Going to extremes: Politics after financial crises, 1870–2014
    by Funke, Manuel & Schularick, Moritz & Trebesch, Christoph

  • 2016 Dueling policies: Why systemic risk taxation can fail
    by Bosma, Jakob J.

  • 2016 The resilience of oil-rich economies to the global financial crisis: Evidence from Kuwaiti financial and real sectors
    by Mirzaei, Ali & Al-Khouri, Ritab Salem Farhan

  • 2016 TENET: Tail-Event driven NETwork risk
    by Härdle, Wolfgang Karl & Wang, Weining & Yu, Lining

  • 2016 Measuring financial cycles in a model-based analysis: Empirical evidence for the United States and the euro area
    by Galati, Gabriele & Hindrayanto, Irma & Koopman, Siem Jan & Vlekke, Marente

  • 2016 Contagion in Eurozone sovereign bond markets? The good, the bad and the ugly
    by Cronin, David & Flavin, Thomas J. & Sheenan, Lisa

  • 2016 Reputation acquisition in imperfect financial markets
    by Asano, Koji

  • 2016 Fractional integration in daily stock market indices at Jordan's Amman stock exchange
    by Al-Shboul, Mohammad & Anwar, Sajid

  • 2016 Evidence of cross-asset contagion in U.S. markets
    by Chang, Guang-Di & Cheng, Po-Ching

  • 2016 Weathering the storm: ownership structure and performance of microfinance institutions in the wake of the global financial crisis
    by Wijesiri, Mahinda

  • 2016 Financial fragility and distress propagation in a network of regions
    by Vitali, Stefania & Battiston, Stefano & Gallegati, Mauro

  • 2016 Does local religiosity matter for bank risk-taking?
    by Adhikari, Binay Kumar & Agrawal, Anup

  • 2016 Creditor rights, bank competition, and corporate investment during the global financial crisis
    by González, Francisco

  • 2016 An evaluation of Altman's Z-score using cash flow ratio to predict corporate failure amid the recent financial crisis: Evidence from the UK
    by Almamy, Jeehan & Aston, John & Ngwa, Leonard N.

  • 2016 Fundamentals and the Equilibrium of Real Exchange Rate of an Emerging Economy: Estimating the Exchange Rate Misalignment in Malaysia
    by Jauhari Dahalan & Mohammed Umar & Hussin Abdullah

  • 2016 Systematic and Unsystematic Risk Determinants of Liquidity Risk Between Islamic and Conventional Banks
    by Waeibrorheem Waemustafa & Suriani Sukri

  • 2016 Islamic Finance: Is it a Time to be Considered as an Alternative during Financial Crisis Times? A Comparative Study in Gulf Cooperation Council
    by Badreldin F. Salim & Mohamed H. Mahmoud

  • 2016 Influence of Enterprise Risk Management Success Factors on Firm Financial and Non-financial Performance: A Proposed Model
    by Idris Ahmed & Idris Ahmed & Norlida Abdul Manab

  • 2016 Measuring Financial Stress Index for Malaysian Economy
    by Jauhari Dahalan & Hussin Bin Abdullah & Mohammed Umar

  • 2016 Market Efficiency of Commercial Bank in Financial Crisis
    by Han-Ching Huang & Yong-Chern Su & Tze-Yi Lin

  • 2016 The Political Economy of Financial Regulation Policies Following the Global Crisis
    by Hale Balseven

  • 2016 Stock Market Response to Economic Growth and Interest Rate Volatility: Evidence from Nigeria
    by Babajide Abiola Ayopo & Lawal Adedoyin Isola & Somoye Russel Olukayode

  • 2016 The IMPACTS of the GLOBAL FINANCIAL CRISIS on LATIN AMERICAN COUNTRIES
    by Selçuk BALI & Mete GÜLER

  • 2016 Risiken der Niedrigzinspolitik für die Finanzstabilität im Euroraum
    by Marco Bargel

  • 2016 Risk Pressure and Inventories Levels. Influence of Risk Sensitivity on Working Capital Level
    by GRZEGORZ MICHALSki

  • 2016 The assessment of the situation in banking sectors in selected European countries
    by Katarzyna Kubiszewska

  • 2016 Rethinking economics in response to current crisis phenomena
    by Gabriela Przeslawska

  • 2016 La Ley de la tendencia descendente de la tasa de ganancia y su validez explicativa de las crisis económicas. La nueva interpretación temporalista
    by Sergio Martín Fernández

  • 2016 Precios de los activos bajo ambigüedad estructural: portafolios cautelosos, prudenciales y conservadores
    by Jimmy Melo

  • 2016 Management Systems Of A Possible Economic Crisis
    by Carmen Elena COCA & Daniel Daneci PATRAU

  • 2016 Stock Market Response To Fiscal Policy Shocks: Evidence From Eu Countries From Central And Eastern Europe
    by Stela JAKOVA

  • 2016 The European Monetary System: Deficits and Cures
    by Henning Bohn & Otmar Issing & Frank Westermann

  • 2016 Europe’s Crises, Germany’s Leadership and Turkey’s EU Accession Process
    by Ebru Turhan

  • 2016 Estonian Economic Policy during Global Financial Crises
    by Peter Friedrich & Janno Reiljan

  • 2016 The ECB, Between Conservatism and Pragmatism
    by Cécile Bastidon & Philippe Gilles & Nicolas Huchet

  • 2016 Les futurs financiers : de la Grande Modération au ZIRP et au-delà
    by Jeffry Frieden

  • 2016 Trois changements « sismiques » dans l’économie mondiale et leurs enjeux de politique économique
    by Kiyohiko G. Nishimura

  • 2016 La politique macroprudentielle : un ouvrage en cours pour les banques centrales
    by Jaime Caruana & Ilhyock Shim

  • 2016 Les mesures de politique monétaire non conventionnelles et leur impact sur les marchés
    by Marco Leppin & Joachim Nagel

  • 2016 Crise financière : conséquences pour la politique monétaire et la pratique monétaire
    by Benjamin M. Friedman

  • 2016 The Instability Of The Modern Economic System
    by Alina, POP

  • 2016 Business cycle volatility, growth and financial openness: Does Islamic finance make any difference?
    by Mustapha Djennas

  • 2016 European Economies Facing The Global Financial Crisis: Are Emerging Economies More Vulnerable Than Advanced Ones?
    by Smaranda CIMPOERU

  • 2016 Study On The Performance Of Romanian Companies Listed On Bucharest Stock Exchange Using A General Diagnosis Model
    by Iulia-Oana STEFAN

  • 2016 Greek Crisis - Causes, Consequences And Developments
    by GABAN Lucian & BATRANCEA Ioan & MINTEUAN Paul

  • 2016 Quel futur pour l’architecture financière internationale ? Synthèse de conférence
    by BENMISSI, C. & BUSSIÈRE, M.

  • 2016 Sortie de taux bas en situation d’excédent de liquidité : l’expérience de la Réserve fédérale américaine
    by GROSSMANN-WIRTH, V. & VARI, M.

  • 2016 Precios de los activos bajo ambigüedad estructural: portafolios cautelosos, prudenciales y conservadores
    by Jimmy Melo

  • 2016 The Increasing Public Debts in the World and the Threat of a New Global Crisis
    by Stefan Yotov

  • 2016 Credit Risk Management in Banks under the Basel Accord and IFRS 9: Challenges and Projections
    by Radka Andasarova

  • 2016 The Psychology of Investing: Stock Market Recommendations and Their Impact on Investors’ Decisions (The Example of the Polish Stock Market)
    by Jakub Keller & Radoslaw Pastusiak

  • 2016 A Counterfactual Analysis of Regulatory Changes in Hungary: Could the FX Lending Crisis have been Avoided?
    by Dóra Siklós

  • 2016 Study on the Stock Market Evolution of Companies Listed on Bucharest Stock Exchange
    by Iulia-Oana Stefan

  • 2016 Banking Integration in European Context
    by Roxana Badîrcea & Alina Manta & Ramona Pîrvu & Nicoleta Florea

  • 2016 The International Monetary Fund: 70 Years of Reinvention
    by Carmen M. Reinhart & Christoph Trebesch

  • 2016 Current Federal Reserve Policy under the Lens of Economic History: A Review Essay
    by Stephen D. Williamson

  • 2016 Contagion in Financial Networks
    by Paul Glasserman & H. Peyton Young

  • 2016 The Politics of Financial Development: A Review of Calomiris and Haber's Fragile by Design
    by Peter L. Rousseau

  • 2016 Falling Dominoes: A Theory of Rare Events and Crisis Contagion
    by Heng Chen & Wing Suen

  • 2016 Financial Intermediation, Leverage, and Macroeconomic Instability
    by Gregory Phelan

  • 2016 The Great Recession: A Self-Fulfilling Global Panic
    by Philippe Bacchetta & Eric van Wincoop

  • 2016 Financial Liberalization, Debt Mismatch, Allocative Efficiency, and Growth
    by Romain Rancière & Aaron Tornell

  • 2016 Financial Innovation, Collateral, and Investment
    by Ana Fostel & John Geanakoplos

  • 2016 CoVaR
    by Tobias Adrian & Markus K. Brunnermeier

  • 2016 Too-Systemic-to-Fail: What Option Markets Imply about Sector-Wide Government Guarantees
    by Bryan Kelly & Hanno Lustig & Stijn Van Nieuwerburgh

  • 2016 Borrowing Constraints and Homeownership
    by Arthur Acolin & Jesse Bricker & Paul Calem & Susan Wachter

  • 2016 When Do Capital Inflow Surges End in Tears?
    by Atish R. Ghosh & Jonathan D. Ostry & Mahvash S. Qureshi

  • 2016 Anticipated Banking Panics
    by Mark Gertler & Nobuhiro Kiyotaki & Andrea Prestipino

  • 2016 Debt Constraints and the Labor Wedge
    by Patrick Kehoe & Virgiliu Midrigan & Elena Pastorino

  • 2016 A Simple Model of Subprime Borrowers and Credit Growth
    by Alejandro Justiniano & Giorgio E. Primiceri & Andrea Tambalotti

  • 2016 Bank Leverage and Regulatory Regimes: Evidence from the Great Depression and Great Recession
    by Christoffer Koch & Gary Richardson & Patrick Van Horn

  • 2016 Interbank Markets and Banking Crises: New Evidence on the Establishment and Impact of the Federal Reserve
    by Mark Carlson & David C. Wheelock

  • 2016 Too Big to Fail before the Fed
    by Gary Gorton & Ellis W. Tallman

  • 2016 Crises and the Development of Economic Institutions: Some Microeconomic Evidence
    by Raghuram Rajan & Rodney Ramcharan

  • 2015 Comparing the Forecasting Ability of Financial Conditions Indices: The Case of South Africa
    by Mehmet Balcilar & Rangan Gupta & Renee van Eyden & Kirsten Thompson & Anandamayee Majumdar

  • 2015 Regulatory herding versus democratic diversity: history and prospects
    by Dorn, Nicholas

  • 2015 Do “too-big-to-fail” banks take on more risk?
    by Afonso, Gara & Santos, João A.C. & Traina, James

  • 2015 The consequences of exit from non-conventional monetary policy
    by Turner, Philip

  • 2015 Shadow banking: policy challenges for central banks
    by Grung Moe, Thorvald

  • 2015 Cross-border bank resolution
    by Viñals, José & Hagan, Sean

  • 2015 New private equity models: how should the interests of investors and managers be aligned?
    by McCahery, Joseph A. & Vermeulen, Erik P. M.

  • 2015 Rethinking the treasury operating model
    by Choudhury, Roy

  • 2015 The deep roots of the government debt crisis
    by Zimmermann, Horst

  • 2015 The Euro Area Crisis Five Years After the Original Sin
    by Athanasios Orphanides

  • 2015 A wholistic Approach to Diversification Management: The Diversification Delta Strategy applied to non-normal Return Distributions
    by Eduard Baitinger & Iliya Kutsarov & Thomas Maier & Marcus Storr & Tao Wan

  • 2015 Tek Değişkenli Filtrelerle Türkiye İçin Kredi Açığı Tahmini ve Kestirimi
    by K. Batu TUNAY

  • 2015 Fuzzy Similarity And Counterfactuals In The Assessment Of Default Risk: The Eurozone Crisis And The Argentinean Solution
    by Pazzi, Jorge & Tohmé, Fernando

  • 2015 The impact of the financial crisis on investments in innovative firms
    by Giebel, Marek & Kraft, Kornelius

  • 2015 Getting to Bail-in: Effects of Creditor Participation in European Bank Restructuring
    by Schäfer, Alexander & Schnabel, Isabel & Weder di Mauro, Beatrice

  • 2015 Does the Eurosystem's lender of last resort facility has a structurally di fferent option value across banks?
    by Weber, Patrick

  • 2015 Drivers of Systemic Risk: Do National and European Perspectives Differ?
    by Krause, Thomas & Buch, Claudia M. & Tonzer, Lena

  • 2015 Monetary Policy during Financial Crises: Is the Transmission Mechanism Impaired?
    by Jannsen, Nils & Potjagailo, Galina & Wolters, Maik

  • 2015 Uncertainty and International Banking
    by Tonzer, Lena & Buch, Claudia M. & Buchholz, Manuel

  • 2015 From financial to real economic crisis. Evidence from individual firm-bank relationships in Germany
    by Dwenger, Nadja & Dr. Fossen, Frank & Dr. Simmler, Martin

  • 2015 Signaling Crises: How to Get Good Out-of-Sample Performance Out of the Early Warning System
    by von Schweinitz, Gregor & Sarlin, Peter

  • 2015 How Do Political Factors Shape the Bank Risk-Sovereign Risk Nexus in Emerging Markets?
    by Eichler, Stefan

  • 2015 Safe, or not safe? Covered bonds and Bank Fragility
    by Ahnert, Toni & Anand, Kartik & Gai, Prasanna & Chapman, James

  • 2015 Global Imbalances and Bank Risk-Taking
    by te Kaat, Daniel Marcel & Dinger, Valeriya

  • 2015 Financial Fragmentation and Economic Growth in Europe
    by Schnabel, Isabel & Seckinger, Christian

  • 2015 Welche Unternehmen profitieren vom Euro?
    by Dilger, Alexander

  • 2015 Which currency is best for business in a small country?
    by Dilger, Alexander

  • 2015 Sovereign credit risk, liquidity, and ECB intervention: Deus ex machina?
    by Pelizzon, Loriana & Subrahmanyam, Marti G. & Tomio, Davide & Uno, Jun

  • 2015 Too interconnected to fail: A survey of the interbank networks literature
    by Hüser, Anne-Caroline

  • 2015 Insurance activities and systemic risk
    by Berdin, Elia & Sottocornola, Matteo

  • 2015 Interbank funding as insurance mechanism for (persistent) liquidity shocks
    by Bluhm, Marcel

  • 2015 Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool
    by Tröger, Tobias H.

  • 2015 Planned fiscal consolidations and growth forecast errors: New panel evidence on fiscal multipliers
    by Belke, Ansgar & Kronen, Dominik & Osowski, Thomas

  • 2015 Monetary Policy under the Microscope: Intra-bank Transmission of Asset Purchase Programs of the ECB
    by Cycon, Lisa & Koetter, Michael

  • 2015 Friend or Foe? Crowdfunding Versus Credit when Banks are Stressed
    by Blaseg, Daniel & Koetter, Michael

  • 2015 Optimizing Policymakers' Loss Functions in Crisis Prediction: Before, Within or After?
    by Sarlin, Peter & von Schweinitz, Gregor

  • 2015 Banks and Sovereign Risk: A Granular View
    by Buch, Claudia M. & Koetter, Michael & Ohls, Jana

  • 2015 An investment initiative for fiscally constrained EU member states: The role of synergetic financial instruments
    by Zeilbeck, Severin

  • 2015 Financialisation and financial crisis in Iceland
    by Guðmundsson, Björn Rúnar

  • 2015 Financialisation and the financial and economic crises: Theoretical framework and empirical analysis for 15 countries
    by Dodig, Nina & Hein, Eckhard & Detzer, Daniel

  • 2015 The crisis of finance-led capitalism in the United States of America
    by Evans, Trevor

  • 2015 Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool
    by Tröger, Tobias H.

  • 2015 On the role of market makers for money market liquidity and tensions
    by Fecht, Falko & Reitz, Stefan & Weber, Patrick

  • 2015 Monetary policy during financial crises: Is the transmission mechanism impaired?
    by Jannsen, Nils & Potjagailo, Galina & Wolters, Maik H.

  • 2015 Uncertainty: A diagrammatic treatment
    by Dow, Sheila

  • 2015 Insurance activities and systemic risk
    by Berdin, Elia & Sottocornolay, Matteo

  • 2015 From financial to real economic crisis: Evidence from individual firm-bank relationships in Germany
    by Dwenger, Nadja & Fossen, Frank M. & Simmler, Martin

  • 2015 From banks' strategies to financial (in)stability
    by Berardi, Simone & Tedeschi, Gabriele

  • 2015 Euro crash risk
    by Kräussl, Roman & Lehnert, Thorsten & Senulyte, Sigita

  • 2015 Political economics of external sovereign defaults
    by Achury, Carolina & Koulovatianos, Christos & Tsoukalas, John

  • 2015 Eine finanzwirtschaftliche Analyse der Risikovorsorge für erwartete Verluste im Kreditgeschäft
    by Nippel, Peter

  • 2015 The interaction between monetary and macroprudential policy: Should central banks "lean against the wind" to foster macrofinancial stability?
    by Krug, Sebastian

  • 2015 Monetary policy during financial crises: Is the transmission mechanism impaired?
    by Jannsen, Nils & Potjagailo, Galina & Wolters, Maik H.

  • 2015 Fundamentals matter: Idiosyncratic shocks and interbank relations
    by Bednarek, Peter & Dinger, Valeriya & von Westernhagen, Natalja

  • 2015 Arbitraging the Basel securitization framework: Evidence from German ABS investment
    by Efing, Matthias

  • 2015 The credit quality channel: Modeling contagion in the interbank market
    by Fink, Kilian & Krüger, Ulrich & Meller, Barbara & Wong, Lui-Hsian

  • 2015 The intraday interest rate: What's that?
    by Abbassi, Puriya & Fecht, Falko & Tischer, Johannes

  • 2015 Do exposures to sagging real estate, subprime or conduits abroad lead to contraction and flight to quality in bank lending at home?
    by Ongena, Steven & Tümer-Alkan, Günseli & von Westernhagen, Natalja

  • 2015 Securities trading by banks and credit supply: Micro-evidence
    by Abbassi, Puriya & Iyer, Rajkamal & Peydró, José-Luis & Tous, Francesc R.

  • 2015 Financial frictions and global spillovers
    by Metiu, Norbert & Hilberg, Björn & Grill, Michael

  • 2015 Next Global Crisis: Greatest Recession in the History of Capitalism is at the Doorstep
    by Dominik Vuletić

  • 2015 Systemic risk of UCITS investment funds and financial market stability tested using MRS model
    by Jakša Krišto & Alen Stojanović & Hrvoje Filipović

  • 2015 Recent Trends in Regional Financial Integration and Trade Liberalization in Maghreb Countries: A Multivariate Threshold Autoregressive Analysis
    by Soumia Zenasni

  • 2015 Interactions between financial markets and macroeconomic variables in EU: a nonlinear modeling approach
    by Lucian-Liviu Albu & Radu Lupu & Adrian Cantemir Calin

  • 2015 Financial Intermediation, Leverage, and Macroeconomic Instability
    by Gregory Phelan

  • 2015 Aufwind im Westen Mittel-, Ost- und Südosteuropas: Wichtige Wachstumsimpulse für Österreich
    by Mario Holzner

  • 2015 Aufwind im Westen Mittel-, Ost- und Südosteuropas: Wichtige Wachstumsimpulse für Österreich
    by Mario Holzner

  • 2015 A Time of Moderate Expectations
    by Amat Adarov & Vasily Astrov & Serkan Çiçek & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Sebastian Leitner & Isilda Mara & Olga Pindyuk & Leon Podkaminer & Sandor Richter & Hermine Vidovic

  • 2015 Mixed Prospects: Consumption Leads Fragile Recovery in the CESEE Core – CIS Stumbles
    by Amat Adarov & Vasily Astrov & Serkan Çiçek & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Sebastian Leitner & Isilda Mara & Olga Pindyuk & Leon Podkaminer & Sandor Richter & Robert Stehrer & Hermine Vidovic

  • 2015 Did Foreign Banks “Cut and Run” or Stay Committed to Emerging Europe During the Crises?
    by John Bonin & Dana Louie

  • 2015 The Econometrics of Networks: A Review
    by Daniel Felix Ahelegbey

  • 2015 The dynamics of leverage in a Minskyan model with heterogenous firms
    by Corrado Di Guilmi & Laura Carvalho

  • 2015 Announcement Effects of Contingent Convertible Securities: Evidence from the Global Banking Industry
    by Ammann, Manuel & Blickle, Kristian & Ehmann, Christian

  • 2015 Double bank runs and liquidity risk management
    by Filippo Ippolito & José-Luis Peydró & Andrea Polo & Enrico Sette

  • 2015 Balance sheet recessions with informational and trading frictions
    by Vladimir Asriyan

  • 2015 The banking crisis with interbank market freeze
    by Jin Cheng & Meixing Dai & Frédéric Dufourt

  • 2015 The effects of over-indebtedness on individual health
    by Blázquez, Maite & Budría, Santiago

  • 2015 It ain't over till it's over: A global perspective on the Great Moderation-Great Recession interconnection
    by Fabio C. Bagliano & Claudio Morana

  • 2015 Was the Crisis Due to a Shift from Stakeholder to Shareholder Finance? Surveying the Debate
    by Giovanni Ferri & Angelo Leogrande

  • 2015 TIPS and the VIX: Non-linear Spillovers from Financial Panic to Breakeven Inflation
    by Josh R. Stillwagon

  • 2015 The relationship between distance-to-default and CDS spreads as measures of default risk for European banks
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  • 2015 Exploiting Spillovers to forecast Crashes
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  • 2015 Why Do We Need Both Liquidity Regulations and a Lender of Last Resort? A Perspective from Federal Reserve Lending during the 2007-09 U.S. Financial Crisis
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  • 2015 Quarterly Report on the Euro Area (QREA), Vol.14, No.3 (2015)
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    by Dori Pavloska - Gjorgjieska, Jelena Stanojevic

  • 2015 Comparing the Forecasting Ability of Financial Conditions Indices: The Case of South Africa
    by Mehmet Balcilar & Rangan Gupta & Renee van Eyden & Kirsten Thompson

  • 2015 Banking Crises, Early Warning Models, and Efficiency
    by Almanidis, Pavlos & Sickles, Robin C.

  • 2015 The Dark Side of Specialization: Evidence from Risk Taking by CDO Collateral Managers
    by Chernenko, Sergey

  • 2015 The Granular Nature of Large Institutional Investors
    by Ben-David, Itzhak & Franzoni, Francesco A. & Moussawi, Rabih & Sedunov, John, III

  • 2015 Systemic Risk in Clearing Houses: Evidence from the European Repo Market
    by Thesmar, David & Ors, Evren & Derrien, Francois & Boissel, Charles

  • 2015 Where the Risks Lie: A Survey on Systemic Risk
    by Colliard , Jean-Edouard & Perignon , Christophe

  • 2015 Short-termism of long-term investors? The investment behaviour of Dutch insurance companies and pension funds
    by Patty Duijm & Sophie Steins Bisschop

  • 2015 A theory of bazookas; or, "when (and when not) to use large-scale official sector support"
    by Jon Frost

  • 2015 Systemic risk of European banks: Regulators and markets
    by Maarten van Oordt & Chen Zhou

  • 2015 Loss shocks and the quantity and price of private export credit insurance: Evidence from a global insurer
    by Koen van der Veer

  • 2015 A dynamic network model of the unsecured interbank lending market
    by Francisco Blasques & Falk Bräuning & Iman van Lelyveld

  • 2015 From Financial to Real Economic Crisis: Evidence from Individual Firm-Bank Relationships in Germany
    by Nadja Dwenger & Frank M. Fossen & Martin Simmler

  • 2015 Internationale Verflechtung der Finanzmärkte: ein Versuch zur Quantifizierung des Dominoeffekts in Anlehnung an die Input-Output-Analyse
    by Dieter Schumacher

  • 2015 The International Monetary Fund: 70 Years of Reinvention
    by Reinhart, Carmen M. & Trebesch, Christoph

  • 2015 Cocos, Contagion and Systemic Risk
    by Chan, Stephanie & van Wijnbergen, Sweder

  • 2015 On the separation of monetary and prudential policy: how much of the pre-crisis consensus remains?
    by Cecchetti, Stephen G

  • 2015 Double Bank Runs and Liquidity Risk Management
    by Ippolito, Filippo & Peydró, José Luis & Polo, Andrea & Sette, Enrico

  • 2015 Lending-of-last-resort is as lending-of-last-resort does: Central bank liquidity provision and interbank market functioning in the euro area
    by Garcia-de-Andoain, Carlos & Heider, Florian & Hoerova, Marie & Manganelli, Simone

  • 2015 Going to Extremes: Politics after Financial Crises, 1870-2014
    by Funke, Manuel & Schularick, Moritz & Trebesch, Christoph

  • 2015 Are retail traders compensated for providing liquidity?
    by Barrot, Jean-Noël & Kaniel, Ron & Sraer, David

  • 2015 Financial Fragmentation and Economic Growth in Europe
    by Schnabel, Isabel & Seckinger, Christian

  • 2015 Leveraged Bubbles
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.

  • 2015 The Antecedents and Aftermath of Financial Crises as told by Carlos F. Díaz Alejandro
    by Reinhart, Carmen M.

  • 2015 Securitization and Economic Activity: The Credit Composition Channel
    by Bertay, Ata Can & Gong, Di & Wagner, Wolf

  • 2015 Central Bank Collateral Frameworks
    by Nyborg, Kjell G

  • 2015 Determinants and Valuation Effects of the Home Bias in European Banks' Sovereign Debt Portfolios
    by Horváth, Bálint & Huizinga, Harry & Ioannidou, Vasso

  • 2015 Debt Bias in Corporate Income Taxation and the Costs of Banking Crises
    by Langedijk, Sven & Nicodème, Gaëtan & Pagano, Andrea & Rossi, Alessandro

  • 2015 Bubbles and Central Banks: Historical Perspectives
    by Brunnermeier, Markus K & Schnabel, Isabel

  • 2015 Rare Events, Financial Crises, and the Cross-Section of Asset Returns
    by Bianchi, Francesco

  • 2015 Credit, Financial Stability, and the Macroeconomy
    by Taylor, Alan M.

  • 2015 Uncertainty Aversion and Systemic Risk
    by Dicks, David & Fulghieri, Paolo

  • 2015 Securities Trading by Banks and Credit Supply: Micro-Evidence
    by Abbassi, Puriya & Iyer, Rajkamal & Peydró, José Luis & Tous, Francesc R.

  • 2015 Cross-Border Liquidity, Relationships and Monetary Policy: Evidence from the Euro Area Interbank Crisis
    by Abbassi, Puriya & Bräuning, Falk & Fecht, Falko & Peydró, José Luis

  • 2015 Forced Asset Sales and the Concentration of Outstanding Debt: Evidence from the Mortgage Market
    by Favara, Giovanni & Giannetti, Mariassunta

  • 2015 International Debt Deleveraging
    by Fornaro, Luca

  • 2015 The Dynamics of Financially Constrained Arbitrage
    by Gromb, Denis & Vayanos, Dimitri

  • 2015 Financial Stability Policies for Shadow Banking
    by Adrian, Tobias

  • 2015 Optimal capital requirements over the business and financial cycles
    by Malherbe, Frédéric

  • 2015 Finanzas, crisis y los límites de las reformas en Estados Unidos
    by Stanley Simon Malinowitz

  • 2015 Renta financiera y solvencia mundial
    by Jose Luis Nicolini Llosa

  • 2015 Explicaciones Austriacas y Estructuralistas de la Crisis Financiera Internacional de 2008
    by Juan David Rojas Calle

  • 2015 Financial Contagion in Latin America
    by Luis V. Bejarano-Bejarano & Jose E. Gomez-Gonzalez & Luis F. Melo-Velandia & Jhon E. Torres-Gorron

  • 2015 The Challenges of the EU Banking Union - will it succeed in dealing with the next financial crisis?
    by Ida-Maria Weirsøe Fallesen

  • 2015 The International Monetary Fund: 70 Years of Reinvention
    by Carmen M. Reinhart & Christoph Trebesch

  • 2015 Financial Markets, Banks' Cost of Funding, and Firms' Decisions: Lessons from Two Crises
    by Pierluigi Balduzzi & Emanuele Brancati & Fabio Schiantarelli

  • 2015 Going to Extremes: Politics after Financial Crises, 1870-2014
    by Manuel Funke & Moritz Schularick & Christoph Trebesch

  • 2015 Leveraged Bubbles
    by Òscar Jordà & Moritz Schularick & Alan M. Taylor

  • 2015 What if Firms Could Borrow More? Evidence from a Natural Experiment
    by James R. Brown & Gustav Martinsson & Christian Thomann

  • 2015 Social Capital and Crises with an Application to Iceland
    by Thorvaldur Gylfason

  • 2015 Contagion in Financial Networks: A Threat Index
    by Gabrielle Demange

  • 2015 The Effects of Systemic Banking Crises in the Inter-War Period
    by Bruno Rocha & Solomos Solomou

  • 2015 The Persistence of a Banking Crisis
    by Kilian Huber

  • 2015 Financial Vulnerability and Export Dynamics
    by Mélise JAUD & Youssouf KIENDREBEOGO & Marie-Ange VEGANZONES-VAROUDAKIS

  • 2015 Global Recession And Eurozone Debt Crisis - Impact On Exports Of China And India
    by Pami Dua & Divya Tuteja

  • 2015 It ain'?t over till it'?s over: A global perspective on the Great Moderation-Great Recession interconnection
    by Fabio C. Bagliano & Claudio Morana

  • 2015 Jagged Cliffs and Stumbling Blocks: Interest Rate Pass-through Fragmentation during the Euro Area Crisis
    by Holton, Sarah & Rodriguez d’Acri, Costanza

  • 2015 The Effects Of Systemic Banking Crises In The Inter-War Period
    by Bruno Rocha & Solomos Solomou

  • 2015 Overcoming the Euro Crisis and Prospects for a Political Union
    by Paul J.J. Welfens

  • 2015 From financial to real economic crisis: evidence from individual firm¨Cbank relationships in Germany
    by Nadja Dwenger & Frank M Fossen & Martin Simmler

  • 2015 Managerial Performance Incentives and Firm Risk during Economic Expansions and Recessions
    by Elif Sisli Ciamarra & Tanseli Savaser

  • 2015 Do sovereign rating announcements have an impact on regional stock market co-movements? The case of Central and Eastern Europe
    by Ahmet Sensoy & Veysel Eraslan & Mutahhar Erturk

  • 2015 Systemic Risk in Conventional vs Islamic Equity Markets
    by Ahmet Sensoy

  • 2015 Not all emerging markets are the same: A classification approach with correlation based networks
    by Ahmet Sensoy & Kevser Ozturk & Erk Hacihasanoglu & Benjamin M. Tabak

  • 2015 Detecting financial Imbalances: Monitoring Financial Imbalances through the Financial Activity Indexes (FAIXs)
    by Koji Nakamura & Yuichiro Ito

  • 2015 Credit-less recoveries: the role of investment-savings imbalances
    by Hiona Balfoussia & Dimitris Malliaropulos

  • 2015 The Effectiveness of The ECB’s Asset Purchase Programs Of 2009 To 2012
    by Heather D. Gibson & Stephen G. Hall & George S. Tavlas

  • 2015 Rational exuberance booms and asymmetric business cycles
    by Ambrocio, Gene

  • 2015 Indicators used in setting the countercyclical capital buffer
    by Kalatie, Simo & Laakkonen, Helinä & Tölö, Eero

  • 2015 Measuring financial stress – A country specific stress index for Finland
    by Huotari, Jarkko

  • 2015 Toward robust early-warning models: A horse race, ensembles and model uncertainty
    by Holopainen, Markus & Sarlin, Peter

  • 2015 Bonus caps, deferrals and bankers' risk-taking
    by Jokivuolle, Esa & Keppo, Jussi & Yuan, Xuchuan

  • 2015 Which financial stocks did short sellers target in the subprime crisis?
    by Hasan, Iftekhar & Massoud, Nadia & Saunders, Anthony & Song, Keke

  • 2015 Did foreign banks “cut and run” or stay committed to Emerging Europe during the crises?
    by Bonin, John P. & Louie, Dana

  • 2015 Financial Stability Paper No. 35: Measuring the macroeconomic costs and benefits of higher UK bank capital requirements -
    by Brooke, Martin & Bush, Oliver & Edwards, Robert & Ellis, Jas & Francis, Bill & Harimohan, Rashmi & Neiss, Katharine & Siegert, Caspar

  • 2015 Financial Stability Paper No 24: The role of external balance sheets in the financial crisis
    by Al-Saffar, Yaser & Ridinger, Wolfgang & Whitaker, Simon

  • 2015 Bank leverage, credit traps and credit policies
    by Foulis, Angus & Nelson, Benjamin & Tanaka, Misa

  • 2015 The determinants of regulatory responses to risks from financial innovation: Survey evidence from G20
    by Ivan Diaz-Rainey & John Ashton & Maz Yap & Murat Genc & Rosalind Whiting

  • 2015 Modelos e indicadores de la situación de estabilidad financiera. Metodología y aplicación
    by María Victoria Landaberry

  • 2015 Double Bank Runs and Liquidity Risk Management
    by Filippo Ippolito & José-Luis Peydró & Andrea Polo & Enrico Sette

  • 2015 Securities Trading by Banks and Credit Supply: Micro-Evidence
    by José-Luis Peydró & Puriya Abbassi & Rajkamal Iyer & Francesc R Tous

  • 2015 Banks’ supply of long term credit after a liquidity shock: Evidence from 2007-2009
    by P. Pessarossi & F. Vinas

  • 2015 Asymmetric shocks in a currency union: The role of central bank collateral policy
    by F. Koulischer

  • 2015 For a Few Dollars More: Reserves and Growth in Times of Crises
    by M. Bussière & G. Cheng & M. Chinn & N. Lisack

  • 2015 Cross-border interbank contagion in the European banking sector
    by S. Gabrieli & D. Salakhova & G. Vuillemey

  • 2015 How may risk weights differ across banks? Evidence from the corporate portfolios of French banks
    by Dietsch M. & Fraisse H. & Frappa S.

  • 2015 Financial Intermediation in a Global Environment
    by Nuguer Victoria

  • 2015 Looking behind mortgage delinquencies
    by Sauro Mocetti & Eliana Viviano

  • 2015 The impact of CCPs� margin policies on Repo markets
    by Arianna Miglietta & Cristina Picillo & Mario Pietrunti

  • 2015 Social capital and the cost of credit: evidence from a crisis
    by Paolo Emilio Mistrulli & Valerio Vacca

  • 2015 Public Finances Today: Lessons Learned and Challenges Ahead
    by Salvador Barrios & Serena Fatica & Diego Martinez & Gilles Mourre & Ferhan Salman & Elva Bova & Christina Kolerus & Jules S. Tapsoba & Gilles Mourre & Nikola Altiparmakov & Lukas Reiss & Mariano Bosch & Angel Melguizo Esteso & Carmen Pages-Serra & Renee Philip & Boris Cournède & Antoine Goujard & Álvaro Pina & Wolfgang Merz & Martin Larch & Kristin Magnusson Bernard & Balint Tatar & Nicola Giammarioli & Cristina Checherita-Westphal & Alexander Klemm & Paul Viefers & Pedro Hinojo & Giovanni Ricco & Giovanni Callegari & Jacopo Cimadomo & Enrico D’Elia & Filippo Pericoli & Reda Cherif & Fuad Hasanov & Ernesto Rezk & Diego Martínez López & Anna Kalbhenn & Livio Stracca & Luiz de Mello & George Hondroyiannis & Dimitrios Papaoikonomou & Jan Babecký & Richard Morris & Pietro Rizza & Vladimir Borgy & Kirstine Eibye Brandt & Manuel Coutinho Pereira & Anna Jablecka & Javier J. Pérez & Lukas Reiss & Morten Rasmussen & Karim Triki & Lara Wemens & David Heald & Ludovít Ódor & Tomasz Jedrzejowicz & Marcin Kitala & Xavier Debrun & Tidiane Kinda & Geert Langenus & Fabrizio Balassone & Sandro Momigliano & Marzia Romanelli & Pietro Tommasino & Teresa Ter-Minassian & Marco Buti & Daniele Franco & Karsten Wendorff

  • 2015 A note on the implementation of the countercyclical capital buffer in Italy
    by Piergiorgio Alessandri & Pierluigi Bologna & Roberta Fiori & Enrico Sette

  • 2015 Bank localism and financial crisis
    by Cristina Demma

  • 2015 Tracking banks' systemic importance before and after the crisis
    by Piergiorgio Alessandri & Sergio Masciantonio & Andrea Zaghini

  • 2015 Securitization under Asymmetric Information over the Business Cycle
    by Martin Kuncl

  • 2015 Emergency Liquidity Facilities, Signalling and Funding Costs
    by Céline Gauthier & Alfred Lehar & Héctor Pérez Saiz & Moez Souissi

  • 2015 Monetary Policy and Financial Stability: Cross-Country Evidence
    by Christian Friedrich & Kristina Hess & Rose Cunningham

  • 2015 Quantifying Contagion Risk in Funding Markets: A Model-Based Stress-Testing Approach
    by Kartik Anand & Céline Gauthier & Moez Souissi

  • 2015 Household Stockholding Behavior During the Great Financial Crisis
    by Jie Zhou

  • 2015 A Wake-Up-Call Theory of Contagion
    by Toni Ahnert & Christoph Bertsch

  • 2015 Introducing a New Early Warning System Indicator (EWSI) of banking crises
    by Alvaro Ortiz Vidal-Abarca & Alfonso Ugarte Ruiz

  • 2015 Understanding the dichotomy of financial development: credit deepening versus credit excess
    by Alfonso Ugarte Ruiz

  • 2015 Was the Crisis due to a shift from stakeholder to shareholder finance? Surveying the debate
    by Giovanni Ferri & Angelo Leogrande

  • 2015 De-leveraging, de-risking and moral suasion in the banking sector
    by Michele Fratianni & Francesco Marchionne

  • 2015 An Appraisal of Floating Exchange Rate Regimes in Latin America
    by Roberto Frenkel

  • 2015 Explaining Foreign Holdings of Asia's Debt Securities: The Feldstein-Horioka Paradox Revisited
    by Horioka, Charles Yuji & Terada-Hagiwara, Akiko & Nomoto, Takaaki

  • 2015 Sovereigns and banks in the euro area: A tale of two crises
    by Marta Gómez-Puig & Simón Sosvilla-Rivero & Manish K. Singh

  • 2015 Forecasting Financial Market Vulnerability in the U.S.: A Factor Model Approach
    by Hyeongwoo Kim & Wen Shi

  • 2015 The Great Trade Collapse and the Spanish Export Miracle: Firm-level Evidence from the Crisis
    by Peter S. Eppinger & Nicole Meythaler & Marc-Manuel Sindlinger & Marcel Smolka

  • 2015 Where to From Here for Financial Regulatory Policy?
    by David Scharfstein

  • 2015 Key Fragilities of the Financial System
    by Randall S. Kroszner

  • 2015 Where To From Here?
    by Andrew W. Lo

  • 2015 Financial Regulation
    by Vítor Constâncio

  • 2015 Assessing the Overall Impact of Financial Reforms
    by Svein Andresen

  • 2015 Resolving Systemically Important Entities
    by Mark Calabria

  • 2015 The Steady State of the Banking Union
    by Dirk Schoenmaker

  • 2015 Some Effects of Capital Regulation When There are Competing, Nonbank Lenders
    by Mark J. Flannery

  • 2015 New Capital and Liquidity Requirements
    by Douglas J. Elliott

  • 2015 Financial Fragmentation, Real-sector Lending, and the European Banking Union
    by Giovanni Dell'Ariccia

  • 2015 Regulations, Reforms, and the Real Sector
    by Martin Čihák

  • 2015 The Jury Is In
    by Stephen G. Cecchetti

  • 2015 Financial Reform in Transition
    by Philipp Hartmann

  • 2015 Banking in a Re-regulated World
    by Luc Laeven

  • 2015 Model Risk and the Great Financial Crisis
    by Jeffrey A. Brown & Brad McGourty & Til Schuermann

  • 2015 The Single Point of Entry Resolution Strategy and Market Incentives
    by James R. Wigand

  • 2015 The Role of Bankruptcy in Resolutions
    by Kenneth E. Scott

  • 2015 Resolving Systemically Important Financial Institutions and Markets
    by Adam Ketessidis

  • 2015 A Critical Evaluation of Bail-in as a Bank Recapitalization Mechanism
    by Charles Goodhart & Emilios Avgouleas

  • 2015 Regulatory Reform, its Possible Market Consequences and the Case of Securities Financing
    by David Rule

  • 2015 Securities Regulation During and After the 2008 Financial Crisis
    by Jennifer E. Bethel & Erik R. Sirri

  • 2015 Systemic Risk and Public Institutions
    by Chester Spatt

  • 2015 Capital Market Regulation in Japan after the Global Financial Crisis
    by Takeo Hoshi & Ayako Yasuda

  • 2015 Europe's Banking Union
    by Nicolas Véron

  • 2015 Fed Liquidity Policy During the Financial Crisis
    by Robert Eisenbeis & Richard Herring

  • 2015 Shadow Banking in China
    by Andrew Sheng

  • 2015 A Financial System Perspective on Central Clearing of Derivatives
    by Jerome H. Powell

  • 2015 Implementing the Regulatory Reform Agenda
    by Stefan Ingves

  • 2015 Financial Entropy and the Optimality of Over-regulation
    by Alan S. Blinder

  • 2015 Bank Crisis Resolution and the Insufficiency of Fiscal Backstops: The Case of Spain
    by S. Carbó-Valverde & M.J. Nieto

  • 2015 Path-Dependent Monetary Policy in the Post-Financial Crisis Era of Dodd-Frank
    by H. Rosenblum

  • 2015 Misdiagnosis: Incomplete Cures of Financial Regulatory Failures
    by J.R. Barth & G. Caprio Jr. & R. Levine

  • 2015 Hair of the Dog that Bit Us: The Insufficiency of New and Improved Capital Requirements
    by E.J. Kane

  • 2015 The Dodd-Frank Act: Key Features, Implementation Progress, and, Financial System Impact
    by J.R. Barth & A. Penny Prabha & C. Wihlborg

  • 2015 Macroliquidity: Selected Topics Related to Title XI of the Dodd-Frank Act of 2010
    by W.F. Todd

  • 2015 A Primer on Dodd-Frank's Title VIII
    by C. Baker

  • 2015 The Trade Execution and Central Clearing Requirements of Dodd-Frank Title VII — Transparency, Risk Management, and Financial Stability
    by R.S. Steigerwald

  • 2015 The Dodd-Frank Act: Systemic Risk, Enhanced Prudential Regulation, and Orderly Liquidation
    by G.G. Kaufman & R.W. Nelson

  • 2015 Regulatory Change in Australia and New Zealand Following the Global Financial Crisis
    by C.A. Brown & K.T. Davis & D.G. Mayes

  • 2015 Regulatory Response to the Financial Crisis in Europe: Recent Developments (2010–2013)
    by S. Carbó-Valverde & H.A. Benink & T. Berglund & C. Wihlborg

  • 2015 Japan's Financial Regulatory Responses to the Global Financial Crisis
    by K. Harada & T. Hoshi & M. Imai & S. Koibuchi & A. Yasuda

  • 2015 Playing for Time: The Fed's Attempt to Manage the Crisis as a Liquidity Problem
    by R.A. Eisenbeis & R.J. Herring

  • 2015 US Housing Policy and the Financial Crisis
    by Peter J. Wallison

  • 2015 The US Financial Crisis and the Great Recession: Counting the Costs
    by Gillian G.H. Garcia

  • 2015 The Costs of the 2007–2009 Financial Crisis
    by H. Rosenblum

  • 2015 The Great Financial Crisis of 2007–2010: The Sinners and their Sins
    by G.G. Kaufman

  • 2015 The New International Financial System:Analyzing the Cumulative Impact of Regulatory Reform
    by

  • 2015 Model Risk in Financial Markets:From Financial Engineering to Risk Management
    by Radu Tunaru

  • 2015 The First Great Financial Crisis of the 21st Century:A Retrospective
    by

  • 2015 The EU's Eastward Enlargement:Central and Eastern Europe's Strategies for Development
    by Yoji Koyama

  • 2015 Global Economic Turmoil and the Public Good
    by Steven Rosefielde & Daniel Quinn Mills

  • 2015 Analyse et mesure du risque systémique
    by Héam, Jean-Cyprien

  • 2015 Quantitative analysis of financial market infrastructures: further perspectives on financial stability
    by Laine, Tatu (ed.)

  • 2015 Risikobewertung von Staatsanleihen im Euroraum während der Staatsschuldenkrise von Ansteckungseffekten getrieben
    by Buchholz, Manuel & Tonzer, Lena

  • 2015 International Confidence in Italian Economy. A Spread and Gambling Analysis
    by Aurora MURGEA

  • 2015 Stock Market Linkages: Evidence From the US, China and India During the Subprime Crisis
    by Amanjot SINGH & Parneet KAUR

  • 2015 Currency Crises in EU Candidate Countries: An Early Warning System Approach
    by Vesna Bucevska

  • 2015 A Study on the Asymmetry of the News Aspect of the Stock Market: Evidence from Three Institutional Investors in the Taiwan Stock Market
    by Tzu-Yi Yang & Yu-Tai Yang

  • 2015 Monetary Policy Against Financial Stability In The Republic Of Moldova
    by TIMOFEI, Olga

  • 2015 Globalization As Financial Crises Premise
    by LUCHIAN, Ivan & FILIP, Angela

  • 2015 Trade finance for sustainable development in Asia and the Pacific
    by Sailendra Narain

  • 2015 The role of the financial sector in enhancing economic growth in the Lao People’s Democratic Republic
    by Kristina Spantig

  • 2015 “House of Debt” by Atif Mian and Amir Sufi
    by Murat Ozbilgin

  • 2015 Global Risk Management – A Necessity in a World of Vulnerabilities and of ECO-Economy and BIO -ECO-Economy Needed by ECO-SANO-Genesis
    by Elena Gurgu & Cosmina Savu

  • 2015 Recovery and Resolution – New Mechanisms for Systemic Risk Management in the Insurance Sector (Restrukturyzacja i uporzadkowana likwidacja – jako nowe instrumenty zarzadzania ryzykiem systemowym w sektorze ubezpieczen)
    by Teresa Czerwinska

  • 2015 Cross-Currency Interest Rate Swap in the Context of the Calculation of Capital Adequacy of Banks with Foreign Currency Mortgages (Cross-currency interest rate swap w kontekscie rachunku adekwatnosci kapitalowej banków posiadajacych walutowe kredyty hipoteczne)
    by Jan Kolesnik

  • 2015 Risk, capital buffers and bank lending: The adjustment of euro area banks
    by Laurent Maurin & Mervi Toivanen

  • 2015 Análisis del efecto apalancamiento en los rendimientos del IPC mediante una Cadena de Markov Monte Carlo antes, durante y después de la crisis subprime
    by Hernández Ángeles, Ignacio & López-Herrera, Francisco & Hoyos Reyes, Luis Fernando

  • 2015 On Reverse Stress Testing for Worst Case Scenarios: An Application to Credit Risk Modeling of Tunisian Economic Sectors
    by Amira Dridi

  • 2015 Mainstream Versus Heterodox View on Financial Innovation
    by Martin Janicko

  • 2015 The Fourth Dimension
    by Ricardo de Medeiros Carneiro & Pedro Rossi & Guilherme Santos Mello & Marcos Vinicius Chiliatto-Leite

  • 2015 Postneoliberalism?
    by Simon Springer

  • 2015 Causes of the outbreak of the eurozone crises: the role of the USA and the European Central Bank monetary polic
    by Natalia Bia³ek

  • 2015 SMEs’ insolvency analysis in Romania in the year 2010. A microeconomic logistic approach
    by Marusa Beca & Irina Maria Dragan

  • 2015 Macro-prudential Instruments in Eastern European and Balkan Countries
    by Orkida Ilollari (Findiku)

  • 2015 Performance of the Greek banking sector pre and throughout the financial crisis
    by Iliana G. Chatzi & Mihail N.Diakomihalis & Evangelos ?. Chytis

  • 2015 European Stock Markets Correlations In A Markov Switching Framework
    by Iulia LUPU

  • 2015 Volatility Transmission and Dynamic Correlation Analysis between Developed and Emerging European Stock Markets during Sovereign Debt Crisis
    by Murad A.Bein & Gulcay TUNA

  • 2015 Liquidity Shocks Transmission to Lending Activity in the Romanian Banking System. A VAR Approach
    by Horaţiu LOVIN

  • 2015 A Central Bank’S Dilemmas In Highly Uncertain Times - A Romanian View
    by Daniel DAIANU

  • 2015 Post-crisis financial intermediation
    by Mihai, Ilie & OPREA, Cristian

  • 2015 Instability of Interest Bearing Debt Finance and the Islamic Finance Alternative By Mughees Shaukat & Datuk Othman Alhabshi
    by SHAUKAT, MUGHEES & OTHMAN ALHABSHI, DATUK

  • 2015 Time-Varying Causality between Oil and Commodity Prices in the Presence of Structural Breaks and Nonlinearity - Causalità time-varying tra petrolio e prezzi delle materie prime in presenza di break strutturali e di non-linearità
    by Gupta, Rangan & Kean, Gbeada Josiane Seu Epse & Tsebe, Mpho Asnath & Tsoanamatsie, Nthabiseng & Sato, João Ricardo

  • 2015 The Fiscal Costs of Banking Intervention in the Eurozone
    by Yılmaz, Derya & Murat, Dilek

  • 2015 Fight Against Tax Competition in the EU and the Effects of Tax Policies Implemented in the EU During the 2008 Global Financial Crisis on Tax Competition
    by Eroğlu, Erdal

  • 2015 The Struggles for the Establishment of the National Bank of Moldavia In Light of the Theory of Political Entrepreneurship
    by Tudor Gherasim Smirna & Mihai-Vladimir Topan

  • 2015 The impact of the financial crisis under the effects of increasing global economic interdependence. The case of Eastern and Central Europe Economies
    by Ionuț Bușega

  • 2015 Repos, Fire Sales, and Bankruptcy Policy
    by Gaetano Antinolfi & Francesca Carapella & Charles Kahn & Antoine Martin & David Mills & Ed Nosal

  • 2015 Household leveraging and deleveraging
    by Alejandro Justiniano & Giorgio Primiceri & Andrea Tambalotti

  • 2015 Trusting the Bankers: A New Look at the Credit Channel of Monetary Policy
    by Matteo Ciccarelli & Angela Maddaloni & Jose Luis Peydro

  • 2015 Market Efficiency and Crises:Don’t Throw the Baby out with the Bathwater
    by Ariane Szafarz

  • 2015 Benefici, problemi e prospettive dell’integrazione monetaria in Europa (Benefits, issues and future of monetary integration in Europe)
    by Carlo Panico, Francesco Purificato, Elvira Sapienza

  • 2015 Crisi e centralizzazione del capitale finanziario (Crysis and Centralization of Financial Capital)
    by Emiliano Brancaccio, Orsola Costantini, Stefano Lucarelli

  • 2015 The Euro Crisis and Contagion among Central and Eastern European Currencies: Recommendations for Avoiding Lending in a Safe Haven Currency such as CHF
    by Gábor Dávid Kiss & Tamás Schuszter

  • 2015 To Lend or to Borrow on the Interbank Market: What Matters for Commercial Banks in the Visegrad Countries
    by Pavla Vodová

  • 2015 Financial Risk and Real Variables: Evidence Based on a SVAR Analysis of the Czech Economy
    by Vít Pošta & Zdeněk Pikhart

  • 2015 Consumer’s Behaviour in East Slovakia after Euro Introduction during the Crisis
    by Eva Litavcová & Robert Bucki & Róbert Štefko & Petr Suchánek & Sylvia Jenčová

  • 2015 Financial Position of Czech Employees at the Beginning of the 3rd Millennium according to Educational Attainment
    by Diana Bílková

  • 2015 European Equity Market Contagion: An Empirical Application to Ireland’s Sovereign Debt Crisis
    by Shaen Corbet & Cian Twomey

  • 2015 Contagion and Market Interdependence during the Global Financial Crisis
    by Filip Iorgulescu

  • 2015 Doctrine Of Public Good In Banking Versus State Intervention
    by Piotr Masiukiewicz

  • 2015 La gran recesión: sobre la ineficacia de políticas nacionales y la necesidad de acuerdos multilaterales pública para América Latina
    by Jorge Rojas

  • 2015 Aplicación de las técnicas multivariantes al sector bancario español: el caso de las entidades afectadas por la restructuración (2008-2009) || Application of Multivariate Techniques?to Spanish Banking Sector: The Case of Entities Affected by Restructuring (2008-2009)
    by Somoza López, Antonio

  • 2015 Sensitivity, Persistence and Asymmetric Effects in International Stock Market Volatility during the Global Financial Crisis || Efectos de sensibilidad, persistencia y asimetría en la volatilidad de los mercados bursátiles internacionales?en el entorno de la crisis financiera global
    by Gabriel, Vítor

  • 2015 When Companies Become Too Socially Innovative to Fail
    by Ilie Constantin Florea & Marc Sommer

  • 2015 Islamic Economics and Finance – a Revival After the Recent Global Financial Crisis?
    by Laura-Ramona Benchea

  • 2015 The IFRS9 Standard: Assessment of the Impacts on the European Banking Industry
    by Halep Maria

  • 2015 Cost Benefit Analysis, Modern Vision of the Project Investment Approach
    by Vlad Costicã

  • 2015 Bank-specific and Macroeconomic Determinants of the Quality of Bank Loans Portfolio in Romania and Bulgaria
    by Roman Angela & Bilan Irina

  • 2015 Restructuring Of Small Businesses In The Republic Of Croatia During Crisis
    by Melita Cita & Milan Stanic & Berislav Bolfek

  • 2015 Sovereign Debt Under Scrutiny. What To Do?
    by Liviu-Daniel Deceanu

  • 2015 Idiosyncratic Risk And Systemic Risk In The European Banking System
    by Trenca Ioan & Petria Nicolae & Corovei Emilia &

  • 2015 The Evolution Of The Macroeconomic Stabilisation Pentagon In Romania, Czech Republic And Hungary
    by Ionita Rodica Oana & & &

  • 2015 Financial Crisis in Terms of the Market Disequilibrium
    by Yuli Radev

  • 2015 Financial Bubbles: Mechanisms and Diagnostics
    by Sornette, Didier & Cauwels, Peter

  • 2015 Three Branches of Theories of Financial Crises
    by Goldstein, Itay & Razin, Assaf

  • 2015 La reserva federal, la crisis y la política monetaria no convencional
    by Ignacio Perrotini Hernández

  • 2015 A chilei bankrendszer elemzése
    by Kálmán Péter & Monoki Péter & Vágó Nikolett

  • 2015 A bolgár bankrendszer története a rendszerváltás óta elmúlt 20 évének története
    by Horváth Dániel & Pintér Cecília & Tóth Tamás

  • 2015 Az ukrán bankrendszer evolúciója és felépítése
    by Kicsák Gergely & Ligeti Imre & Sulyok András

  • 2015 A japán bankrendszer átalakulásának fõbb állomásai
    by Hidasi Balázs & Papp István

  • 2015 Difficulties in them management of the global financial crisis: academic and economic policy lessons
    by Orsolya Csortos & Zoltan Szalai

  • 2015 Topology of the foreign currency/forint swap market
    by Ádám Banai & András Kollarik & András Szabó-Solticzky

  • 2015 Bad product development results in systemic market failure – Foreign currency mortgage loans to Hungarian households
    by András Bethlendi

  • 2015 The safety trap – the financial market and macroeconomic consequences of the scarcity of safe assets
    by Dániel Horváth & Róbert Szini

  • 2015 Are investors rational, irrational or normal?
    by Md. Al Mamun & Md. Abu Syeed & Farida Yasmeen

  • 2015 Private Consumption in Sweden and Finland Before, During and After the Global Financial Crisis
    by John Magnus ROOS

  • 2015 How did the 2007-2008 Financial Crisis Influence Turkish Firms
    by Emine Ebru AKSOY & Erginbay UÐURLU

  • 2015 The lean versus clean debate and monetary policy in South Africa
    by Leroi RAPUTSOANE

  • 2015 Challenges for Deposit Insurance and Financial Stability in European Cooperative Banks
    by Liliana Aurora Constantinescu

  • 2015 Real Output Costs of Financial Crisis on CEE Countries
    by Emilia-Ancuta Corovei

  • 2015 The Effect of the Global Financial Crisis on Corporate Investment in Korea: From the Perspective of Costly External Finance
    by Daehee Joeng

  • 2015 Home-Host Banking Issues and Non-Core Funding—Evidence from Central and Eastern Europe
    by Adrian Babin

  • 2015 The Quality Of Cultural Services In The Global Economic Crisis Context
    by Aurica DVORACIC

  • 2015 Some Psychological Causes Of The Financial Crisis
    by Paula-Elena DIACON

  • 2015 The Failure Of The First Romanian Central Bank: Bad Design, Bad Luck, Or Both?
    by Tudor Gherasim SMIRNA

  • 2015 Behavioral Inputs To The Theoretical Approach Of The Economic Crisis
    by Sinziana BALTATESCU

  • 2015 Risikobewertung von Staatsanleihen im Euroraum während der Staatsschuldenkrise von Ansteckungseffekten getrieben
    by Manuel Buchholz & Lena Tonzer

  • 2015 Multi-Polar Regulation
    by Andrew G. Haldane

  • 2015 Systemic Risk and the Solvency-Liquidity Nexus of Banks
    by Diane Pierret

  • 2015 Capital Regulation in a Macroeconomic Model with Three Layers of Default
    by Laurent Clerc & Alexis Derviz & Caterina Mendicino & Stephane Moyen & Kalin Nikolov & Livio Stracca & Javier Suarez & Alexandros P. Vardoulakis

  • 2015 Responses to the Financial Crisis, Treasury Debt, and the Impact on Short-Term Money Markets
    by Warren B. Hrunga & Jason S. Seligman

  • 2015 Risk Analysis Of The Tourism Sector Companies In The South Of The State Of Yucatan, Analisis De Riesgo En Las Empresas Del Sector Turistico De La Zona Sur Del Estado De Yucatan
    by Mario Rene Chan Magana & Fernando Jorge Gameros Camara & Juan Francisco Balam Mena

  • 2015 Investor Reaction In Stock Market Crashes And Post-Crash Market Reversals
    by Daniel Folkinshteyn & Gulser Meric & Ilhan Meric

  • 2015 Bank Stock And Option Transmissions In Financial Crisis
    by Han-Ching Huang & Yong-Chern Su & Sheng-Jung Wu

  • 2015 Managerial Discretion Over Loan Loss Reserves during the Global Financial Crisis
    by Glen Hansen

  • 2015 Financial Liberalization: A Fourth Generation Thought
    by Sugeeth Patabendige & Chathuri Senarath

  • 2015 Performance Of Technical Analysis In Declining Global Markets
    by Jogiyanto Hartono & Dedhy Sulistiawan

  • 2015 Central and Eastern European Stock Exchanges under Stress: A Range-Based Volatility Spillover Framework
    by Sercan Demiralay & Selcuk Bayraci

  • 2015 Credit reporting e intermediazione creditizia: scelte di "make or buy" tra relationship e transaction banking
    by Enzo Scannella

  • 2015 Effect of Financial Liberalization on the Probability of Occurrence of Banking Crises
    by Ramzi FARHANI & Ghrissi MHAMDI & Abdelkader AGUIR & Mounir SMIDA

  • 2015 Transformations of entrepreneurial capitalism, crises and the need for a radical change in economic policy
    by Hassan Bougrine & Louis-Philippe Rochon

  • 2015 Is a Marxist explanation of the current crisis possible?
    by Claudio Sardoni

  • 2015 Large scale analysis of Islamic equity funds using a meta-frontier approach with data envelopment analysis
    by Makni, Rania & Benouda, Olfa & Delhoumi, Ezzedine

  • 2015 Leading indicators of systemic banking crises: Finland in a panel of EU countries
    by Lainà, Patrizio & Nyholm, Juho & Sarlin, Peter

  • 2015 A practical approach to constructing price-based funding liquidity factors
    by Bouwman, Kees & Buis, Boyd & Pieterse-Bloem, Mary & Tham, Wing Wah

  • 2015 The reward for trading illiquid maturities in credit default swap markets
    by Arakelyan, Armen & Rubio, Gonzalo & Serrano, Pedro

  • 2015 Government insurance, information, and asset prices
    by Lopomo Beteto Wegner, Danilo

  • 2015 The impact of R&D subsidies during the crisis
    by Hud, Martin & Hussinger, Katrin

  • 2015 The impact of institutional environment on the capital structure of firms during recent financial crises
    by Alves, Paulo & Francisco, Paulo

  • 2015 Corporate precautionary savings: Evidence from the recent financial crisis
    by Sun, Zhenzhen & Wang, Yaping

  • 2015 Toward an early warning system of financial crises: What can index futures and options tell us?
    by Li, Wei-Xuan & Chen, Clara Chia-Sheng & French, Joseph J.

  • 2015 Corporate diversification and firm value during economic downturns
    by Volkov, Nikanor I. & Smith, Garrett C.

  • 2015 Deciphering financial contagion in the euro area during the crisis
    by Tola, Albi & Wälti, Sébastien

  • 2015 The impact of fiscal policy announcements by the Italian government on the sovereign spread: A comparative analysis
    by Falagiarda, Matteo & Gregori, Wildmer Daniel

  • 2015 Do credit rating concerns lead to better corporate governance? Evidence from Korea
    by Bereskin, Frederick L. & Kim, Bushik & Oh, Frederick Dongchuhl

  • 2015 Information transmission between stock markets in Hong Kong, Europe and the US: New evidence on time- and state-dependence
    by Maderitsch, R.

  • 2015 The Islamic risk factor in expected stock returns: an empirical study in Saudi Arabia
    by Merdad, Hesham Jamil & Kabir Hassan, M. & Hippler, William J.

  • 2015 Liquidity and credit risk before and after the global financial crisis: Evidence from the Korean corporate bond market
    by Shin, Dongheon & Kim, Baeho

  • 2015 Cross-sectoral interactions in Islamic equity markets
    by Yilmaz, Mustafa K. & Sensoy, Ahmet & Ozturk, Kevser & Hacihasanoglu, Erk

  • 2015 Firm, market and top management antecedents of speculation: Lessons for corporate governance
    by Zeidan, Rodrigo & Müllner, Jakob

  • 2015 Value at Risk of the main stock market indexes in the European Union (2000–2012)
    by Iglesias, Emma M.

  • 2015 Financial sector and output dynamics in the euro area: Non-linearities reconsidered
    by Schleer, Frauke & Semmler, Willi

  • 2015 Balance sheet effects, foreign reserves and public policies
    by Cheng, Gong

  • 2015 Bank risk behavior and connectedness in EMU countries
    by Singh, Manish K. & Gómez-Puig, Marta & Sosvilla-Rivero, Simón

  • 2015 Global transmission channels for international bank lending in the 2007–09 financial crisist
    by Adams-Kane, Jonathon & Jia, Yueqing & Lim, Jamus Jerome

  • 2015 The effects of systemic banking crises in the inter-war period
    by da Rocha, Bruno T. & Solomou, Solomos

  • 2015 Announcements of ECB unconventional programs: Implications for the sovereign spreads of stressed euro area countries
    by Falagiarda, Matteo & Reitz, Stefan

  • 2015 For a few dollars more: Reserves and growth in times of crises
    by Bussière, Matthieu & Cheng, Gong & Chinn, Menzie D. & Lisack, Noëmie

  • 2015 Systemic risk in European sovereign debt markets: A CoVaR-copula approach
    by Reboredo, Juan C. & Ugolini, Andrea

  • 2015 Factors underlying short sales
    by Zhu, Shuang & Pace, R. Kelley

  • 2015 Liquidity hoarding and interbank market rates: The role of counterparty risk
    by Heider, Florian & Hoerova, Marie & Holthausen, Cornelia

  • 2015 Modeling financial contagion using mutually exciting jump processes
    by Aït-Sahalia, Yacine & Cacho-Diaz, Julio & Laeven, Roger J.A.

  • 2015 Banks as patient fixed-income investors
    by Hanson, Samuel G. & Shleifer, Andrei & Stein, Jeremy C. & Vishny, Robert W.

  • 2015 Banks׳ liability structure and mortgage lending during the financial crisis
    by Dagher, Jihad & Kazimov, Kazim

  • 2015 Structured debt ratings: Evidence on conflicts of interest
    by Efing, Matthias & Hau, Harald

  • 2015 Political capital and moral hazard
    by Kostovetsky, Leonard

  • 2015 Corporate payout, cash retention, and the supply of credit: Evidence from the 2008–2009 credit crisis
    by Bliss, Barbara A. & Cheng, Yingmei & Denis, David J.

  • 2015 Impact of the Dodd-Frank act on credit ratings
    by Dimitrov, Valentin & Palia, Darius & Tang, Leo

  • 2015 The “greatest” carry trade ever? Understanding eurozone bank risks
    by Acharya, Viral V. & Steffen, Sascha

  • 2015 Market run-ups, market freezes, inventories, and leverage
    by Bond, Philip & Leitner, Yaron

  • 2015 Information quality and crises in regime-change games
    by Iachan, Felipe S. & Nenov, Plamen T.

  • 2015 Government interventions in a dynamic market with adverse selection
    by Fuchs, William & Skrzypacz, Andrzej

  • 2015 Banking bubbles and financial crises
    by Miao, Jianjun & Wang, Pengfei

  • 2015 Corporate governance and the systemic risk of financial institutions
    by Iqbal, Jamshed & Strobl, Sascha & Vähämaa, Sami

  • 2015 An examination of non-government-assisted US commercial bank mergers during the financial crisis
    by Dunn, Jessica Kay & Intintoli, Vincent J. & McNutt, Jamie John

  • 2015 Super-exponential endogenous bubbles in an equilibrium model of fundamentalist and chartist traders
    by Kaizoji, Taisei & Leiss, Matthias & Saichev, Alexander & Sornette, Didier

  • 2015 Which continuous-time model is most appropriate for exchange rates?
    by Erdemlioglu, Deniz & Laurent, Sébastien & Neely, Christopher J.

  • 2015 Transmission channels of systemic risk and contagion in the European financial network
    by Paltalidis, Nikos & Gounopoulos, Dimitrios & Kizys, Renatas & Koutelidakis, Yiannis

  • 2015 How are market preferences shaped? The case of sovereign debt of stressed euro-area countries
    by Mamatzakis, Emmanuel & Tsionas, Mike G.

  • 2015 Financialization in commodity markets: A passing trend or the new normal?
    by Adams, Zeno & Glück, Thorsten

  • 2015 Deleveraging and mortgage curtailment
    by McCollum, Meagan N. & Lee, Hong & Pace, R. Kelley

  • 2015 Size, leverage, and risk-taking of financial institutions
    by Bhagat, Sanjai & Bolton, Brian & Lu, Jun

  • 2015 Explaining bank stock performance with crisis sentiment
    by Irresberger, Felix & Mühlnickel, Janina & Weiß, Gregor N.F.

  • 2015 Detecting contagion in a multivariate time series system: An application to sovereign bond markets in Europe
    by Blatt, Dominik & Candelon, Bertrand & Manner, Hans

  • 2015 Endogenous crisis dating and contagion using smooth transition structural GARCH
    by Dungey, Mardi & Milunovich, George & Thorp, Susan & Yang, Minxian

  • 2015 Systemic risk and asymmetric responses in the financial industry
    by López-Espinosa, Germán & Moreno, Antonio & Rubia, Antonio & Valderrama, Laura

  • 2015 Shari’ah supervision, corporate governance and performance: Conventional vs. Islamic banks
    by Mollah, Sabur & Zaman, Mahbub

  • 2015 Collateral smile
    by Leippold, Markus & Su, Lujing

  • 2015 Limits to arbitrage and the term structure of bond illiquidity premiums
    by Schuster, Philipp & Uhrig-Homburg, Marliese

  • 2015 Financial development convergence
    by Bahadir, Berrak & Valev, Neven

  • 2015 Systemic risk of insurers around the globe
    by Bierth, Christopher & Irresberger, Felix & Weiß, Gregor N.F.

  • 2015 Which financial stocks did short sellers target in the subprime crisis?
    by Hasan, Iftekhar & Massoud, Nadia & Saunders, Anthony & Song, Keke

  • 2015 Commonality in hedge fund returns: Driving factors and implications
    by Bussière, Matthieu & Hoerova, Marie & Klaus, Benjamin

  • 2015 Model uncertainty and systematic risk in US banking
    by Baele, Lieven & De Bruyckere, Valerie & De Jonghe, Olivier & Vander Vennet, Rudi

  • 2015 Has the financial system become safer after the crisis? The changing nature of financial institution risk
    by Calluzzo, Paul & Dong, Gang Nathan

  • 2015 Bailout uncertainty in a microfounded general equilibrium model of the financial system
    by Cukierman, Alex & Izhakian, Yehuda

  • 2015 Financial distress, outside directors and corporate tax aggressiveness spanning the global financial crisis: An empirical analysis
    by Richardson, Grant & Lanis, Roman & Taylor, Grantley

  • 2015 Bank funding stability, pricing strategies and the guidance of depositors
    by Schlueter, Tobias & Sievers, Soenke & Hartmann-Wendels, Thomas

  • 2015 Which are the SIFIs? A Component Expected Shortfall approach to systemic risk
    by Banulescu, Georgiana-Denisa & Dumitrescu, Elena-Ivona

  • 2015 The importance of being systemically important financial institutions
    by Bongini, Paola & Nieri, Laura & Pelagatti, Matteo

  • 2015 Monitoring the “invisible” hand of market discipline: Capital adequacy revisited
    by Hasan, Iftekhar & Siddique, Akhtar & Sun, Xian

  • 2015 The impact of the EU/ECB/IMF bailout programs on the financial and real sectors of the ASE during the Greek sovereign crisis
    by Kosmidou, Kyriaki V. & Kousenidis, Dimitrios V. & Negakis, Christos I.

  • 2015 Reputation, risk-taking, and macroprudential policy
    by Aikman, David & Nelson, Benjamin & Tanaka, Misa

  • 2015 Industry characteristics and financial risk contagion
    by Chiu, Wan-Chien & Peña, Juan Ignacio & Wang, Chih-Wei

  • 2015 Modeling contagion in the Eurozone crisis via dynamical systems
    by Castellacci, Giuseppe & Choi, Youngna

  • 2015 A theoretical model of bank lending: Does ownership matter in times of crisis?
    by Brei, Michael & Schclarek, Alfredo

  • 2015 The intertemporal risk-return relationship: Evidence from international markets
    by Chiang, Thomas C. & Li, Huimin & Zheng, Dazhi

  • 2015 Creditor moral hazard during the EMU debt crisis
    by Bratis, Theodoros & Laopodis, Nikiforos T. & Kouretas, Georgios P.

  • 2015 A cross-volatility index for hedging the country risk
    by Aboura, Sofiane & Chevallier, Julien

  • 2015 Market perceptions of US and European policy actions around the subprime crisis
    by Grammatikos, Theoharry & Lehnert, Thorsten & Otsubo, Yoichi

  • 2015 Time-varying systematic and idiosyncratic risk exposures of US bank holding companies
    by Bessler, Wolfgang & Kurmann, Philipp & Nohel, Tom

  • 2015 Banking crises and financial integration: Insights from networks science
    by Caballero, Julian

  • 2015 Betting the house
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.

  • 2015 Exporters, importers and credit constraints
    by Muûls, Mirabelle

  • 2015 Financial crises and exchange rate policy
    by Fornaro, Luca

  • 2015 Should we trust the Z-score? Evidence from the European Banking Industry
    by Chiaramonte, Laura & Croci, Ettore & Poli, Federica

  • 2015 The impact of macroeconomic and financial stress on the U.S. financial sector
    by Hippler, William J. & Hassan, M. Kabir

  • 2015 Predictability of stock returns of financial companies and the role of investor sentiment: A multi-country analysis
    by Kadilli, Anjeza

  • 2015 The multi-layer network nature of systemic risk and its implications for the costs of financial crises
    by Poledna, Sebastian & Molina-Borboa, José Luis & Martínez-Jaramillo, Serafín & van der Leij, Marco & Thurner, Stefan

  • 2015 Market discipline by bank creditors during the 2008–2010 crisis
    by Bennett, Rosalind L. & Hwa, Vivian & Kwast, Myron L.

  • 2015 SME recovery following a financial crisis: Does debt overhang matter?
    by Lawless, Martina & O’Connell, Brian & O’Toole, Conor

  • 2015 Finance companies in Mexico: Unexpected victims of the global liquidity crunch
    by Berrospide, Jose M. & Herrerias, Renata

  • 2015 Consolidation and systemic risk in the international insurance industry
    by Mühlnickel, Janina & Weiß, Gregor N.F.

  • 2015 Bank loans for private and public firms in a liquidity crunch
    by Allen, Jason & Paligorova, Teodora

  • 2015 Failed bank takeovers and financial stability
    by Gómez, Fabiana

  • 2015 Equity returns in the banking sector in the wake of the Great Recession and the European sovereign debt crisis
    by Chan-Lau, Jorge A. & Liu, Estelle X. & Schmittmann, Jochen M.

  • 2015 Optimal versus realized bank credit risk and monetary policy
    by Delis, Manthos D. & Karavias, Yiannis

  • 2015 Fragmentation in the European interbank market: Measures, determinants, and policy solutions
    by Mayordomo, Sergio & Abascal, María & Alonso, Tatiana & Rodriguez-Moreno, Maria

  • 2015 Granger causality and systemic risk
    by Balboa, Marina & López-Espinosa, Germán & Rubia, Antonio

  • 2015 Analyst recommendations and volatility in a rising, falling, and crisis equity marketAuthor-Name: Corbet, Shaen
    by Dowling, Michael & Cummins, Mark

  • 2015 An analysis of loan loss provisioning behaviour in Vietnamese banking
    by Bryce, Cormac & Dadoukis, Aristeidis & Hall, Maximilian & Nguyen, Linh & Simper, Richard

  • 2015 Eurozone network “Connectedness” after fiscal year 2008
    by Cimini, Riccardo

  • 2015 Investor attention to the Eurozone crisis and herding effects in national bank stock indexes
    by Peltomäki, Jarkko & Vähämaa, Emilia

  • 2015 Predicting severe simultaneous bear stock markets using macroeconomic variables as leading indicators
    by Wu, Shue-Jen & Lee, Wei-Ming

  • 2015 Volatility spillovers in the European bank CDS market
    by Alemany, Aida & Ballester, Laura & González-Urteaga, Ana

  • 2015 Housing wealth, financial wealth, and consumption: New evidence for Italy and the UK
    by Barrell, Ray & Costantini, Mauro & Meco, Iris

  • 2015 Cross-market volatility index with Factor-DCC
    by Aboura, Sofiane & Chevallier, Julien

  • 2015 Do capital controls affect stock market efficiency? Lessons from Iceland
    by Graham, Michael & Peltomäki, Jarkko & Sturludóttir, Hildur

  • 2015 Does gold glitter in the long-run? Gold as a hedge and safe haven across time and investment horizon
    by Bredin, Don & Conlon, Thomas & Potì, Valerio

  • 2015 Relationship between gold and stock markets during the global financial crisis: Evidence from nonlinear causality tests
    by Choudhry, Taufiq & Hassan, Syed S. & Shabi, Sarosh

  • 2015 Performance of European socially responsible funds during market crises: Evidence from France
    by Leite, Paulo & Cortez, Maria Céu

  • 2015 An analytical review of volatility metrics for bubbles and crashes
    by Vogel, Harold L. & Werner, Richard A.

  • 2015 The impact of liquidity on senior credit index spreads during the subprime crisis
    by Marra, Miriam

  • 2015 Predicting the past: Understanding the causes of bank distress in the Netherlands in the 1920s
    by Colvin, Christopher L. & de Jong, Abe & Fliers, Philip T.

  • 2015 Interactions between oil and financial markets — Do conditions of financial stress matter?
    by Wan, Jer-Yuh & Kao, Chung-Wei

  • 2015 How do U.S. stock returns respond differently to oil price shocks pre-crisis, within the financial crisis, and post-crisis?
    by Tsai, Chun-Li

  • 2015 Energy inflation and house price corrections
    by Breitenfellner, Andreas & Crespo Cuaresma, Jesús & Mayer, Philipp

  • 2015 Is there any dependence between consumer credit line utilization and default probability on a term loan? Evidence from bank-customer data
    by Bergerès, Anne-Sophie & d'Astous, Philippe & Dionne, Georges

  • 2015 Short-term determinants of the idiosyncratic sovereign risk premium: A regime-dependent analysis for European credit default swaps
    by Calice, Giovanni & Mio, RongHui & Štěrba, Filip & Vašíček, Bořek

  • 2015 Liquidity and credit premia in the yields of highly-rated sovereign bonds
    by Ejsing, Jacob & Grothe, Magdalena & Grothe, Oliver

  • 2015 Fear or fundamentals? Heterogeneous beliefs in the European sovereign CDS market
    by Chiarella, Carl & ter Ellen, Saskia & He, Xue-Zhong & Wu, Eliza

  • 2015 Disentangling contagion among sovereign CDS spreads during the European debt crisis
    by Broto, Carmen & Pérez-Quirós, Gabriel

  • 2015 It's all about volatility of volatility: Evidence from a two-factor stochastic volatility model
    by Grassi, Stefano & Santucci de Magistris, Paolo

  • 2015 FX funding risks and exchange rate volatility
    by Ree, Jack Joo K. & Yoon, Kyoungsoo & Park, Hail

  • 2015 Systemic event prediction by an aggregate early warning system: An application to the Czech Republic
    by Zigraiova, Diana & Jakubik, Petr

  • 2015 Youth labour market performances in the Russian and Italian regions
    by Demidova, Olga & Marelli, Enrico & Signorelli, Marcello

  • 2015 Credit booms, financial fragility and banking crises
    by Fielding, David & Rewilak, Johan

  • 2015 How does financial market structure affect the impact of a banking crisis?
    by Bijlsma, Michiel & Dubovik, Andrei & Straathof, Bas

  • 2015 Bank competition and crises revisited: New results
    by Diallo, Boubacar

  • 2015 Time varying price discovery
    by Avino, Davide & Lazar, Emese & Varotto, Simone

  • 2015 The role of U.S. subprime mortgage-backed assets in propagating the crisis: Contagion or interdependence?
    by Flavin, Thomas J. & Sheenan, Lisa

  • 2015 Can re-regulation of the financial sector strike back public debt?
    by Agnello, Luca & Sousa, Ricardo M.

  • 2015 Super-exponential growth expectations and the global financial crisis
    by Leiss, Matthias & Nax, Heinrich H. & Sornette, Didier

  • 2015 Monetary policy and risk taking
    by Angeloni, Ignazio & Faia, Ester & Lo Duca, Marco

  • 2015 Overlapping portfolios, contagion, and financial stability
    by Caccioli, Fabio & Farmer, J. Doyne & Foti, Nick & Rockmore, Daniel

  • 2015 Towards a credit network based early warning indicator for crises
    by Catullo, Ermanno & Gallegati, Mauro & Palestrini, Antonio

  • 2015 The impact of systemic and illiquidity risk on financing with risky collateral
    by Lillo, Fabrizio & Pirino, Davide

  • 2015 The dynamics of the leverage cycle
    by Aymanns, Christoph & Farmer, J. Doyne

  • 2015 Sovereign and corporate credit risk: Evidence from the Eurozone
    by Bedendo, Mascia & Colla, Paolo

  • 2015 Flight to Liquidity on the Tokyo Stock Exchange during the 2008 Share Market Crashes
    by Brooke Alexandra Maeda

  • 2015 The Reasons of Eurozone Sovereign Debt Crisis and an Empirical Analysis over Permanency of the Crisis
    by Gulbahar UCLER & Hale KIRMIZIOGLU

  • 2015 Budget Deficits , Their Roles In The Economic Crises And The Effectiveness Of Stabilization Programs (In Case Of Turkey After 1990’S)
    by Cuma Çataloluk & Halil Kete

  • 2015 From The Bank Panic Of 1907 To The Great Depression Of 1929 And The Savings And Loan Crisis Of The 1980s: Comparative Analysis And Lessons For The Future
    by METAXAS, Theodore & TROMPATZI, Georgia

  • 2015 Bankkredite wichtig für Unternehmensinvestitionen
    by Nadja Dwenger & Frank M. Fossen & Martin Simmler

  • 2015 The Greek Tragedy in the Health Sector: Social and Health Implications
    by Platon Yvantopoulos & John Yvantopoulos

  • 2015 Schumpeterian innovations, financial innovations and instability: An institutional perspective
    by Faruk Ülgen

  • 2015 The effects of the evolution of the business model in a period of economic crisis — a study of annual reports of selected airlines
    by Mariusz Karwowski

  • 2015 The role of the discount rate in efficiency measuring process of food industry enterprises over the economic crisis in Poland
    by Katarzyna Gwozdz & Agnieszka Parkitna

  • 2015 The second-generation informational problem in the financial markets
    by Jadwiga Glanc & Piotr Osiewacz

  • 2015 The Antecedents and Aftermath of Financial Crises as Told by Carlos F. Díaz-Alejandro
    by Carmen M. Reinhart

  • 2015 Capital Inflow Surges in Emerging Economies: How Worried Should Latin America and the Caribbean Be?
    by Andrew Powell & Pilar Tavella

  • 2015 La financiarización como teoría de la crisis en perspectiva histórica
    by Juan Pablo Mateo

  • 2015 The Impact Of The Global Financial Crisis On Algerian Economy
    by Zeyneb GUELLIL & Fatima Zahra ALIOUI & Soufyane BADRAOUI

  • 2015 Lessons From The Crisis – Turkish Banking Crisis Of 2000-2001
    by Gabriela PICIU

  • 2015 Trade spillovers on output growth during the 2008 financial crisis
    by Jean-Sébastien Pentecôte & Fabien Rondeau

  • 2015 Die griechische Tragödie
    by Hans-Werner Sinn

  • 2015 Eurokrise: Sparpolitik zweitrangig für den Einbruch der Wirtschaftsleistung in Griechenland?
    by Renate Neubäumer

  • 2015 Griechenland-Krise: Wunsch und Wirklichkeit
    by Martin Schütte

  • 2015 Wie schnell erholt sich eine Volkswirtschaft nach einer Währungs- und Staatsschuldenkrise?
    by Isabel Hanisch & Klaus Wohlrabe & Timo Wollmershäuser

  • 2015 Ist Deutschland der Eurogewinner?
    by Daniel Stelter & Karlhans Sauernheimer & Klaus C. Engelen

  • 2015 Eurokrise: Sollten flexible Wechselkurse innerhalb bestimmter Bandbreiten zwischen den Euroländern möglich sein?
    by Helmuth Jordan & Thomas Mayer

  • 2015 Zehn Argumente gegen Quantitative Easing und den Ankauf von Staatsanleihen durch das Eurosystem
    by Thomas Jost & Franz Seitz

  • 2015 Zum Umgang der Europäischen Währungsunion mit reformunwilligen Eurostaaten
    by Jürgen Matthes & Thomas Schuster

  • 2015 Europa in der Krise
    by Werner Hoyer & Dirk Niepelt

  • 2015 Kapitalverkehrskontrollen jetzt!
    by Hans-Werner Sinn

  • 2015 The Greek Tragedy
    by Hans-Werner Sinn

  • 2015 The Role of Financial Stability with Regard to Monetary Policy
    by Jens Weidmann

  • 2015 Understanding Global Crises: An Emerging Paradigm
    by Assaf Razin

  • 2015 Es weihnachtet unterschiedlich im europäischen Einzelhandel
    by Xenia Frei

  • 2015 On Greek Crises, Growth, Market-access and Debt-forgiveness
    by Michael G. Arghyrou

  • 2015 The Global Crisis of the Late 2000s and Currency Substitution: A Study of Three Eastern European Economies Russia, Turkey and Ukraine
    by Gurkan I. Akalin & Edmund L. Prater

  • 2015 Déséquilibres globaux et crise globale : quel partage des risques avec des assureurs en dernier ressort ?
    by Christophe Boucher & Catherine Lubochinsky

  • 2015 L’euro sur la scène internationale après la crise financière et celle de la dette
    by Arnaud Mehl

  • 2015 Le dollar à l’épreuve de la crise financière
    by Matthieu Bussière & Magali Gilliot & Vincent Grossmann-Wirth

  • 2015 Régulation ou supervision : quels nouveaux risques ?
    by Guillaume Plantin

  • 2015 La crise financière : enseignements et perspectives
    by Olivier Klein

  • 2015 La crise financière a-t-elle affecté le débat « lean » versus « clean » chez les banquiers centraux ?
    by Emmanuel Carré

  • 2015 Mettre la finance au service de la société ?
    by Jean Boissinot

  • 2015 Pourquoi faut-il une finance durable et soutenable ?
    by Esther Jeffers

  • 2015 La coordination entre politique monétaire et politique macroprudentielle. Que disent les modèles dsge ?
    by Emmanuel Carré & Jézabel Couppey-Soubeyran & Salim Dehmej

  • 2015 Introduction
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  • 2015 A synthesis of theoretical and empirical research on sukuk
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  • 2015 Financial integration in emerging market economies: Effects on volatility transmission and contagion
    by Aymen Ben Rejeb & Adel Boughrara

  • 2015 Islamic stock markets and potential diversification benefits
    by Mouna Boujelbene Abbes & Yousra Trichilli

  • 2015 The implied volatility index: Is ‘investor fear gauge’ or ‘forward-looking’?
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  • 2015 Young Entrepreneurs′ Trust During The Recession: Evidence From Serbia
    by Vojislav Babić & Siniša Zarić

  • 2015 Emerging Market Economies and the Reform of the International Financial Architecture: The “Exorbitant Privilege” of the Dollar Is Only the Symptom of a Structural Problem
    by Jan Kregel

  • 2015 Re-imagining Central Banking
    by Perry Mehrling

  • 2015 Modelling the demand and supply of loans in Bulgaria
    by Petar Peshev

  • 2015 Crisis Influences between Developed and Developing Capital Markets – The Case of Central and Eastern European Countries
    by Vladimir Tsenkov

  • 2015 Trends on the Capital Market in Greece before and after the State Debt Crisis
    by Vasiliki Bazdekidu

  • 2015 Challenges to the Monetary and Fiscal Policy in the Eurozone and Bulgaria
    by Tsvetelina Marinova

  • 2015 The Volatility of Romanian Exchange Rate: A GARCH Approach
    by Elena Pelinescu & Delia-Elena Diacona?u

  • 2015 Credit, Financial Stability, and the Macroeconomy
    by Alan M. Taylor

  • 2015 Household Debt: Facts, Puzzles, Theories, and Policies
    by Jonathan Zinman

  • 2015 The Axiomatic Approach to Risk Measures for Capital Determination
    by Hans Föllmer & Stefan Weber

  • 2015 Gospodarki Danii, Finlandii i Szwecji a globalny kryzys finansowy / The Global Financial Crisis in Denmark, Finland and Sweden
    by Leszek Lesniewski

  • 2015 Bear Market Periods during the 2007–2009 Financial Crisis: Direct Evidence from the Visegrad Countries
    by Joanna Olbryś & Elżbieta Majewska

  • 2015 Modelling probability of default and optimal PTI level by using a household survey
    by Tamás Balás & Ádám Banai & Zsuzsanna Hosszú

  • 2015 Crowdfunding: An Innovative Financial Source Of Small And Medium Sized - Enterprises
    by Lect. Katarína Belanová Ph. D

  • 2015 Tendencies in the Financial Implementation of Structural and Cohesion Funds in the EU
    by Popescu Anca SIMINA & Nicoleta Mihaela FLOREA

  • 2015 Coordinates of the Absorption Capacity of Structural and Cohesion Funds at EU Level
    by Anca Simina POPESCU & Inocentiu Alexandru FLOREA

  • 2015 Monetary Policy under the Border between Price Stability and Financial Stability
    by Irina-Raluca BADEA

  • 2015 Real Convergence Evolution Of The Romanian Economy From The Euro Adoption Perspective
    by Andreea Maria Ciobanu

  • 2015 Return Versus Risk. Evidence From Romania
    by Daniel Cîrciumaru & Raluca Dracea & Anca Tanasie & Marian Siminica

  • 2015 The Using Factor Analysis Method In Prediction Of Business Failure
    by Mary Violeta Petrescu

  • 2015 Low Interest Rates And Bank Risk-Taking: Has The Crisis Changed Anything? Evidence From The Eurozone
    by Alin Marius ANDRIES & Vasile COCRIS & Ioana PLESCAU

  • 2015 Exposure To Systemic Risk Of The European Too-Big-To-Fail Banks During Crisis
    by Simona MUTU

  • 2015 Impact Of The Economic Crisis On Fdi In Central And Eastern Europe
    by Adina DORNEAN & Dumitru-Cristian OANEA

  • 2015 Rewriting Monetary Policy 101: What's the Fed's Preferred Post-Crisis Approach to Raising Interest Rates?
    by Jane E. Ihrig & Ellen E. Meade & Gretchen C. Weinbach

  • 2015 AIG in Hindsight
    by Robert McDonald & Anna Paulson

  • 2015 The Rescue of Fannie Mae and Freddie Mac
    by W. Scott Frame & Andreas Fuster & Joseph Tracy & James Vickery

  • 2015 Legal, Political, and Institutional Constraints on the Financial Crisis Policy Response
    by Phillip Swagel

  • 2015 Stress for Success: A Review of Timothy Geithner's Financial Crisis Memoir
    by Gary Gorton

  • 2015 Repeated Interaction and Rating Inflation: A Model of Double Reputation
    by Sivan Frenkel

  • 2015 Monetary Policy Surprises, Credit Costs, and Economic Activity
    by Mark Gertler & Peter Karadi

  • 2015 Inflation in the Great Recession and New Keynesian Models
    by Marco Del Negro & Marc P. Giannoni & Frank Schorfheide

  • 2015 Banking, Liquidity, and Bank Runs in an Infinite Horizon Economy
    by Mark Gertler & Nobuhiro Kiyotaki

  • 2015 Endogenous Liquidity and the Business Cycle
    by Saki Bigio

  • 2015 Neglected Risks: The Psychology of Financial Crises
    by Nicola Gennaioli & Andrei Shleifer & Robert Vishny

  • 2015 Lending Booms, Smart Bankers, and Financial Crises
    by Anjan Thakor

  • 2015 Inequality, Leverage, and Crises
    by Michael Kumhof & Romain Rancière & Pablo Winant

  • 2015 Thar SHE Blows? Gender, Competition, and Bubbles in Experimental Asset Markets
    by Catherine C. Eckel & Sascha C. Füllbrunn

  • 2015 Evidence for Countercyclical Risk Aversion: An Experiment with Financial Professionals
    by Alain Cohn & Jan Engelmann & Ernst Fehr & Michel André Maréchal

  • 2015 The Cost of Financial Frictions for Life Insurers
    by Ralph S. J. Koijen & Motohiro Yogo

  • 2015(XXV) Regional aspects of economic resilience in Romania, during the post-accession period
    by Gheorghe ZAMAN & George GEORGESCU

  • 2014 Linkages between Financial Sector CDS Spreads and Macroeconomic Influence in a Nonlinear Setting
    by Amine Lahiani & Shawkat Hammoudeh & Rangan Gupta

  • 2014 Testing the Asymmetric Effects of Financial Conditions in South Africa: A Nonlinear Vector Autoregression Approach
    by Mehmet Balcilar & Kirsten Thompson & Rangan Gupta & Renee van Eyden

  • 2014 Fiscal Policies in Recessions
    by Roberto Perotti

  • 2014 The Banking Regulatory Bubble and How to Get out of It
    by Giovanni Ferri & Doris Neuberger

  • 2014 Corporate Savings and the 2007-2009 Financial Crisis: A Warning for the European Banking Union
    by Giovanni Scarano

  • 2014 Models of Credit Ratings Failures
    by Francesco Sangiorgi

  • 2014 Measuring capital adequacy: supervisory stress-tests in a Basel world
    by Wall, Larry

  • 2014 Early Warning Indicators for the German Banking System: A Macroprudential Analysis
    by Thomas Kick & Nadya Jahn

  • 2014 Risks of Turkish Industries During Financial Crisis
    by Harun SENCAL & Mehmet ORHAN

  • 2014 Küresel Kriz ve Türk KOBİ’leri: Kriz Yönetimi ve Uyguladıkları Finansal Politikalar
    by Yasin ŞEHİTOĞLU & Müge AKSU & Cemal ZEHİR

  • 2014 The Swiss franc's honeymoon
    by Rahel Studer-Suter & Alexandra Janssen

  • 2014 In search of economic reality under the veil of financial markets
    by Josef Falkinger

  • 2014 Leverage and Beliefs: Personal Experience and Risk Taking in Margin Lending
    by Peter Koudijs & Hans-Joachim Voth

  • 2014 Recreating the South Sea Bubble: Lessons from an Experiment in Financial History
    by Giovanni Giusti & Charles Noussair & Hans-Joachim Voth

  • 2014 Overleveraging in the banking sector: Evidence from Europe
    by Schleer, Frauke & Semmler, Willi & Illner, Julian

  • 2014 The impact of R&D subsidies during the crisis
    by Hud, Martin & Hussinger, Katrin

  • 2014 Changing forces of gravity: How the crisis affected international banking
    by Buch, Claudia M. & Neugebauer, Katja & Schröder, Christoph

  • 2014 Financial sector-output dynamics in the euro area: Non-linearities reconsidered
    by Schleer, Frauke & Semmler, Willi

  • 2014 Financial Sector and Output Dynamics in the Euro Area: Non-linearities Reconsidered
    by Schleer, Frauke & Semmler, Willi

  • 2014 Institutional herding in financial markets: New evidence through the lens of a simulated model
    by Boortz, Christopher & Jurkatis, Simon & Kremer, Stephanie & Nautz, Dieter

  • 2014 Sovereign Credit Risk Co-movements in the Eurozone: Simple Interdependence or Contagion?
    by Tonzer, Lena & Buchholz, Manuel

  • 2014 The financial economics of sovereign asset value: functional perspectives and market outcomes
    by Posch, Peter N & Bowden, Roger J & Kalteier, Eva-Maria

  • 2014 Risk weights, lending, and financial stability: Limits to model-based capital regulation
    by Behn, Markus & Haselmann, Rainer & Vig, Vikrant

  • 2014 Detecting financial contagion in a multivariate system
    by Manner, Hans & Blatt, Dominik & Candelon, Bertrand

  • 2014 The Internal Organization of Banks and the Transmission of Lending Shocks Across Borders
    by Radev, Deyan & Gropp, Reint

  • 2014 By a Silken Thread : regional banking integration and pathways to financial development in Japan s Great Recession
    by Hoffmann, Mathias & Okubo, Toshihiro

  • 2014 The limits of model-based regulation
    by Behn, Markus & Haselmann, Rainer & Vig, Vikrant

  • 2014 Equilibrium asset pricing in networks with mutually exciting jumps
    by Branger, Nicole & Konermann, Patrick & Meinerding, Christoph & Schlag, Christian

  • 2014 Assessing systemic fragility: A probabilistic perspective
    by Radev, Deyan

  • 2014 Exit strategies
    by Angeloni, Ignazio & Faia, Ester & Winkler, Roland

  • 2014 Systemic risk in an interconnected banking system with endogenous asset markets
    by Bluhm, Marcel & Krahnen, Jan Pieter

  • 2014 Monetary policy implementation in an interbank network: Effects on systemic risk
    by Bluhm, Marcel & Faia, Ester & Krahnen, Jan Pieter

  • 2014 Exit Strategies and Their Impact on the Euro Area - A Model Based View
    by Belke, Ansgar

  • 2014 Predicting the past: Understanding the causes of bank distress in the Netherlands in the 1920s
    by Colvin, Christopher L. & de Jong, Abe & Fliers, Philip T.

  • 2014 Financialisation, distribution, growth and crises: Long-run tendencies
    by Hein, Eckhard & Dodig, Nina

  • 2014 Financial, economic and social systems: French Regulation School, Social Structures of Accumulation and Post-Keynesian approaches compared
    by Hein, Eckhard & Dodig, Nina & Budyldina, Natalia

  • 2014 Previous financial crises leading to stagnation: Selected case studies
    by Dodig, Nina & Herr, Hansjörg

  • 2014 Theories of financial crises: An overview
    by Detzer, Daniel & Herr, Hansjörg

  • 2014 The limits of model-based regulation
    by Behn, Markus Wilhelm & Haselmann, Rainer & Vig, Vikrant

  • 2014 Friendship between banks: An application of an actor-oriented model of network formation on interbank credit relations
    by Finger, Karl & Lux, Thomas

  • 2014 Capital gains taxes and asset prices: The impact of tax awareness and procrastination
    by Eichfelder, Sebastian & Lau, Mona

  • 2014 Neue regulatorische Konzepte der Bankenaufsicht und ihre Auswirkungen auf die Gesamtbanksteuerung
    by Noack, Tim & Cremers, Heinz & Mala, Julia

  • 2014 News media sentiment and investor behavior
    by Kräussl, Roman & Mirgorodskaya, Elizaveta

  • 2014 The broken buck stops here: Embracing sponsor support in money market fund reform
    by Fisch, Jill E.

  • 2014 Lessons from the European financial crisis
    by Pagano, Marco

  • 2014 Dealing with financial crises: How much help from research?
    by Pagano, Marco

  • 2014 Systemic risk spillovers in the European banking and sovereign network
    by Betz, Frank & Hautsch, Nikolaus & Peltonen, Tuomas A. & Schienle, Melanie

  • 2014 Everything you always wanted to know about systemic importance (but were afraid to ask)
    by Alessandri, Piergiorgio & Masciantonio, Sergio & Zaghini, Andrea

  • 2014 Bank bonds: Size, systemic relevance and the sovereign
    by Zaghini, Andrea

  • 2014 Runs on money market mutual funds
    by Schmidt, Lawrence & Timmermann, Allan & Wermers, Russ

  • 2014 The impact of Basel III on financial (in)stability: An agent-based credit network approach
    by Krug, Sebastian & Lengnick, Matthias & Wohltmann, Hans-Werner

  • 2014 Cross-border liquidity, relationships and monetary policy: Evidence from the Euro area interbank crisis
    by Abbassi, Puriya & Bräuning, Falk & Fecht, Falko & Peydró, José-Luis

  • 2014 Loan loss provisioning and procyclicality: Evidence from an expected loss model
    by Domikowsky, Christian & Bornemann, Sven & Duellmann, Klaus & Pfingsten, Andreas

  • 2014 What predicts financial (in)stability? A Bayesian approach
    by Eidenberger, Judith & Neudorfer, Benjamin & Sigmund, Michael & Stein, Ingrid

  • 2014 Pro-cyclical capital regulation and lending
    by Behn, Markus & Haselmann, Rainer & Wachtel, Paul

  • 2014 The multivariate option iPoD framework: assessing systemic financial risk
    by Matros, Philipp & Vilsmeier, Johannes

  • 2014 International banking and liquidity risk transmission: Lessons from across countries
    by Buch, Claudia M. & Goldberg, Linda

  • 2014 The Lehman Brothers Bankruptcy H: The Global Contagion
    by Rosalind Z. Wiggins & Andrew Metrick

  • 2014 The Lehman Brothers Bankruptcy G: The Special Case of Derivatives
    by Rosalind Z. Wiggins & Andrew Metrick

  • 2014 The Lehman Brothers Bankruptcy C: Managing the Balance Sheet through the Use of Repo 105
    by Rosalind Z. Wiggins & Andrew Metrick

  • 2014 The Lehman Brothers Bankruptcy F: Introduction to the ISDA Master Agreement
    by Christian M. McNamara & Andrew Metrick

  • 2014 The Lehman Brothers Bankruptcy E: The Effect on Lehman’s U.S. Broker-Dealer
    by Rosalind Z. Wiggins & Andrew Metrick

  • 2014 The Lehman Brothers Bankruptcy D: The Role of Ernst & Young
    by Rosalind Z. Wiggins & Rosalind L. Bennett & Andrew Metrick

  • 2014 The Lehman Brothers Bankruptcy B: Risk Limits and Stress Tests
    by Rosalind Z. Wiggins & Andrew Metrick

  • 2014 The Lehman Brothers Bankruptcy A: Overview
    by Rosalind Z. Wiggins & Thomas Piontek & Andrew Metrick

  • 2014 JPMorgan Chase London Whale H: Cross-Border Regulation
    by Arwin G. Zeissler & Andrew Metrick

  • 2014 Ireland and Iceland in Crisis D: Similarities and Differences
    by Arwin G. Zeissler & Daisuke Ikeda & Andrew Metrick

  • 2014 Ireland and Iceland in Crisis C: Iceland’s Landsbanki Icesave
    by Arwin G. Zeissler & Thomas Piontek & Andrew Metrick

  • 2014 Ireland and Iceland in Crisis B: Decreasing Loan Loss Provisions in Ireland
    by Arwin G. Zeissler & Andrew Metrick

  • 2014 Ireland and Iceland in Crisis A: Increasing Risk in Ireland
    by Arwin G. Zeissler & Karen Braun-Munzinger & Andrew Metrick

  • 2014 JPMorgan Chase London Whale F: Required Securities Disclosures
    by Arwin G. Zeissler & Giulio Girardi & Andrew Metrick

  • 2014 European Banking Union D: Cross-Border Resolution—Dexia Group
    by Rosalind Z. Wiggins & Natalia Tente & Andrew Metrick

  • 2014 European Banking Union C: Cross-Border Resolution–Fortis Group
    by Rosalind Z. Wiggins & Natalia Tente & Andrew Metrick

  • 2014 European Banking Union B: The Single Resolution Mechanism
    by Rosalind Z. Wiggins & Michael Wedow & Andrew Metrick

  • 2014 European Banking Union A: The Single Supervisory Mechanism
    by Rosalind Z. Wiggins & Michael Wedow & Andrew Metrick

  • 2014 JPMorgan Chase London Whale G: Hedging vs. Proprietary Trading
    by Arwin G. Zeissler & Andrew Metrick

  • 2014 JPMorgan Chase London Whale E: Supervisory Oversight
    by Arwin G. Zeissler & Andrew Metrick

  • 2014 JPMorgan Chase London Whale Z: Background & Overview
    by Arwin G. Zeissler & Rosalind Bennett & Andrew Metrick

  • 2014 JPMorgan Chase London Whale D: Risk Management Practices
    by Arwin G. Zeissler & Andrew Metrick

  • 2014 JPMorgan Chase London Whale B: Derivatives Valuation
    by Arwin G. Zeissler & Andrew Metrick

  • 2014 JPMorgan Chase London Whale C: Risk Limits, Metrics, and Models
    by Arwin G. Zeissler & Andrew Metrick

  • 2014 JPMorgan Chase London Whale A: Risky Business
    by Arwin G. Zeissler & Daisuke Ikeda & Andrew Metrick

  • 2014 Basel III G: Shadow Banking and Project Finance
    by Christian M. McNamara & Andrew Metrick

  • 2014 Basel III F: Callable Commercial Paper
    by Christian M. McNamara & Rosalind Bennett & Andrew Metrick

  • 2014 Basel III E: Synthetic Financing by Prime Brokers
    by Christian M. McNamara & Andrew Metrick

  • 2014 Basel III D: Swiss Finish to Basel III
    by Christian M. McNamara & Natalia Tente & Andrew Metrick

  • 2014 Basel III C: Internal Risk Models
    by Christian M. McNamara & Karen Braun-Munzinger & Andrew Metrick

  • 2014 Basel III B: Basel III Overview
    by Christian M. McNamara & Michael Wedow & Andrew Metrick

  • 2014 Basel III A: Regulatory History
    by Christian M. McNamara & Thomas Piontek & Andrew Metrick

  • 2014 Wachstumsbeschleunigung dank Investitionswende in Mittel-, Ost- und Südosteuropa
    by Vladimir Gligorov & Mario Holzner & Sandor Richter

  • 2014 Investment to the Rescue
    by Vasily Astrov & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Michael Landesmann & Sebastian Leitner & Olga Pindyuk & Leon Podkaminer & Sandor Richter & Hermine Vidovic

  • 2014 On Thin Ice: CESEE Core Resilient in the Face of EU Stagnation and the Ukraine Crisis
    by Vasily Astrov & Serkan Çiçek & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Sebastian Leitner & Olga Pindyuk & Leon Podkaminer & Sandor Richter & Hermine Vidovic

  • 2014 How smooth is the stock market integration of CEE-3?
    by Eduard Baumöhl & Štefan Lyócsa

  • 2014 Ailing Mothers, Healthy Daughters? Contagion in the Central European Banking Sector
    by Tomas Fiala & Tomas Havranek

  • 2014 Fiscal and Monetary Policies in Complex Evolving Economies
    by Giovanni Dosi & Giorgio Fagiolo & Mauro Napoletano & Andrea Roventini & Tania Treibich

  • 2014 Rock around the Clock: An Agent-Based Model of Low- and High-Frequency Trading
    by Sandrine Jacob Leal & Mauro Napoletano & Andrea Roventini & Giorgio Fagiolo

  • 2014 The Stock Market, the Real Economy and Contagion
    by Dirk G Baur & Isaac Miyakawa

  • 2014 Regulatory Independence – It’s not Just about Institutionss
    by Gordon Menzies

  • 2014 Non-Interest Income and Bank Performance: Does Ring-Fencing Reduce Bank Risk?
    by Saunders, Anthony & Schmid, Markus & Walter, Ingo

  • 2014 Do Mutual Funds Outperform During Recessions? International (Counter-) Evidence
    by Fink, Christopher & Raatz, Katharina & Weigert, Florian

  • 2014 Financialization in Commodity Markets: A Passing Trend or the New Normal?
    by Adams, Zeno & Glueck, Thorsten

  • 2014 Trade credit use as firms approach default: A supplier's hold-up story
    by Garcia-Appendini, Emilia & Montoriol-Garriga, Judit

  • 2014 Corporate Transparency and Bond Liquidity
    by Fecht, Falko & Füss, Roland & Rindler, Philipp B.

  • 2014 A variance spillover analysis without covariances: what do we miss?
    by Fengler, Matthias R. & Gisler, Katja I. M.

  • 2014 Financial crises and exchange rate policy
    by Luca Fornaro

  • 2014 The real estate and credit bubble: Evidence from Spain
    by Ozlem Akin & José Garcia Montalvo & Jaume Garcia Villar & José-Luis Peydró & Josep M. Raya

  • 2014 A macroeconomic model of liquidity crises
    by Keiichiro Kobayashi & Tomoyuki Nakajima

  • 2014 Sovereign and bank CDS spreads: two sides of the same coin?
    by John Cotter & Davide Avino

  • 2014 Decision Making in Incomplete Markets with Ambiguity -- A Case Study of a Gas Field Acquisition
    by Lin Zhao & Sweder van Wijnbergen

  • 2014 Cocos, Contagion and Systemic Risk
    by Stephanie Chan & Sweder van Wijnbergen

  • 2014 Long-term trends in intra-financial sector lending in the U.S. 1950 - 2012
    by Gerald Epstein & Iren Levina & Juan A. Montecino

  • 2014 Intra-Financial Lending, Credit, and Capital Formation
    by Juan A. Montecino & Gerald Epstein

  • 2014 Joint Dynamics of House Prices and Foreclosures
    by Yavuz Aslan & Bulent Guler & Temel Taskin

  • 2014 The Structure of the Turkish Banking Sector Before and After the Global Crisis
    by Aytul Ganioglu & Vuslat Us

  • 2014 Does Effectiveness of Macroprudential Policies on Banking Crisis Depend on Institutional Structure?
    by Aytul Ganioglu

  • 2014 Debt Bias in Corporate Taxation and the Costs of Banking Crises in the EU
    by Sven Langedijk & Gaëtan Nicodème & Andrea Pagano & Alessandro Rossi

  • 2014 Why do Russian firms invest abroad? A firm level analysis
    by Amar Iqbal ANWAR & Mazhar Yasin MUGHAL

  • 2014 Effectiveness of capital control, economic growth and animal spirit: A cross-country analysis
    by Malgorzata Sulimierska

  • 2014 Repatriation of Debt in the Euro Crisis: Evidence for the Secondary Market Theory
    by Filippo Brutti & Philip Ulrich Sauré

  • 2014 Impact of global financial crisis on healthcare expenditures in developed countries
    by Pawel Bialynicki-Birula

  • 2014 Assessing Solvency of Financial Institutions: An Option-theoretic Approach
    by Jie Dai

  • 2014 Financial Liberalization in the Developing Countries and Its Effect on Banking Systems and Banking Crises
    by Mehmet Okan Taşar & Savaş Çevik

  • 2014 Macroeconomic fluctuations, financial instability and institutions: the case of developing countries
    by Ichraf Ouechtati

  • 2014 Lessons from the European Financial Crisis
    by Marco Pagano

  • 2014 Dealing with Financial Crises: How Much Help from Research?
    by Marco Pagano

  • 2014 Forecasting Financial Stress and Economic Sensitivity in CEE countries
    by Maciej Krzak & Grzegorz Poniatowski & Katarzyna W¹sik

  • 2014 Measuring financial stress and economic sensitivity in CEE countries
    by Maciej Krzak & Grzegorz Poniatowski & Katarzyna Wasik

  • 2014 The Influence of Industry Financial Composition on the Exports from Pakistan
    by Aadil Nakhoda

  • 2014 Financial Stress Indicator Variables and Monetary Policy in South Africa
    by Leroi Raputsoane

  • 2014 Exit Strategies and Their Impact on the Euro Area - A Model Based View
    by Ansgar Belke

  • 2014 Welfare models, inequality and economic performance during globalisation
    by Pasquale Tridico

  • 2014 Financial-Monetary Instability Factors within the Framework of the Recent Crisis in Romania
    by Filip, Bogdan Florin

  • 2014 Creditless Recovery In Eastern Europe
    by Olteanu, Dan

  • 2014 Financial Instability, Cycles and the Role of Institutions
    by Iancu, Aurel

  • 2014 Implicatiile crizei financiare asupra adoptarii euro, in conditiile convergentei economice. Cazul Romaniei
    by Mihaiteanu, Sanda

  • 2014 Instabilitatea financiara, ciclurile si rolul institutiilor
    by Iancu, Aurel

  • 2014 Exit State-of-play in Implementing Macroeconomic Adjustment Programmes in the Euro Area
    by Ansgar Belke & Daniel Gros & Alcidi Cinzia & Leonor Coutinho & Alessandro Giovannini

  • 2014 Exit Strategies and Their Impact on the Euro Area – A Model Based View
    by Ansgar Belke

  • 2014 Expectations and Systemic Risk in EMU Government Bond Spreads
    by Canofari, Paolo & Marini, Giancarlo & Piersanti, Giovanni

  • 2014 Are there any contagion effects from Greek bonds?
    by Pragidis, Ioannis & Chionis, Dionisios

  • 2014 The impact of foreign banks on monetary policy transmission during the global financial crisis of 2008-2009: Evidence from Korea
    by Jeon, Bang Nam & Lim, Hosung & Wu, Ji

  • 2014 Capital Flows During Quantitative Easing and Aftermath: Experiences of Asian Countries
    by Park, Donghyun & Ramayandi, Arief & Shin, Kwanho

  • 2014 Systemic Risk and Bank Size
    by Simone Varotto & Lei Zhao

  • 2014 The Equity-like Behaviour of Sovereign Bonds
    by Alfonso Dufour & Andrei Stancu & Simone Varotto

  • 2014 Influencia de los precios de los metales y el mercado internacional en el riesgo bursátil peruano
    by Zevallos, Mauricio & Villarreal, Fernanda & Del Carpio, Carlos & Abbara, Omar

  • 2014 Spillovers, capital flows and prudential regulation in small open economies
    by Castillo, Paul & Carrera, Cesar & Ortiz, Marco & Vega, Hugo

  • 2014 Financial Conditions and Density Forecasts for US Output and Inflation
    by Piergiorgio Alessandri & Haroon Mumtaz

  • 2014 Financial conditions and density forecasts for US output and inflation
    by Piergiorgio Alessandri & Haroon Mumtaz

  • 2014 Livin' on the Edge with Ratings: Liquidity, Efficiency and Stability
    by Jonathan Chiu & Thorsten Koeppl

  • 2014 A Dynamic Quantitative Macroeconomic Model of Bank Runs
    by Elena Mattana & Ettore Panetti

  • 2014 Do Credit Market Shocks affect the Real Economy? Quasi-Experimental Evidence from the Great Recession and "Normal" Economic Times
    by Michael Greenstone & Alexandre Mas & Hoai -Luu Nguyen

  • 2014 Modèle d’alerte des crises bancaires basé sur une approche bayésienne
    by Zaghdoudi, Taha

  • 2014 The 1719-20 stock euphoria: a pan-European perspective
    by Condorelli, Stefano

  • 2014 Validita modelu CAPM na akciovém trhu USA
    by Širůček, Martin & Šoba, Oldřich & Němeček, Jaroslav

  • 2014 The liquidity of dual-listed corporate bonds: empirical evidence from Italian markets
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  • 2014 Revisiting the Link between Political and Financial Crises in Africa
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  • 2014 Financial Risk and Foreign Direct Investment: Evidence from Pakistan Economy
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  • 2014 Monetary Policy of Quantitative Easing at the Central Bank’s High Interest Rates
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  • 2014 “Post financial crisis and exports expansion: Micro-evidence from Chilean exporters”
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  • 2014 Balance sheet effects, foreign reserves and public policies
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  • 2014 The financial meltdown: a model with endogenous default probability
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  • 2014 Unveiling the House Price Movements and Financial Development
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  • 2014 A Measure of Early Warning of Exchange-Rate Crises Based on the Hurst Coefficient and the Αlpha-Stable Parameter
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  • 2014 Extreme Returns in the European Financial Crisis
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  • 2014 On the Sources of Uncertainty in Exchange Rate Predictability
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  • 2014 Terrorism and Stock Market Linkages: An Empirical Study from Pakistan
    by Arif, Imtiaz & Suleman, Tahir

  • 2014 Rescate y costos del riesgo financiero
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  • 2014 Financial crisis in The Arcades Project of Walter Benjamin
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  • 2014 Political Economy of Argentine Sovereign Debt and the Holdouts Problem
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  • 2014 Stock returns predictability and the adaptive market hypothesis in emerging markets: evidence from India
    by Hiremath, Gourishankar S & Kumari, Jyoti

  • 2014 Macro Stress-Testing Credit Risk in Romanian Banking System
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  • 2014 Why do Russian firms invest abroad? A firm level analysis
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  • 2014 Multi-jumps
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  • 2014 Book Review – Rethinking Housing Bubbles
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  • 2014 Денежная Политика Количественного Смягчения При Высоких Ставках Центрального Банка
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  • 2014 The Solution is Full Reserve / 100% Reserve Banking
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  • 2014 Macrodynamics of debt-financed investment-led growth with interest rate rules
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  • 2014 Sensitivity of Value at Risk estimation to NonNormality of returns and Market capitalization
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  • 2014 Assessing Credit Risk in Money Market Fund Portfolios
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  • 2014 Institutional quality and bank instability: cross-countries evidence in emerging countries
    by ESSID, ZINA & BOUJELBENE, YOUNES & PLIHON, DOMINIQUE

  • 2014 Multivariate bubbles and antibubbles
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  • 2014 Systemic Liquidity Crisis with Dynamic Haircuts
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  • 2014 Foreclosures in an Exurb: Multiple Empirical Analyses through a Prism
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  • 2014 Originators, traders, neutrals, and traditioners – various banking business models across the globe. Does the business model matter for financial stability?
    by Hryckiewicz, Aneta

  • 2014 The Mediterranean countries of European Union and their progress from 1980 to 2012: A comparative analysis
    by Zisiadou, Argyro & Metaxas, Theodore

  • 2014 Chronological Description about Financial Crisis and Gap between Academic and Professional Approach
    by cho, hyejin

  • 2014 The laffer curve and the debt-growth link in low-income Sub-Saharan African economies
    by Megersa, kelbesa

  • 2014 Consumer Loans in Cambodia: Implications on Banking Stability
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  • 2014 The role of the Central Bank in the Economic Slow-down in Russia
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  • 2014 Auge y estancamiento de Japón (1955-2008). Una explicación marxista
    by Maito, Esteban Ezequiel

  • 2014 Factori de creştere a sustenabilităţii datoriei publice
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  • 2014 Forgive, or Award, Your Debtor? - A Barrier Option Approach
    by Sun, David & Chow, Da-Ching

  • 2014 Analysis of Public, Private and Financial Sectors in European Countries Through the Statis Methodology
    by Catarina Lourenço Soares & Adelaide Maria de Sousa Figueiredo & Fernanda Otília de Sousa Figueiredo

  • 2014 How financial innovation might cancel out bank regulation along financial cycles. A Keynes's state of confidence interpretation
    by Konstantinos Loizos

  • 2014 Doctrine of public good in banking versus state intervention
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  • 2014 Network Formation and Systemic Risk, Second Version
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  • 2014 Network Formation and Systemic Risk
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  • 2014 Political Booms, Financial Crises
    by Helios Herrera & Guillermo Ordoñez & Christoph Trebesch

  • 2014 Boosting the Development of Efficient SMEs in the Netherlands
    by Rafał Kierzenkowski & Jochebed Kastaneer

  • 2014 Spillover Effects from Exiting Highly Expansionary Monetary Policies
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  • 2014 OECD Forecasts During and After the Financial Crisis: A Post Mortem
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  • 2014 The Rise and Fall of Demand for Securitizations
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  • 2014 Betting the House
    by Òscar Jordà & Moritz HP. Schularick & Alan M. Taylor

  • 2014 Unprecedented Actions: The Federal Reserve’s Response to the Global Financial Crisis in Historical Perspective
    by Frederic S. Mishkin & Eugene N. White

  • 2014 Do Credit Market Shocks affect the Real Economy? Quasi-Experimental Evidence from the Great Recession and ‘Normal’ Economic Times
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  • 2014 Momentum Trading, Return Chasing, and Predictable Crashes
    by Benjamin Chabot & Eric Ghysels & Ravi Jagannathan

  • 2014 Adverse Selection and Self-fulfilling Business Cycles
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  • 2014 Contagion in the European Sovereign Debt Crisis
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  • 2014 Reconstructing Macroeconomic Theory to Manage Economic Policy
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  • 2014 The Great Mortgaging: Housing Finance, Crises, and Business Cycles
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  • 2014 Household Debt: Facts, Puzzles, Theories, and Policies
    by Jonathan Zinman

  • 2014 Banks, Liquidity Management and Monetary Policy
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  • 2014 Incentive Pay and Bank Risk-Taking: Evidence from Austrian, German, and Swiss Banks
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  • 2014 Counterparty Risk and the Establishment of the New York Stock Exchange Clearinghouse
    by Asaf Bernstein & Eric Hughson & Marc D. Weidenmier

  • 2014 Understanding Uncertainty Shocks and the Role of Black Swans
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  • 2014 Aggregate External Financing and Savings Waves
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  • 2014 The Economics of Aesthetics and Three Centuries of Art Price Records
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  • 2014 Political Booms, Financial Crises
    by Helios Herrera & Guillermo Ordoñez & Christoph Trebesch

  • 2014 The Macroeconomics of Shadow Banking
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  • 2014 Deposit Insurance Database
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  • 2014 How does macroprudential regulation change bank credit supply?
    by Anil K Kashyap & Dimitrios P. Tsomocos & Alexandros P. Vardoulakis

  • 2014 Asset Pricing with Countercyclical Household Consumption Risk
    by George M. Constantinides & Anisha Ghosh

  • 2014 Floating a "Lifeboat": The Banque de France and the Crisis of 1889
    by Pierre-Cyrille Hautcoeur & Angelo Riva & Eugene N. White

  • 2014 The Flight from Maturity
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  • 2014 Why Do Banks Practice Regulatory Arbitrage? Evidence from Usage of Trust Preferred Securities
    by Nicole Boyson & Rüdiger Fahlenbrach & René M. Stulz

  • 2014 Leverage and Beliefs: Personal Experience and Risk Taking in Margin Lending
    by Peter Koudijs & Hans-Joachim Voth

  • 2014 Loan Prospecting and the Loss of Soft Information
    by Sumit Agarwal & Itzhak Ben-David

  • 2014 Liquidity Risk and the Dynamics of Arbitrage Capital
    by Péter Kondor & Dimitri Vayanos

  • 2014 Is It Too Late to Bail Out the Troubled Countries in the Eurozone?
    by Juan Carlos Conesa & Timothy J. Kehoe

  • 2014 A Macroeconomic Framework for Quantifying Systemic Risk
    by Zhiguo He & Arvind Krishnamurthy

  • 2014 Recovery from Financial Crises: Evidence from 100 Episodes
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2014 For a Few Dollars More: Reserves and Growth in Times of Crises
    by Matthieu Bussière & Gong Cheng & Menzie D. Chinn & Noëmie Lisack

  • 2014 Pricing sovereign credit risk of an emerging market
    by Gonzalo Camba-Méndez & Konrad Kostrzewa & Anna Mospan & Dobromił Serwa

  • 2014 Market perception of sovereign credit risk in the euro area during the financial crisis
    by Gonzalo Camba-Méndez & Dobromił Serwa

  • 2014 Credit rating agency downgrades and the Eurozone sovereign debt crises
    by Christopher F Baum & Margarita Karpava & Dorothea Schäfer & Andreas Stephen

  • 2014 Inference on Self-Exciting Jumps in Prices and Volatility using High Frequency Measures
    by Worapree Maneesoonthorn & Catherine S. Forbes & Gael M. Martin

  • 2014 Monitoring Systemic Risk: A Survey Of The Available Macroprudential Toolkit
    by Elisabetta Gualandri & Mario Noera

  • 2014 Towards A Macroprudential Policy In The Eu: Main Issues
    by Elisabetta Gualandri & Mario Noera

  • 2014 Corporate Foreign Currency Borrowing and Investment. The Case of Hungary
    by Marianna Endrész & Péter Harasztosi

  • 2014 The Impacts of the Global Crisis on the Turkish Economy and Policy Responses
    by Hasan Comert & Selman Colak

  • 2014 Tweets, Google Trends and Sovereign Spreads in the GIIPS
    by Theologos Dergiades & Costas Milas & Theodore Panagiotidis

  • 2014 Identifying safe haven assets for equity investors through an analysis of the stability of shock transmission
    by Thomas J. Flavin & Ciara E. Morley & Ekaterini Panopoulou

  • 2014 The Banking Regulatory Bubble and How to Get out of It
    by Giovanni Ferri & Doris Neuberger

  • 2014 Political Booms, Financial Crises
    by Herrera, Helios & Ordoñez, Guillermo & Trebesch, Christoph

  • 2014 Financial Innovation and Fragility
    by Kühnhausen, Fabian

  • 2014 The Socialization of Investment, from Keynes to Minsky and Beyond
    by Riccardo Bellofiore

  • 2014 Minsky, Monetary Policy, and Mint Street: Challenges for the Art of Monetary Policymaking in Emerging Economies
    by Srinivas Yanamandra

  • 2014 Minsky and the Subprime Mortgage Crisis: The Financial Instability Hypothesis in the Era of Financialization
    by Eugenio Caverzasi

  • 2014 How the Euro-Area Sovereign-Debt Crisis Led to a Collapse in Bank Equity Prices
    by Heather D. Gibson & Stephen G. Hall & George S. Tavlas

  • 2014 Determinants of Global Liquidity Dynamics:a FAVAR approach
    by Marie-Louise Djigbenou

  • 2014 A macroeconomic model of liquidity crises
    by Keiichiro Kobayashi & Tomoyuki Nakajima

  • 2014 Japanese SMEs and the Credit Guarantee System after the Global Financial Crisis
    by Nobuyoshi Yamori

  • 2014 Asymmetric Effects of Uncertainty over the Business Cycle: A Quantile Structural Vector Autoregressive Approach
    by Yves S. Schüler

  • 2014 Friendship between Banks: An Application of an Actor-Oriented Model of Network Formation on Interbank Credit Relations
    by Karl Finger & Thomas Lux

  • 2014 Financial Fragmentation and Economic Growth in Europe
    by Isabel Schnabel & Christian Seckinger

  • 2014 Bank asset reallocation and sovereign debt
    by Michele Fratianni & Francesco Marchionne

  • 2014 Impact of the World Financial Crisis to SMEs: The determinants of bank loan rejection in Europe and USA
    by Aurelie SANNAJUST

  • 2014 Does Islamic Finance Outperform Conventional Finance ? Further Evidence from the recent financial crisis
    by Fredj Jawadi & Nabila Jawadi & Waël Louhichi

  • 2014 Dynamics in the correlations of the Credit Default Swaps’ G14 dealers: Are there any contagion effects due to Lehman Brothers’ bankruptcy and the global financial crisis?
    by Irfan Akbar Kazi & Suzanne Salloy

  • 2014 The shift-contagion effect of global financial crisis and the European debt crisis on OECD Countries
    by Irfan Akbar Kazi & Mohamed Mehanaoui & Farhan Akbar

  • 2014 The risk of financial crises: Is it in real or financial factors?
    by Karolin Kirschenmann & Tuomas Malinen & Henri Nyberg

  • 2014 The impact of liquidity on inflation-linked bonds: A hypothetical indexed bonds approach
    by Julia Auckenthaler & Alexander Kupfer & Rupert Sendlhofer

  • 2014 Japanese Repo and Call Markets Before, During, and Emerging from the Financial Crisis
    by Ichiro Fukunaga & Naoya Kato

  • 2014 Monetary Policy, Financial Conditions, and Financial Stability
    by Tobias Adrian & Nellie Liang

  • 2014 Market Perceptions of US and European Policy Actions Around the Subprime Crisis
    by Theoharry Grammatikos & Thorsten Lehnert & Yoichi Otsubo

  • 2014 A Pricing Theory under a Finite Number of Securities Issued: A Synthesis of "Market Microstructure" and "Mathematical Finance"
    by Yoshihiko Uchida & Daisuke Yoshikawa

  • 2014 A Survey of Systemic Risk Measures: Methodology and Application to the Japanese Market
    by Akio Hattori & Kentaro Kikuchi & Fuminori Niwa & Yoshihiko Uchida

  • 2014 Foreign Bank Behavior during Financial Crises
    by Jonathon Adams-Kane & Julián Caballero & Jamus Lim

  • 2014 Is the Eurozone on the Mend? Latin American Examples to Analyze the Euro Question
    by Eduardo A. Cavallo & Eduardo Fernández-Arias & Andrew Powell

  • 2014 Systemic importance of financial institutions: from a global to a local perspective? A network theory approach
    by Michele Bonollo & Irene Crimaldi & Andrea Flori & Fabio Pammolli & Massimo Riccaboni

  • 2014 Systemic importance of financial institutions: regulations, research, open issues, proposals
    by Michele Bonollo & Irene Crimaldi & Andrea Flori & Fabio Pammolli & Massimo Riccaboni

  • 2014 TENET: Tail-Event driven NETwork risk
    by Wolfgang Karl Härdle & Natalia Sirotko-Sibirskaya & Weining Wang &

  • 2014 That's how we roll: an experiment on rollover risk
    by Ciril Bosch-Rosa & & Melanie &

  • 2014 Betting the House
    by Oscar Jorda & Moritz Schularick & Alan M. Taylor

  • 2014 The Great Mortgaging: Housing Finance, Crises, and Business Cycles
    by Oscar Jorda & Moritz Schularick & Alan M. Taylor

  • 2014 Modeling Integral Financial Stability Index: A Cross-Country Study
    by Vadim Arzamasov & Henry Penikas

  • 2014 The Effects Of Robo-Signing On The Economy And Unconventional Monetary Policy
    by Egor S. Malkov

  • 2014 A Leverage-Based Measure of Financial Instability
    by Tepper, Alexander & Borowiecki, Karol Jan

  • 2014 Financial Market Contagion during the Global Financial Crisis
    by Mollah, Sabur & Zafirov, Goran & Quoreshi, AMM Shahiduzzaman

  • 2014 Correlated observations, the law of small numbers and bank runs
    by Gergely Horváth & Hubert János Kiss

  • 2014 Who is to Blame: Foreign Ownership or Foreign Funding?
    by Inessa Love & Roberto Rocha & Erik Feyen & Samuel Munzele Maimbo & Raquel Letelier

  • 2014 Rock around the Clock: An Agent-Based Model of Low- and High-Frequency Trading
    by Sandrine Jacob Leal & Mauro Napoletano & Andrea Roventini & Giorgio Fagiolo

  • 2014 Fiscal and Monetary Policies in Complex Evolving Economies
    by Giovanni Dosi & Giorgio Fagiolo & Mauro Napoletano & Andrea Roventini & Tania Treibich

  • 2014 On the real effects of financial pressure: Evidence from euro area firm-level employment during the recent financial crisis
    by Filipa Fernandes & Alexandros Kontonikas & Serafeim Tsoukas

  • 2014 Monetary policy in times of financial stress
    by Alexandros Kontonikas & Charles Nolan & Zivile Zekaite

  • 2014 The Crisis of 1866
    by Marc Flandreau & Stefano Ugolini

  • 2014 Disentangling Systematic and Idiosyncratic Dynamics in Panels of Volatility Measures
    by Matteo Barigozzi & Christian T. Brownlees & Giampiero M. Gallo & David Veredas

  • 2014 Enhancing prudential standards in financial regulations
    by Allen, Franklin & Goldstein, Itay & Jagtiani, Julapa & Lang, William W.

  • 2014 Credit access after consumer bankruptcy filing: new evidence
    by Jagtiani, Julapa & Li, Wenli

  • 2014 CDS and equity market reactions to stock issuances in the U.S. financial industry: evidence from the 2002-13 period
    by Cornette, Marcia Millon & Mehran, Hamid & Pan, Kevin & Phan, Minh & Wei, Chenyang

  • 2014 Supervisory stress tests
    by Hirtle, Beverly & Lehnert, Andreas

  • 2014 Monetary policy, financial conditions, and financial stability
    by Adrian, Tobias & Liang, J. Nellie

  • 2014 A leverage-based measure of financial instability
    by Tepper, Alexander & Borowiecki, Karol Jan

  • 2014 Central bank macroeconomic forecasting during the global financial crisis: the European Central Bank and Federal Reserve Bank of New York experiences
    by Alessi, Luci & Ghysels, Eric & Onorante, Luca & Peach, Richard & Potter, Simon M.

  • 2014 Simple and reliable way to compute option-based risk-neutral distributions
    by Malz, Allan M.

  • 2014 Liquidity risk and U.S. bank lending at home and abroad
    by Correa, Ricardo & Goldberg, Linda S. & Rice, Tara

  • 2014 International banking and liquidity risk transmission: lessons from across countries
    by Buch, Claudia M. & Goldberg, Linda S.

  • 2014 Dealer financial conditions and lender-of-last resort facilities
    by Acharya, Viral V. & Fleming, Michael J. & Hrung, Warren B. & Sarkar, Asani

  • 2014 Gates, fees, and preemptive runs
    by Cipriani, Marco & Martin, Antoine & McCabe, Patrick E. & Parigi, Bruno

  • 2014 LIBOR: origins, economics, crisis, scandal, and reform
    by Hou, David & Skeie, David R.

  • 2014 Bank holding company dividends and repurchases during the financial crisis
    by Hirtle, Beverly

  • 2014 Financial stability policies for shadow banking
    by Adrian, Tobias

  • 2014 Assessing financial stability: the Capital and Loss Assessment under Stress Scenarios (CLASS) model
    by Hirtle, Beverly & Kovner, Anna & Vickery, James & Bhanot, Meru

  • 2014 The Cost of Financial Frictions for Life Insurers
    by Koijen, Ralph S.J. & Yogo, Motohiro

  • 2014 Is It Too Late to Bail Out the Troubled Countries in the Eurozone?
    by Conesa, Juan Carlos & Kehoe, Timothy J.

  • 2014 Renegotiation Policies in Sovereign Defaults
    by Arellano, Cristina & Bai, Yan

  • 2014 House prices, heterogeneous banks and unconventional monetary policy options
    by Smith, Andrew Lee

  • 2014 Mandatory Disclosure and Financial Contagion
    by Alvarez, Fernando & Barlevy, Gadi

  • 2014 An Empirical Analysis of Futures Margin Changes: Determinants and Policy Implications
    by Abruzzo, Nicole & Park, Yang-Ho

  • 2014 Firm Entry and Employment Dynamics in the Great Recession
    by Siemer, Michael

  • 2014 Tips from TIPS: the informational content of Treasury Inflation-Protected Security prices
    by D'Amico, Stefania & Kim, Don H. & Wei, Min

  • 2014 Where Are All the New Banks? The Role of Regulatory Burden in New Charter Creation
    by Adams, Robert M. & Gramlich, Jacob P.

  • 2014 Betting the house
    by Jorda, Oscar & Schularick, Moritz & Taylor, Alan M.

  • 2014 The international transmission of shocks: foreign bank branches in Hong Kong during crises
    by Kwan, Simon H. & Wong, Eric T.C. & Hui, Cho-hoi

  • 2014 The great mortgaging: housing finance, crises, and business cycles
    by Jorda, Oscar & Schularick, Moritz & Taylor, Alan M.

  • 2014 Unprecedented actions: the Federal Reserve’s response to the global financial crisis in historical perspective
    by Mishkin, Frederic S. & White, Eugene

  • 2014 Bank crises and sovereign defaults in emerging markets: exploring the links
    by Balteanu, Irina & Erce, Aitor

  • 2014 Credit booms, banking crises, and the current account
    by Davis, J. Scott & Mack, Adrienne & Phoa, Wesley & Vandenabeele, Anne

  • 2014 Debt-Overhang Banking Crises
    by Occhino, Filippo

  • 2014 The Transmission of the Financial Crisis in 1907: An Empirical Investigation
    by Tallman, Ellis W. & Moen, Jon R.

  • 2014 Outside Lending in the NYC Call Loan Market
    by Moen, Jon R. & Tallman, Ellis W.

  • 2014 Let's talk about it: what policy tools should the Fed "normally" use?
    by Barnes, Michelle L.

  • 2014 Nuclear and financial meltdowns; The impact of the Fukushima accident on the transition to a low-carbon economy
    by Alessandro Vercelli

  • 2014 Financial Regulation in Hungary
    by Badics, Judit & Kiss, Karoly Miklos & Stenger, Zsolt & Szikszai, Szabolcs

  • 2014 Financial Regulation in Italy
    by Pietro Vozzella & Giampaolo Gabbi & Massimo Matthias

  • 2014 Enhanced Funds Seeking Higher Returns
    by Szabolcs Szikszai & Tamas Badics

  • 2014 Factors generating and transmitting the financial crisis; Functional distribution of income
    by Jo Michell

  • 2014 Risk management, the subprime crisis and financialisation: the role of risk management in the generation and transmission of the subprime crisis
    by Sergio Lagoa & Emanuel Leao & Ricardo Barradas

  • 2014 The process of financial integration of EU economies
    by Marco Veronese Passarella

  • 2014 Fundamental principles of financial regulation and supervision
    by Jan A. Kregel & Mario Tonveronachi

  • 2014 Theories of Financial Crises
    by Daniel Detzer & Hansjorg Herr

  • 2014 Previous financial crises leading to stagnation – selected case studies
    by Nina Dodig & Hansjorg Herr

  • 2014 Financialisation, distribution, growth and crises – long-run tendencies
    by Eckhard Hein & Nina Dodig

  • 2014 Financial, economic and social systems: French Regulation School, Social Structures of Accumulation and Post-Keynesian approaches compared
    by Eckhard Hein & Nina Dodig & Natalia Budyldina

  • 2014 Financial development, financialisation and economic growth
    by Malcolm Sawyer

  • 2014 Review of the pension provision across the European Union countries
    by Serap Saritas

  • 2014 Financialisation and the Financial and Economic Crises: The Case of Portugal
    by Sergio Lagoa & Emanuel Leao & Ricardo Paes Mamede & Ricardo Barradas

  • 2014 Fiscal and monetary policies in complex evolving economies
    by Giovanni Dosi & Giorgio Fagiolo & Mauro Napoletano & Andrea Roventini & Tania Treibich

  • 2014 Rock around the clock :An agent-based model of low-and high frequency trading
    by Sandrine Jacob Leal & Mauro Napoletano & Andrea Roventini & Giorgo Fagiolo

  • 2014 Has the Relationship Between Market and Model CDS Price Changed during the EMU Debt Crisis?
    by Petra Buzková

  • 2014 Ailing Mothers, Healthy Daughters? Contagion in the Central European Banking Sector
    by Tomas Fiala & Tomas Havranek

  • 2014 Systemic Event Prediction by Early Warning System
    by Diana Zigraiova & Petr Jakubik

  • 2014 Application of Minsky's Theory to State-Dominated Economies
    by Yulia Vymyatnina & Mikhail Pakhnin

  • 2014 Hard work, and More: How to successfully conduct adjustment with official assistance
    by Martin Larch & Kristin Magnusson Bernard & Balint Tatar

  • 2014 Sustainable Development - Possible Solution To Overcome The Crisis
    by Madalina Cristina TOCAN

  • 2014 Real Central Bank Independence In The Post-Crisis Period Or Myth
    by Dragan Momirović, Rajmund Mirdala

  • 2014 Disaster Management in ASEAN
    by Yasuyuki SAWADA & Fauziah ZEN

  • 2014 Financial Sector and Output Dynamics in the Euro Area: Non-linearities Reconsidered
    by Frauke Schleer & Willi Semmler

  • 2014 Testing the Asymmetric Effects of Financial Conditions in South Africa: A Nonlinear Vector Autoregression Approach
    by Mehmet Balcilar & Kirsten Thompson & Rangan Gupta & Renee van Eyden

  • 2014 Testing the Asymmetric Effects of Financial Conditions in South Africa: A Nonlinear Vector Autoregression Approach
    by Mehmet Balcilar & Kirsten Thompson & Rangan Gupta & Renee van Eyden

  • 2014 The Social Value of Finance
    by van Dijk, M.A.

  • 2014 The Safer, the Riskier: A Model of Financial Instability and Bank Leverage
    by Ryo Kato & Takayuki Tsuruga

  • 2014 Prudential Capital Controls or Bailouts? The Impact of Different Collateral Constraint Assumptions
    by Mitsuru Katagiri & Ryo Kato & Takayuki Tsuruga

  • 2014 Credit Access after Consumer Bankruptcy Filing: New Evidence
    by Jagtiani, Julapa & Li, Wenli

  • 2014 The Rise and Fall of Demand for Securitizations
    by Chernenko, Sergey & Hanson, Samuel Gregory & Sunderam, Adi

  • 2014 Were There Fire Sales in the RMBS Market?
    by Merrill, Craig B. & Nadauld, Taylor & Stulz, Rene M. & Sherlund, Shane M.

  • 2014 Why Do Banks Practice Regulatory Arbitrage? Evidence from Usage of Trust Preferred Securities
    by Boyson, Nicole M. & Fahlenbrach, Rudiger & Stulz, Rene M.

  • 2014 Financial globalization or great financial expansion? The impact of capital flows on credit and banking crises
    by Jon Frost & Ruben van Tilburg

  • 2014 Determinants of the real impact of banking crises: A review and new evidence
    by Philip Wilms & Job Swank & Jakob de Haan

  • 2014 Dynamic visualization of large transaction networks: the daily Dutch overnight money market
    by Ronald Heijmans & Richard Heuver & Clement Levallois & Iman van Lelyveld

  • 2014 Identifying and dating systemic banking crises using incidence and size of bank failures
    by Raymond Chaudron & Jakob de Haan

  • 2014 Local Banking and Local Economic Growth in Italy: Some Panel Evidence
    by Guglielmo Maria Caporale & Stefano Di Colli & Roberto Di Salvo & Juan Sergio Lopez

  • 2014 Uncertainty of Macroeconomic Forecasters and the Prediction of Stock Market Bubbles
    by Helmut Herwartz & Konstantin A. Kholodilin

  • 2014 News Media Sentiment and Investor Behavior
    by Roman Kräussl & Elizaveta Mirgorodskaya

  • 2014 The 2011 European Short Sale Ban: An Option Market Perspective
    by Roman Kräussl & Luiz Félix & Philip Stork

  • 2014 Runs on Money Market Funds
    by Schmidt, Lawrence & Timmermann, Allan G & Wermers, Russ

  • 2014 Liquidity Risk and the Dynamics of Arbitrage Capital
    by Kondor, Péter & Vayanos, Dimitri

  • 2014 Bank Capital and Dividend Externalities
    by Acharya, Viral V & Le, Hanh & Shin, Hyun Song

  • 2014 The Impact of News and the SMP on Realized (Co)Variances in the Eurozone Sovereign Debt Market
    by Beetsma, Roel & de Jong, Frank & Giuliodori, Massimo & Widijanto, Daniel

  • 2014 Never Say Never: Commentary on a Policymaker’s Reflections
    by Obstfeld, Maurice

  • 2014 Testing Macroprudential Stress Tests: The Risk of Regulatory Risk Weights
    by Acharya, Viral V & Engle III, Robert F & Pierret, Diane

  • 2014 Capital Regulation in a Macroeconomic Model with Three Layers of Default
    by Clerc, Laurent & Derviz, Alexis & Mendicino, Caterina & Moyen, Stéphane & Nikolov, Kalin & Stracca, Livio & Suarez, Javier & Vardoulakis, Alexandros

  • 2014 Betting the House
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.

  • 2014 Financial Constraints in Search Equilibrium
    by Boeri, Tito & Garibaldi, Pietro & Moen, Espen R

  • 2014 Bank Liabilities Channel
    by Quadrini, Vincenzo

  • 2014 Inspecting the Mechanism: Leverage and the Great Recession in the Eurozone
    by Martin, Philippe & Philippon, Thomas

  • 2014 The Great Mortgaging: Housing Finance, Crises, and Business Cycles
    by Jordà, Òscar & Schularick, Moritz & Taylor, Alan M.

  • 2014 Endogenous Contractual Externalities
    by Ozdenoren, Emre & Yuan, Kathy

  • 2014 The Euro Area Crisis: Politics over Economics
    by Orphanides, Athanasios

  • 2014 Measuring too-big-to-fail funding advantages from small banks’ CDS spreads
    by Michiel Bijlsma & Jasper Lukkezen & Kristina Marinova

  • 2014 Banks, Financial Markets and Growth in Developed Countries: a Survey of the empirical literature
    by Michiel Bijlsma & Andrei Dubovik

  • 2014 A dynamic quantitative macroeconomic model of bank runs
    by Mattana, Elena & Panetti, Ettore

  • 2014 Systemic risk and the solvency-liquidity nexus of banks
    by PIERRET, Diane

  • 2014 A case for redistribution? Income inequality and wealth concentration in the recent crisis
    by Thomas Goda & Özlem Onaran & Engelbert Stockhammer

  • 2014 A multi-layer network of the sovereign securities market
    by Carlos León & Jhonatan Pérez & Luc Renneboog

  • 2014 Burbujas en precios de activos financieros: existencia, persistencia y migración
    by Juan Pablo Franco & José E. Gómez González & Jair N. Ojeda & Jhon Edward Torres

  • 2014 Banking Fragility in Colombia: An Empirical Analysis Based on Balance Sheets
    by Ignacio Lozano & Alexander Guarín

  • 2014 Banking and Currency Crises: Differential Diagnostics for Developed Countries
    by Mark Joy & Marek Rusnak & Katerina Smidkova & Borek Vasicek

  • 2014 Capital Regulation In A Macroeconomic Model With Three Layers Of Default
    by Laurent Clerc & Alexis Derviz & Caterina Mendicino & Stéphane Moyen & Kalin Nikolov & Livio Stracca & Javier Suarez & Alexandros P. Vardoulakis

  • 2014 Central Bank Currency Swaps and the International Monetary System
    by Christophe Destais

  • 2014 Costly Financial Intermediation and Excess Consumption Volatility
    by Sapci, Ayse

  • 2014 Financial disruption as a cost of soverign default: a quantative assessment
    by Andre Diniz & Bernardo Guimaraes

  • 2014 The Spatial Probit Model – An Application to the Study of Banking Crises at the End of the 90’s
    by Andrea Amaral & Margarida Abreu & Victor Mendes

  • 2014 ECB Collateral Criteria: A Narrative Database 2001–2013
    by Jakob Eberl & Christopher Weber

  • 2014 I Spy with my Little Eye... a Banking Crisis - Early Warnings and Incentive Schemes in Banks
    by Hendrik Hakenes & Friederike Schlegel

  • 2014 The Great Mortgaging: Housing Finance, Crises, and Business Cycles
    by Òscar Jordà & Moritz Schularick & Alan M. Taylor

  • 2014 Political Booms, Financial Crises
    by Helios Herrera & Guillermo Ordonez & Christoph Trebesch

  • 2014 Spillovers from Systemic Bank Defaults
    by Mark Mink & Jakob de Haan

  • 2014 Credit Market Competition and Liquidity Crises
    by Elena Carletti & Agnese Leonello

  • 2014 Iceland: How Could This Happen?
    by Thorvaldur Gylfason

  • 2014 Securitization under Asymmetric Information over the Business Cycle
    by Martin Kuncl

  • 2014 Financial Constraints in Search Equilibrium: Mortensen and Pissarides Meet Holmstrom and Tirole
    by Tito Boeri & Pietro Garibaldi & Espen R. Moen

  • 2014 Another viewpoint on investment funds. And their opaque governance
    by Rodolfo Apreda

  • 2014 A Transitions-Based Model of Default for Irish Mortgages
    by Kelly, Robert & O'Malley, Terence

  • 2014 Corporate Financing Choices after the 2007-2008 Financial Crisis
    by João Pinto & Mário Coutinho dos Santos

  • 2014 The Economics of Securitization: Evidence from the European Markets
    by João Pinto

  • 2014 Indirect Contagion in an Originate-to-Distribute Banking Model
    by Andrea Pinna

  • 2014 Financial Centre Productivity and Innovation prior to and during the Financial Crisis
    by Claudia Curi & Ana Lozano-Vivas

  • 2014 Overcoming the EU Crisis and Prospects for a Political Union
    by Paul J.J. Welfens

  • 2014 Dynamic Spanning Tree Approach - The Case Of Asia-Pacific Stock Markets
    by Ahmet Sensoy & Benjamin M. Tabak

  • 2014 Spotting the Danger Zone - Forecasting Financial Crises with Classification Tree Ensembles and Many Predictors
    by Felix Ward

  • 2014 Fiscal Policy Announcements of Italian Governments and Spread Reaction during the Sovereign Debt Crisis
    by M. Falagiarda & W. D. Gregori

  • 2014 Luck vs Skill in Gambling over the Recession. Evidence from Italy
    by S. Capacci & E. Randon & A. E. Scorcu

  • 2014 Crisis performance of European banks – does management ownership matter?
    by Westman, Hanna

  • 2014 Leading indicators of systemic banking crises: Finland in a panel of EU countries
    by Lainà, Patrizio & Nyholm, Juho & Sarlin, Peter

  • 2014 Ending over-lending : Assessing systemic risk with debt to cash flow
    by Sarlin, Peter & Ramsay, Bruce A.

  • 2014 Bubbles and crises: The role of house prices and credit
    by André K. Anundsen & Frank Hansen & Karsten Gerdrup & Kasper Kragh-Sørensen

  • 2014 The Real Estate and Credit Bubble: Evidence from Spain
    by Ozlem Akin & José García-Montalvo & Jaume Garcia-Villar & José-Luis Peydró & Josep M. Raya

  • 2014 Macroprudential framework:key questions applied to the French case
    by Bennani, T. & Després, M. & Dujardin, M. & Duprey, T. & Kelber, A.

  • 2014 What is the information content of the SRISK measure as a supervisory tool?
    by S. Tavolaro & F. Visnovsky

  • 2014 Capital Regulation in a Macroeconomic Model with Three Layers of Default
    by L. Clerc & A. Derviz & C. Mendicino & S. Moyen & K. Nikolov & L. Stracca & J. Suarez & A. P. Vardoulakis

  • 2014 Bank Capital Adjustment Process and Aggregate Lending
    by T. Duprey & M. Lé

  • 2014 Financial indicators and density forecasts for US output and inflation
    by Piergiorgio Alessandri & Haroon Mumtaz

  • 2014 Are Sovereign Wealth Funds contrarian investors?
    by Alessio Ciarlone & Valeria Miceli

  • 2014 Bank bonds: size, systemic relevance and the sovereign
    by Andrea Zaghini

  • 2014 The role of leverage in firm solvency: evidence from bank loans
    by Emilia Bonaccorsi di Patti & Alessio D�Ignazio & Marco Gallo & Giacinto Micucci

  • 2014 EU bank deleveraging
    by Pierluigi Bologna & Marianna Caccavaio & Arianna Miglietta

  • 2014 Euro Area (cross-border?) banking
    by Pierluigi Bologna & Marianna Caccavaio

  • 2014 An indicator of systemic liquidity risk in the Italian financial markets
    by Eleonora Iachini & Stefano Nobili

  • 2014 How to measure the unsecured money market? The Eurosystem�s implementation and validation using TARGET2 data
    by Luca Arciero & Ronald Heijmans & Richard Heuver & Marco Massarenti & Cristina Picillo & Francesco Vacirca

  • 2014 The negative feedback loop between banks and sovereigns
    by Paolo Angelini & Giuseppe Grande & Fabio Panetta

  • 2014 Flight-to-liquidity flows in the euro area sovereign debt crisis
    by Juan Ángel García & Ricardo Gimeno

  • 2014 Banking crises and sovereign defaults in emerging markets: exploring the links
    by Irina Balteanu & Aitor Erce

  • 2014 Short-sale constraints and financial stability: Evidence from the Spanish market
    by Óscar Arce & Sergio Mayordomo

  • 2014 Banks’ Financial Distress, Lending Supply and Consumption Expenditure
    by H. Evren Damar & Reint Group & Adi Mordel

  • 2014 Credit Market Frictions and Sudden Stops
    by Yuko Imura

  • 2014 Predicting Financial Stress Events: A Signal Extraction Approach
    by Ian Christensen & Fuchun Li

  • 2014 Capital Flows and Macroprudential Policies - A Multilateral Assessment of Effectiveness and Externalities
    by John Beirne & Christian Friedrich

  • 2014 Information, Amplification and Financial Crisis
    by Toni Ahnert & Ali Kakhbod

  • 2014 Rollover Risk, Liquidity and Macroprudential Regulation
    by Toni Ahnert

  • 2014 Monetary Policy Transmission during Financial Crises: An Empirical Analysis
    by Tatjana Dahlhaus

  • 2014 Removal of the Unwinding Provisions in the Automated Clearing Settlement System: A Risk Assessment
    by Nicolas Labelle & Varya Taylor

  • 2014 Financial regimes and uncertainty shocks
    by Piergiorgio Alessandri & Haroon Mumtaz

  • 2014 Endogenous Liquidity and the Business Cycle
    by Saki Bigio

  • 2014 Spillovers, capital flows and prudential regulation in small open economies
    by Paul Castillo & Cesar Carrera & Marco Ortiz & Hugo Vega

  • 2014 Sovereign spreads and financial market behavior before and during the crisis
    by Pawel Gajewski & & &

  • 2014 Is Access to Credit a Constraint for Latin American Enterprises? An Empirical Analysis with Firm-Level Data
    by Andrea Filippo Presbitero & Roberta Rabellotti

  • 2014 Bank asset reallocation and sovereign debt
    by Michele Fratianni & Francesco Marchionne

  • 2014 Derivatives and Non-Financial Companies: Lessons from the Financial Crisis
    by Rodrigo M. Zeidan

  • 2014 Un external compact per rilanciare l'Europa
    by Alberto Bagnai

  • 2014 Banking and Sovereign Debt Crises in a Monetary Union Without Central Bank Intervention
    by Jing Cheng & Meixing Dai & Frédéric Dufourt

  • 2014 Forward looking banking stress in EMU countries
    by Manish K. Singh & Marta Gómez-Puig & Simón Sosvilla-Rivero

  • 2014 The Short-Run Pricing Behavior of Closed-End Funds: Bond vs. Equity Funds
    by Seth Anderson & T. Randolph Beard & Hyeongwoo Kim & Liliana Stern

  • 2014 Measuring the Behavioral Component of Financial Fluctuations: An Analysis Based on the S&P 500
    by Massimiliano Caporin & Luca Corazzini & Michele Costola

  • 2014 Chasing volatility - A persistent multiplicative error model with jumps
    by Massimiliano Caporin & Eduardo Rossi & Paolo Santucci de Magistris

  • 2014 Volatility jumps and their economic determinants
    by Massimiliano Caporin & Eduardo Rossi & Paolo Santucci de Magistris

  • 2014 Price discovery in dual-class shares across multiple markets
    by Marcelo Fernandes & Cristina M. Scherrer

  • 2014 The Effectiveness of Capital Adequacy Measures in Predicting Bank Distress
    by David G. Mayes & Hanno Stremmel

  • 2014 External Adjustment, Global Imbalances, Valuation Effects
    by Gourinchas, Pierre-Olivier & Rey, Hélène

  • 2014 Extreme Financial Risks and Asset Allocation
    by Olivier Le Courtois & Christian Walter

  • 2014 Contingent Convertibles [CoCos]:A Potent Instrument for Financial Reform
    by George M von Furstenberg

  • 2014 Towards contemporary issues in the financial system
    by

  • 2014 How Can the Crisis Vulnerability of Emerging Economies Be Reduced?
    by Klaus Abberger & Biswa Nath Bhattacharyay & Chang Woon Nam & Gernot Nerb & Siegfried Schoenherr

  • 2014 Conservation laws, financial entropy and the Eurozone crisis
    by Cockshott, Paul & Zachariah, David

  • 2014 Banking integration and efficiency convergence in Baltic countries in post-crisis period
    by Mihaita Cosmin POPOVICI

  • 2014 Interdependence of NAFTA Capital Markets: A Minimum Variance Portfolio Approach
    by Francisco López-Herrera & Roberto J. & Edgar Ortiz

  • 2014 Did Economic Inequality Cause the Economic Crisis
    by Danilo Šuković

  • 2014 The European Central Bank and the US Federal Reserve as Lender of Last Resort
    by Hansjörg Herr

  • 2014 Impact Of Systemic Banking Crises On Macroeconomic Policy
    by COCIUG, Victoria & POSTOLACHE (DOGOTARI), Victoria

  • 2014 Financial Innovations And Prudential Regulation - Impact Of New Rules Of Basel Iii
    by COCIUG, Victoria & DOGOTARI (Postolache), Victoria

  • 2014 Reference Points For Financial Instability In The Euro Zone Candidates Countries
    by CRISTE, Adina

  • 2014 Economic And Financial Risk Taking In Central And Eastern European Countries
    by LUPU, Iulia

  • 2014 The Currency Crisis Trigger Of The Romanian Financial Crisis Of 2008
    by SOVIANI, Radu

  • 2014 The Current Account Of Romania Evolution, Factors Of Influence, Financing
    by MILEA, Camelia

  • 2014 Aspects Of The Euro Area Financial System Fragmentation
    by ALINICA, Alina Georgeta

  • 2014 Economic crises, what we learn from history and economic theory
    by Gabriella Chiesa & Luigi Filippini

  • 2014 Un análisis de la regulación andaluza de secciones de crédito
    by Amalia Hidalgo-Fernández & Francisco Javier Bernabéu Aguilera

  • 2014 Lessons for China from Financial Liberalization in Scandinavia
    by Hongyi Chen & Lars Jonung & Olaf Unteroberdoerster

  • 2014 The More Divergent, the Better? Lessons on Trilemma Policies and Crises for Asia
    by Joshua Aizenman & Hiro Ito

  • 2014 Cross-Border Listings And Price Discovery. Evidence From Chinese Companies Triple-Listed In Shanghai, Hong Kong And New York
    by Xiaoou YANG & Peng KUN

  • 2014 Microeconomic Determinants Of Losses In Financial Institutions During The Crisis
    by Alessandra CEPPARULO & Antonio FORTE

  • 2014 A Tale Of Two Euro-Zones. Banks' Funding, Sovereign Risk And Unconventional Monetary Policies
    by Nicolas FULLI-LEMAIRE

  • 2014 Financial Crisis & Passenger Shipping: Evidence from Greece
    by Evangelos Sambracos & Marina Maniat

  • 2014 Impact Of The Fii'S Indian Equity Investment Behavior On The Bric Countries' Stock Market Volatility During The Subprime Crisis. An Empirical Investigation
    by AMANJOT SINGH & PARNEET KAUR

  • 2014 Deep Roots of Fiscal Behavior
    by Serhan Cevik & Katerina Teksoz

  • 2014 Macroprudential Banking Regulation: Does One Size Fit All?
    by Doris Neuberger & Roger Rissi

  • 2014 Nadmierne zadłużenie krajów rozwiniętych gospodarczo
    by Jan Sulmicki

  • 2014 Zagrożenia wynikające z ingerencji państwa w chiński system bankowy
    by Alicja Bisewska

  • 2014 Stock Market's Reactions to Revelation of Tax Evasion: An Empirical Assessment
    by Andreas Brunhart

  • 2014 Inflation Expectations, Central Bank Credibility and the Global Financial Crisis
    by Petra Gerlach-Kristen & Richhild Mössner

  • 2014 Changing Perceptions of Maturity Mismatch in the U.S. Banking System: Evidence from Equity Markets
    by Andrew T. Young & Travis Wiseman & Thomas L. Hogan

  • 2014 Macroeconometric Stabilization And Imf Policies: A Surveillance Of Inflation
    by WARBURTON, C.E.S.

  • 2014 Flaws in the Marxian Explanations of the Great Recession
    by Ismael Hossein-zadeh

  • 2014 Capitalism, Crisis, and Class
    by Mathieu Dufour & Özgür Orhangazi

  • 2014 Historical Precedents, Contemporary Manifestations
    by Thomas Marois

  • 2014 The Market Structure of Securitisation and the US Housing Bubble
    by Susan Wachter

  • 2014 Financial Innovations and the Stability of the Housing Market
    by Franklin Allen & James R. Barth & Glenn Yago

  • 2014 India’s Import Tariff Evaluation during Recent Financial Crisis
    by Priyanka Sinha & Nalin Bharti

  • 2014 Determinants Of Commercial Bank Liquidity In Hungary
    by Pavla Vodová

  • 2014 Sovereign wealth funds – public investment vehicles, foreign policy element. Comparative evolution in the international context
    by Doina Draniceanu

  • 2014 Causes And Effects Of The Global Decrease In Demand
    by Krajisnik, Milenko

  • 2014 Fundamental Analysis And Discounted Free Cash Flow Valuation Of Stocks At Macedonian Stock Exchange
    by Ivanovski, Zoran & Ivanovska, Nadica & Narasanov, Zoran

  • 2014 The Vulnerability Of Smes In The Economic Crisis
    by Nicolae , ŢÂU & Raluca Ionela , CREŢOIU

  • 2014 Israeli-Hezbollah War and Global Financial Crisis in the Middle East and North African Equity Markets
    by Bouri, Elie I

  • 2014 Financialization and Desire. A Veblenian Perspective
    by Kelly, Henry Edward

  • 2014 Financial Capital and Industrial Capital. A Dichotomy that Tends to Evolve into an Antinomy
    by Garofalo, Giuseppe & Guarini, Giulio

  • 2014 Veblen, Economic Policy and the Present Crisis
    by Ramazzotti, Paolo

  • 2014 Credit Spreads during the Global Financial Crisis: Evidence from the Japanese Bond Market
    by Yüksel, Aydın & Yüksel, Aslı

  • 2014 Comparing «Realized volatility» models in the VaR calculation for the Russian equity market
    by Shcherba, Alexandr

  • 2014 The Financial Crisis and the Management of Change in the Banking Sector
    by Alexandra Micu

  • 2014 Unconventional Optimal Open Market Purchases
    by Chao Gu & Joseph Haslag

  • 2014 A Time-Varying Performance Evaluation of Hedge Fund Strategies through Aggregation
    by Monica Billio & Lorenzon Frattarolo & Lauriana Pelizzon

  • 2014 CRR/CRD IV: the trees and the forest
    by Rainer Masera

  • 2014 CRR/CRD IV: the trees and the forest
    by Rainer Masera

  • 2014 Minsky and dynamic macroprudential regulation
    by Jan Kregel

  • 2014 Determinanty integrácie akciových trhov krajín V4
    by Eduard Baumöhl

  • 2014 Pomoc ohroženým bankám - teorie, realita a měnové dopady
    by Zbyněk Revenda

  • 2014 Konstrukce výnosových křivek v pokrizovém období
    by Jaroslav Baran & Jiří Witzany

  • 2014 Cenové skoky během finanční nejistoty: od intuice k regulační perspektivě
    by Jan Hanousek & Jan Novotný

  • 2014 Měnová politika: krátkodobá stabilizace versus dlouhodobá rizika
    by Eva Zamrazilová

  • 2014 Systemic Risk of the Global Banking System - An Agent-Based Network Model Approach
    by Tomáš Klinger & Petr Teplý

  • 2014 Systemic Risk Indicator
    by Milan Šimáček

  • 2014 Behavioural and Empirical Topics for Discussion on Economic Science Paradigms
    by Jaroslav Danhel & Eva Duchackova

  • 2014 Modelling Interconnections in the Global Financial System in the Light of Systemic Risk
    by Tomáš Klinger & Petr Teply

  • 2014 Budget amendment – cause and effect
    by Roxana Ispas

  • 2014 Comparative Analysis Of The Bankrupt Companies Of The Sector Of Animal Slaughtering And Processing
    by Sebastian Tomczak

  • 2014 Budgetary Discipline And Internal Devaluation – Estonian Method To Overcome The Crisis
    by Bernadeta Baran

  • 2014 NGOs as providers of the social welfare services in cooperation with local authorities in the times of financial crisis
    by Halina Waniak-Michalak

  • 2014 The Financial Integration in Romania and in the New Member States of the European Union
    by Milea Camelia

  • 2014 Indicators for Measuring the Evolution of Local Budget Expenditure at the National Level, within the 2006-2012
    by Vezure Oana Sabina & Lupulescu-Cãruntu Roxana-Corina

  • 2014 Management and Financial Crisis Effects in the Period 2005 - 2009 in Romania
    by Anastase (Bãdulescu ) Ileana & Andru?ca Carmen Maria

  • 2014 The Influence of the Financial Crisis on European Club Football
    by Dima Teodor

  • 2014 Financial Sustainability of the Company
    by Vlad Costicã

  • 2014 The Macroprudential Policy- Challenges and Perspectives at the European Level
    by Nucu Anca Elena & Roman Angela

  • 2014 Short Term Solutions For The Financial Crisis
    by Andreas Will

  • 2014 The Crisis, New Eu Policies, And The Republic Of Croatia
    by Mladen Vedris

  • 2014 The Impact Of The Financial Crisis On Long Memory: Evidence From European Banking Indices
    by Pece Andreea Maria & Mihut Ioana Sorina & Oros Olivera Ecaterina

  • 2014 Impact Of The Global Financial Crisis On Sovereign Debt In The European Union
    by Condea Bogdan Virgil & Harangus Daniela

  • 2014 Globalization And The Evolution Of The Global Financial System In The Current Financial Crisis
    by Boghean Carmen

  • 2014 Characteristics Of The Emerging Market Economies - Brics, From The Perspective Of Stock Exchange Markets
    by Sechel Ioana-Cristina & Ciobanu Gheorghe

  • 2014 Significant Aspects Related To Financial Instability In Romania, Under The Constraints Imposed By The European Integration
    by Mihaiteanu Sanda

  • 2014 How Did CESEE Households Weather the Crisis? Evidence from the OeNB Euro Survey
    by Majken Corti & Thomas Scheiber

  • 2014 Finance, Potential Output and the Business Cycle: Empirical Evidence from Selected Advanced and CESEE Economies
    by Dominik Bernhofer & Octavio Fernández-Amador & Martin Gächter & Friedrich Sindermann

  • 2014 Problems in the international financial system
    by Adrian Blundell-Wignall & Caroline Roulet

  • 2014 Tracing the origins of the financial crisis
    by Paul Ramskogler

  • 2014 Comparative Analysis of Sovereign Debt between Eastern and Southern European Countries
    by Nilolay Nenovski & Tsvetelina Marinova

  • 2014 Impact Of The Financial Crisis On Small And Middle Enterprises In Romania. The Differences Between Urban And Rural Evolutions
    by Ionut Busega

  • 2014 The Dilemma Of Demand Side Policies Versus Supply Side Policies For Relaunching Capitalist Economies
    by Petre Prisecaru

  • 2014 Should Banks' Stress Test Results be Disclosed? An Analysis of the Costs and Benefits
    by Goldstein, Itay & Sapra, Haresh

  • 2014 Recovery from crises and lending
    by Katalin Bodnár & Zsolt Kovalszky & Emese Hudák

  • 2014 Credit crunch in Hungary between 2009 and 2013: is the creditless period over?
    by Ádám Balog & György Matolcsy & Nagy Márton & Balázs Vonnák

  • 2014 Accounting Standards and Market Value of Firms with Pension Plans
    by Sara Paralta

  • 2014 Las crisis bancarias en España: Una perspectiva histórica/Banking Crisis in Spain: A Historical Perspective
    by SUDRIÀ, CARLES

  • 2014 Bank management in bank decline: Bank mergers as a recovery recipe?
    by Anders Kjellman & Risto Tainio & Taisto Kangas

  • 2014 Bank failures and mergers in Turkey: 1992-2014
    by Meral Varish Kiefer

  • 2014 Financial bubbles and recent behaviour of the Latin American stock markets
    by Jorge Uribe & Julián Fernández

  • 2014 Válság és válságkezelés Görögországban. A puha költségvetési korlát szerepe a gazdasági összeomlásban
    by Győrffy, Dóra

  • 2014 Romanian Banking System: The Degree Of Financial Intermediation After The Financial Crisis
    by Mihaita-Cosmin POPOVICI

  • 2014 On The Relationship Between Foreign Direct Investments And Economic Growth. Romania In Times Of Crisis
    by Oana-Ramona SOCOLIUC & Andreea-Oana IACOBUTA & Delia-Elena DIACONASU

  • 2014 The Economic Partnership Between The Netherlands And Usa
    by Razvan Hagima

  • 2014 Hotel Managers’ Perceptions Of The Impact Of Some Global Phenomena On Tourism. Case Study Romania - Italy
    by Mirela Stefanica & Gina Ionela Butnaru

  • 2014 Bank Stock Volatility And Contagion: An Empirical Investigation With Application Of Multivariate Garch Models
    by WIDED BEN MOUSSA

  • 2014 Global financial crisis and contagion: evidence for the Ebrici economies
    by Krishna Reddy Chittedi*

  • 2014 The impact of Mena conflicts (the Arab spring) on global financial markets
    by Mohammad Mahdi Mousavi & Jamal Ouenniche

  • 2014 The effect of financial crisis on hiring and separation rates: evidence from Tunisian labor market
    by Ilham Haouas & Mahmoud Yagoubi & Sergio Salvino Guirreri

  • 2014 Introducing Funding Liquidity Risk in a Macro Stress-Testing Framework
    by Céline Gauthier & Moez Souissi & Xuezhi Liu

  • 2014 Accomplishment of Banking Union in 2014. The Stage of the Three Pillars
    by Petre Prisecaru

  • 2014 Eco-Bio-Management of Global Risks - A Necessity in a World of Vulnerabilities Where Eco-Bio-Economy Is Required to Accomplish Eco-Sano-Genesis
    by Elena GURGU & Cosmina Silviana SAVU

  • 2014 The Irish Banking Crisis
    by Arthur L. Centonze

  • 2014 Market Reaction to Acquisition Announcements after the 2008 Stock Market Crash
    by Ozge Uyger & Gulser Meric & Ilhan Meric

  • 2014 Weak Form Market Efficiency During the 2008 Financial Crisis: Evidence from the Muscat Securities Market
    by Sami Al Kharusi & Robert O. Weagley

  • 2014 Influence of External Factors on the Taiwan Stock Exchange
    by Chin-Wen Huang

  • 2014 Investor Overreaction in Asian and US Stock Markets: Evidence from the 2008 Financial Crisis
    by Yu-Nan Tai

  • 2014 The Financial Characteristics of Large and Small Firms Before and After the 2008 Stock Market Crash
    by Daniel Folkinshteyn & Gulser Meric

  • 2014 Determinants Of Non-Performing Loans In Nigeria
    by Olayinka Akinlo & Mofoluwaso Emmanuel

  • 2014 Monetary Policy Adjustment at the Global Financial Crisis Constraints
    by Adina Criste

  • 2014 Early Warning Indicators for a Financial Crises. The Case of Romania
    by Radu SOVIANI

  • 2014 The Volatility of Market Risk In Viet Nam Listed Public Utilities Company Groups during and after the Financial Crisis 2007-2009
    by Dinh Tran Ngoc Huy

  • 2014 The Comovement in Stock Price Indexes of Japan, United States, and China : Estimation of a Nonlinear Cointegration Model
    by Asako, Kazumi & Yan, Zhang & Liu, Zhentao

  • 2014 What makes large bank failures so messy and what should be done about it?
    by McAndrews, James J. & Morgan, Donald P. & Santos, Joao A. C. & Yorulmazer, Tanju

  • 2014 Bank resolution concepts, trade-offs, and changes in practices
    by White, Phoebe & Yorulmazer, Tanju

  • 2014 Matching collateral supply and financing demands in dealer banks
    by Kirk, Adam & McAndrews, James J. & Sastry, Parinitha & Weed, Phillip

  • 2014 Components of U.S. financial sector growth, 1950-2013
    by Antill, Samuel & Hou, David & Sarkar, Asani

  • 2014 Stability of funding models: an analytical framework
    by Eisenbach, Thomas M. & Keister, Todd & McAndrews, James J. & Yorulmazer, Tanju

  • 2014 Case studies on disruptions during the crisis
    by Yorulmazer, Tanju

  • 2014 Literature review on the stability of funding models
    by Yorulmazer, Tanju

  • 2014 The Dynamics of Sovereign Credit Default Swaps and the Evolution of the Financial Crisis in Selected Central European Economies
    by Agata Kliber

  • 2014 Türkiye’de 2008 Krizinin Eksik İstihdama Etkileri
    by Serdar Acun & Bayram Güneş

  • 2014 Asia, laboratorio de los capitalismos… y de las teorías económicas
    by Robert Boyer.

  • 2014 Bad Government as a Reason of Recent Financial Crisis in Europe
    by Maryam Jafary Galooyek & Zaleha Mohd Noor & Ehsan Rajabi

  • 2014 Expectativas cambiarias, selección adversa y liquidez
    by Jimmy Melo

  • 2014 Time scales and mechanisms of economic cycles: a review of theories of long waves
    by Lucas Bernard & Aleksandr V. Gevorkyan & Thomas I. Palley & Willi Semmler

  • 2014 Financial integration and national autonomy: China and India
    by Sunanda SeN

  • 2014 Inside shadow banking: understanding the doomsday machine
    by Wesley C. Marshall

  • 2014 Post-Keynesian stock-flow models after the subprime crisis: the need for micro-foundations
    by Photis Lysandrou

  • 2014 Una medida de estrés financiero para México y su relación con la actividad económica
    by Yahir López Chuken

  • 2014 Destabilizing a stable crisis: Employment persistence and government intervention in macroeconomics
    by Costa Lima, B. & Grasselli, M.R. & Wang, X.-S. & Wu, J.

  • 2014 The effects of news events on market contagion: Evidence from the 2007–2009 financial crisis
    by Chevapatrakul, Thanaset & Tee, Kai-Hong

  • 2014 On cross-currency transmissions between US dollar and euro LIBOR-OIS spreads
    by Tamakoshi, Go & Hamori, Shigeyuki

  • 2014 Complexity and endogenous instability
    by Al-Suwailem, Sami

  • 2014 The prospects of BRIC countries: Testing weak-form market efficiency
    by Mobarek, Asma & Fiorante, Angelo

  • 2014 Does sovereign risk matter? New evidence from eurozone corporate bond ratings and zero-volatility spreads
    by Klein, Christian & Stellner, Christoph

  • 2014 Foreign exchange rate exposure: Evidence from Canada
    by Al-Shboul, Mohammad & Anwar, Sajid

  • 2014 A view to the long-run dynamic relationship between crude oil and the major asset classes
    by Turhan, M. Ibrahim & Sensoy, Ahmet & Ozturk, Kevser & Hacihasanoglu, Erk

  • 2014 Financial crisis and the dynamics of corporate governance: Evidence from Taiwan's listed firms
    by Chen, I-Ju

  • 2014 The euro area sovereign debt crisis: Can contagion spread from the periphery to the core?
    by Gorea, Denis & Radev, Deyan

  • 2014 Wavelet-based evidence of the impact of oil prices on stock returns
    by Reboredo, Juan C. & Rivera-Castro, Miguel A.

  • 2014 The impact of preferences on early warning systems — The case of the European Commission's Scoreboard
    by Knedlik, Tobias

  • 2014 Currency jumps and crises: Do developed and emerging market currencies jump together?
    by Chan, Kam Fong & Powell, John G. & Treepongkaruna, Sirimon

  • 2014 The differential impact of monetary policy announcements and explanatory minutes releases on the Australian interest rate futures market
    by McCredie, Bronwyn & Docherty, Paul & Easton, Steve & Uylangco, Katherine

  • 2014 Basel III, capital stability, risk-taking, ownership: Evidence from Asia
    by Chalermchatvichien, Pichaphop & Jumreornvong, Seksak & Jiraporn, Pornsit

  • 2014 Interest rate pass-through in the Euro area during the financial crisis: A multivariate regime-switching approach
    by Aristei, David & Gallo, Manuela

  • 2014 Systematic cyclicality of systemic bubbles: Evidence from the U.S. commercial banking system
    by Kim, Myeong Hyeon & Kim, Baeho

  • 2014 Ireland’s Economic Crisis: The Good, the Bad and the Ugly
    by Whelan, Karl

  • 2014 Lessons for Monetary Policy from the Euro-Area Crisis
    by Goodhart, C.A.E.

  • 2014 Leverage, Default, and Forgiveness: Lessons from the American and European Crises
    by Geanakoplos, John

  • 2014 The Eurozone Crisis: Phoenix Miracle or Lost Decade?
    by Eichengreen, Barry & Jung, Naeun & Moch, Stephen & Mody, Ashoka

  • 2014 The European Crisis and the Role of the Financial System
    by Constâncio, Vítor

  • 2014 The Crisis in the Euro Area: An Analytic Overview
    by Gibson, Heather D. & Palivos, Theodore & Tavlas, George S.

  • 2014 Impacts of the financial crisis on eurozone sovereign CDS spreads
    by Gündüz, Yalin & Kaya, Orcun

  • 2014 A unified approach to investigate pure and wake-up-call contagion: Evidence from the Eurozone's first financial crisis
    by Ludwig, Alexander

  • 2014 The political determinants of sovereign bond yield spreads
    by Eichler, Stefan

  • 2014 Borrowing constraints during the housing bubble
    by Barakova, Irina & Calem, Paul S. & Wachter, Susan M.

  • 2014 Corporate distress and lobbying: Evidence from the Stimulus Act
    by Adelino, Manuel & Dinc, I. Serdar

  • 2014 Uncertainty, market structure, and liquidity
    by Chung, Kee H. & Chuwonganant, Chairat

  • 2014 Predatory lending and the subprime crisis
    by Agarwal, Sumit & Amromin, Gene & Ben-David, Itzhak & Chomsisengphet, Souphala & Evanoff, Douglas D.

  • 2014 Safer ratios, riskier portfolios: Banks׳ response to government aid
    by Duchin, Ran & Sosyura, Denis

  • 2014 Lévy jump risk: Evidence from options and returns
    by Ornthanalai, Chayawat

  • 2014 Crises and confidence: Systemic banking crises and depositor behavior
    by Osili, Una Okonkwo & Paulson, Anna

  • 2014 Macroeconomic effects of corporate default crisis: A long-term perspective
    by Giesecke, Kay & Longstaff, Francis A. & Schaefer, Stephen & Strebulaev, Ilya A.

  • 2014 Betting against beta
    by Frazzini, Andrea & Pedersen, Lasse Heje

  • 2014 Money, financial stability and efficiency
    by Allen, Franklin & Carletti, Elena & Gale, Douglas

  • 2014 Introduction to financial economics
    by Allen, Franklin & Vayanos, Dimitri & Vives, Xavier

  • 2014 The stock market impact of government interventions on financial services industry groups: Evidence from the 2007–2009 crisis
    by Pennathur, Anita & Smith, Deborah & Subrahmanyam, Vijaya

  • 2014 Second-order beliefs and the individual investor
    by Egan, Daniel & Merkle, Christoph & Weber, Martin

  • 2014 A spatial–temporal analysis of East Asian equity market linkages
    by Tam, Pui Sun

  • 2014 Global financial crisis, corporate governance, and firm survival:
    by Iwasaki, Ichiro

  • 2014 Sell-side analysts’ career concerns during banking stresses
    by Nolte, Ingmar & Nolte, Sandra & Vasios, Michalis

  • 2014 Semiparametric estimation of multi-asset portfolio tail risk
    by Dias, Alexandra

  • 2014 Central bank liquidity provision and collateral quality
    by Koulischer, François & Struyven, Daan

  • 2014 Funding advantage and market discipline in the Canadian banking sector
    by Beyhaghi, Mehdi & D’Souza, Chris & Roberts, Gordon S.

  • 2014 Banking risk and macroeconomic fluctuations
    by Jin, Yi & Zeng, Zhixiong

  • 2014 Bank risk within and across equilibria
    by Agur, Itai

  • 2014 Discretionary ratings and the pricing of subprime mortgage-backed securities
    by Lugo, Stefano

  • 2014 Socially responsible funds and market crises
    by Nofsinger, John & Varma, Abhishek

  • 2014 Bank pay caps, bank risk, and macroprudential regulation
    by Thanassoulis, John

  • 2014 Structural breaks in volatility spillovers between international financial markets: Contagion or mere interdependence?
    by Jung, R.C. & Maderitsch, R.

  • 2014 Assessing the contribution of banks, insurance and other financial services to systemic risk
    by Bernal, Oscar & Gnabo, Jean-Yves & Guilmin, Grégory

  • 2014 Is the Euro-zone on the Mend? Latin American examples to analyze the Euro question
    by Cavallo, Eduardo A. & Fernández-Arias, Eduardo & Powell, Andrew

  • 2014 Macro-Networks: An application to euro area financial accounts
    by Castrén, Olli & Rancan, Michela

  • 2014 The impact of the sovereign debt crisis on the activity of Italian banks
    by Albertazzi, Ugo & Ropele, Tiziano & Sene, Gabriele & Signoretti, Federico Maria

  • 2014 Stability analysis of financial contagion due to overlapping portfolios
    by Caccioli, Fabio & Shrestha, Munik & Moore, Cristopher & Farmer, J. Doyne

  • 2014 Derivatives holdings and systemic risk in the U.S. banking sector
    by Mayordomo, Sergio & Rodriguez-Moreno, Maria & Peña, Juan Ignacio

  • 2014 Liquidity risk in stock returns: An event-study perspective
    by Cao, Charles & Petrasek, Lubomir

  • 2014 Guarantees, transparency and the interdependency between sovereign and bank default risk
    by König, Philipp & Anand, Kartik & Heinemann, Frank

  • 2014 Measuring systemic risk-adjusted liquidity (SRL)—A model approach
    by Jobst, Andreas A.

  • 2014 Predicting distress in European banks
    by Betz, Frank & Oprică, Silviu & Peltonen, Tuomas A. & Sarlin, Peter

  • 2014 Determinants of financial stress in emerging market economies
    by Park, Cyn-Young & Mercado, Rogelio V.

  • 2014 Liquidity, leverage, and Lehman: A structural analysis of financial institutions in crisis
    by Chen, Ren-Raw & Chidambaran, N.K. & Imerman, Michael B. & Sopranzetti, Ben J.

  • 2014 Liquidity effects in corporate bond spreads
    by Helwege, Jean & Huang, Jing-Zhi & Wang, Yuan

  • 2014 Macro-financial determinants of the great financial crisis: Implications for financial regulation
    by Caprio, Gerard & D’Apice, Vincenzo & Ferri, Giovanni & Puopolo, Giovanni Walter

  • 2014 Large shocks in the volatility of the Dow Jones Industrial Average index: 1928–2013
    by Charles, Amélie & Darné, Olivier

  • 2014 The effect on competition of banking sector consolidation following the financial crisis of 2008
    by Pérez Montes, Carlos

  • 2014 Integration of European bond markets
    by Christiansen, Charlotte

  • 2014 The dynamics of spillover effects during the European sovereign debt turmoil
    by Alter, Adrian & Beyer, Andreas

  • 2014 What factors drive systemic risk during international financial crises?
    by Weiß, Gregor N.F. & Bostandzic, Denefa & Neumann, Sascha

  • 2014 The impacts of Gramm–Leach–Bliley bank diversification on value and risk
    by Filson, Darren & Olfati, Saman

  • 2014 Has market discipline on banks improved after the Dodd–Frank Act?
    by Balasubramnian, Bhanu & Cyree, Ken B.

  • 2014 How important is the credit channel? An empirical study of the US banking crisis
    by Liu, Chunping & Minford, Patrick

  • 2014 Impact of the financial crisis on bank run risk – Danger of the days after
    by Goedde-Menke, Michael & Langer, Thomas & Pfingsten, Andreas

  • 2014 Systemic risk and bank consolidation: International evidence
    by Weiß, Gregor N.F. & Neumann, Sascha & Bostandzic, Denefa

  • 2014 Market power in CEE banking sectors and the impact of the global financial crisis
    by Efthyvoulou, Georgios & Yildirim, Canan

  • 2014 CDOs and the financial crisis: Credit ratings and fair premia
    by Wojtowicz, Marcin

  • 2014 The economic consequences of the TARP: The effectiveness of bank recapitalization policies in the U.S
    by Montgomery, Heather & Takahashi, Yuki

  • 2014 The dynamic contagion of the global financial crisis into Japanese markets
    by Miyakoshi, Tatsuyoshi & Takahashi, Toyoharu & Shimada, Junji & Tsukuda, Yoshihiko

  • 2014 Which short-selling regulation is the least damaging to market efficiency? Evidence from Europe
    by Bernal, Oscar & Herinckx, Astrid & Szafarz, Ariane

  • 2014 Identifying safe haven assets for equity investors through an analysis of the stability of shock transmission
    by Flavin, Thomas J. & Morley, Ciara E. & Panopoulou, Ekaterini

  • 2014 Financial crises and the global value premium: Revisiting Fama and French
    by Yamani, Ehab A. & Swanson, Peggy E.

  • 2014 Too big to succeed? Banking sector consolidation and efficiency
    by Montgomery, Heather & Harimaya, Kozo & Takahashi, Yuki

  • 2014 Sovereign and bank CDS spreads: Two sides of the same coin?
    by Avino, Davide & Cotter, John

  • 2014 A comparative analysis of the dynamic relationship between oil prices and exchange rates
    by Turhan, M. Ibrahim & Sensoy, Ahmet & Hacihasanoglu, Erk

  • 2014 Exploring the effects of financial and fiscal vulnerabilities on G7 economies: Evidence from SVAR analysis
    by Magkonis, Georgios & Tsopanakis, Andreas

  • 2014 CDX and iTraxx and their relation to the systemically important financial institutions: Evidence from the 2008–2009 financial crisis
    by Calice, Giovanni

  • 2014 Banking crises: Identifying dates and determinants
    by Jutasompakorn, Pearpilai & Brooks, Robert & Brown, Christine & Treepongkaruna, Sirimon

  • 2014 A cross-country analysis of herd behavior in Europe
    by Mobarek, Asma & Mollah, Sabur & Keasey, Kevin

  • 2014 Currency hedging strategies in strategic benchmarks and the global and Euro sovereign financial crises
    by Caporin, Massimiliano & Jimenez-Martin, Juan-Angel & Gonzalez-Serrano, Lydia

  • 2014 Macro risk factors of credit default swap indices in a regime-switching framework
    by Chan, Kam Fong & Marsden, Alastair

  • 2014 European banking: Bailout, bail-in and state aid control
    by Dewatripont, Mathias

  • 2014 Volatility linkage across global equity markets
    by Ding, Liang & Huang, Yirong & Pu, Xiaoling

  • 2014 The information content of Basel III liquidity risk measures
    by Hong, Han & Huang, Jing-Zhi & Wu, Deming

  • 2014 Understanding the cross-section of the U.S. housing bubble: The roles of lending, transaction costs, and rent growth
    by Goswami, Gautam & Tan, Sinan & Waisman, Maya

  • 2014 Dating banking crises using incidence and size of bank failures: Four crises reconsidered
    by Chaudron, Raymond & de Haan, Jakob

  • 2014 Rethinking financial stability: Challenges arising from financial networks’ modular scale-free architecture
    by León, Carlos & Berndsen, Ron J.

  • 2014 Tail dependence and indicators of systemic risk for large US depositories
    by Balla, Eliana & Ergen, Ibrahim & Migueis, Marco

  • 2014 Banking, debt, and currency crises in developed countries: Stylized facts and early warning indicators
    by Babecký, Jan & Havránek, Tomáš & Matějů, Jakub & Rusnák, Marek & Šmídková, Kateřina & Vašíček, Bořek

  • 2014 Predicting financial stress events: A signal extraction approach
    by Christensen, Ian & Li, Fuchun

  • 2014 Why do some insurers become systemically relevant?
    by Weiß, Gregor N.F. & Mühlnickel, Janina

  • 2014 Systemic risk in an interconnected banking system with endogenous asset markets
    by Bluhm, Marcel & Krahnen, Jan Pieter

  • 2014 Financial crises: Lessons from the Nordic experience
    by Honkapohja, Seppo

  • 2014 Distance to default and the financial crisis
    by Milne, Alistair

  • 2014 Ambiguity aversion, funding liquidity, and liquidation dynamics
    by Oh, Ji Yeol Jimmy

  • 2014 Reflecting on the VPIN dispute
    by Andersen, Torben G. & Bondarenko, Oleg

  • 2014 VPIN and the flash crash
    by Andersen, Torben G. & Bondarenko, Oleg

  • 2014 Constructing a financial fragility index for emerging countries
    by Sensoy, Ahmet & Ozturk, Kevser & Hacihasanoglu, Erk

  • 2014 A sovereign risk index for the Eurozone based on stochastic dominance
    by Agliardi, Elettra & Pinar, Mehmet & Stengos, Thanasis

  • 2014 Hedging house price risk with futures contracts after the bubble burst
    by Schorno, Patrick J. & Swidler, Steve M. & Wittry, Michael D.

  • 2014 Stabilizing the market with short sale constraint? New evidence from price jump activities
    by Yeh, Jin-Huei & Chen, Lien-Chuan

  • 2014 Foreign exchange customers and dealers: Who’s driving whom?
    by Gradojevic, Nikola

  • 2014 Contagion effect on bond portfolio risk measures in a hybrid credit risk model
    by Boudreault, Mathieu & Gauthier, Geneviève & Thomassin, Tommy

  • 2014 Does linkage fuel the fire? The transmission of financial stress across the markets
    by Chau, Frankie & Deesomsak, Rataporn

  • 2014 What drives investment bank performance? The role of risk, liquidity and fees prior to and during the crisis
    by Mamatzakis, Emmanuel & Bermpei, Theodora

  • 2014 Are CDS spreads predictable? An analysis of linear and non-linear forecasting models
    by Avino, Davide & Nneji, Ogonna

  • 2014 On financial contagion and implied market volatility
    by Kenourgios, Dimitris

  • 2014 Classifying returns as extreme: European stock and bond markets
    by Christiansen, Charlotte

  • 2014 Financial crisis, Value-at-Risk forecasts and the puzzle of dependency modeling
    by Berger, T. & Missong, M.

  • 2014 Rating shopping and rating inflation in Israel
    by Bakalyar, Inna & Galil, Koresh

  • 2014 The volatility-confined LPPL model: A consistent model of ‘explosive’ financial bubbles with mean-reverting residuals
    by Lin, L. & Ren, R.E. & Sornette, D.

  • 2014 Dynamic capital structure and political patronage: The case of Malaysia
    by Ebrahim, M. Shahid & Girma, Sourafel & Shah, M. Eskandar & Williams, Jonathan

  • 2014 Cross-sectional predictability of stock returns, evidence from the 19th century Brussels Stock Exchange (1873–1914)
    by Annaert, Jan & Mensah, Lord

  • 2014 Corporate foreign currency borrowing and investment: The case of Hungary
    by Endrész, Marianna & Harasztosi, Péter

  • 2014 Exit strategies
    by Angeloni, Ignazio & Faia, Ester & Winkler, Roland

  • 2014 How to foresee banking crises? A survey of the empirical literature
    by Kauko, Karlo

  • 2014 Sectoral and industrial performance during a stock market crisis
    by Ranjeeni, Kumari

  • 2014 Equity market contagion during the global financial crisis: Evidence from the world's eight largest economies
    by Dungey, Mardi & Gajurel, Dinesh

  • 2014 The interest rate spreads in the Czech Republic: Different loans, different determinants?
    by Hainz, Christa & Horváth, Roman & Hlaváček, Michal

  • 2014 Disentangling systematic and idiosyncratic dynamics in panels of volatility measures
    by Barigozzi, Matteo & Brownlees, Christian & Gallo, Giampiero M. & Veredas, David

  • 2014 Banking sector fragility linkages in the euro area: Evidence for crisis years 2007–2010
    by Ludwig, Alexander & Sobański, Karol

  • 2014 On policymakers’ loss functions and the evaluation of early warning systems: Comment
    by Alessi, Lucia & Detken, Carsten

  • 2014 A model of financial contagion with variable asset returns may be replaced with a simple threshold model of cascades
    by Kobayashi, Teruyoshi

  • 2014 Ambiguity and perceived coordination in a global game
    by Laskar, Daniel

  • 2014 The conditional dependence structure of insurance sector credit default swap indices
    by Tamakoshi, Go & Hamori, Shigeyuki

  • 2014 The Cox, Ross and Rubinstein tree model which includes counterparty credit risk and funding costs
    by Hunzinger, Chadd B. & Labuschagne, Coenraad C.A.

  • 2014 Interest rate risk propagation: Evidence from the credit crunch
    by Yang, Hsin-Feng & Liu, Chih-Liang & Chou, Ray Yeutien

  • 2014 Dynamic relationship between Turkey and European countries during the global financial crisis
    by Sensoy, Ahmet & Soytas, Ugur & Yildirim, Irem & Hacihasanoglu, Erk

  • 2014 Cross-market index with Factor-DCC
    by Aboura, Sofiane & Chevallier, Julien

  • 2014 Capital account openness and early warning system for banking crises in G20 countries
    by Qin, Xiao & Luo, Chengying

  • 2014 Stock market integration of emerging Asian economies: Patterns and causes
    by Narayan, S. & Sriananthakumar, S. & Islam, S.Z.

  • 2014 Volatility and dynamic conditional correlations of worldwide emerging and frontier markets
    by Baumöhl, Eduard & Lyócsa, Štefan

  • 2014 Time-varying exchange rate exposure and exchange rate risk pricing in the Canadian Equity Market
    by Al-Shboul, Mohammad & Anwar, Sajid

  • 2014 Rules for a lender of last resort: An historical perspective
    by Bordo, Michael D.

  • 2014 Systemic risk in banking networks: Advantages of “tiered” banking systems
    by Teteryatnikova, Mariya

  • 2014 Partial information about contagion risk, self-exciting processes and portfolio optimization
    by Branger, Nicole & Kraft, Holger & Meinerding, Christoph

  • 2014 European crises and the Asian economies
    by Pomfret, Richard

  • 2014 Financial Crisis And Earnings Management: The European Evidence
    by Filip, Andrei & Raffournier, Bernard

  • 2014 Volatility Transmission and Spillovers among Gold, Bonds and Stocks: An Empirical Evidence from Turkey
    by Hatice Gaye Gencer & Zafer Musoglu

  • 2014 Investment Cash Flow Sensitivity and Effect of Managers’ Ownership: Difference between Central Owned and Private Owned Companies in China
    by Yuanyao Ding & Xu Qian

  • 2014 The Contagion Effects of Sovereign Downgrades: Evidence from the European Financial Crisis
    by Shaen Corbet

  • 2014 Price Limit and Financial Contagion: Protection or Illusion? The Tunisian Stock Exchange Case
    by Halim DABBOU & Ahmed SILEM

  • 2014 Financial Analysis Of The Main Hotel Chains Of The Spanish Tourism Sector
    by Carmen GONZÁLEZ & Francisco JAREÑO

  • 2014 Time Dynamics Of Stabilization Theories And Responses To Debt And Financial Crises: An Analysis Of Mexico, Argentina, Nigeria And Ghana, 1960-2011
    by WARBURTON Christopher E.S.

  • 2014 Probabilidades de default de las empresas españolas en época de crisis
    by Carmen Badía Batlle & Merche Galisteo Rodríguez & Teresa Preixens Benedicto

  • 2014 Real output costs of financial crises: A loss distribution approach
    by Daniel Kapp & Marco Vega

  • 2014 stabilization policies and banking behaviors: a rereading of Minsky’s conception of business cycles
    by Eric Nasica

  • 2014 The impact of regulations on executive compensation in the US financial institutions
    by Agnieszka Slomka-Golebiowska

  • 2014 Financial Globalization in Emerging Economies: Much Ado About Nothing?
    by Eduardo Levy Yeyati & Tomas Williams

  • 2014 Inversión y endeudamiento en Colombia: un análisis de financiación y sostenibilidad
    by Oscar Pérez Rodriguez

  • 2014 Burbujas financieras y comportamiento reciente de los mercados de acciones en América Latina
    by Uribe, Jorge & Fernández, Julián

  • 2014 Banking fragility in Colombia: An empirical analysis based on balance sheets
    by Ignacio Lozano & Alexander Guarín

  • 2014 Riesgo sistémico en el mercado de acciones colombiano: alternativas de diversificación bajo eventos extremos
    by Jorge M. Uribe & Julián Fernández

  • 2014 Macroeconomic Determinants Of Bad Loans In Baltic Countries And Romania
    by Liliana DONATH & Veronica Mihuțescu CERNA & Ionela Maria OPREA

  • 2014 Typical Banking Crises International Business Environment And Ways To Overcome Them
    by Ion Gr. IONESCU

  • 2014 Overview On Romanian Capital Market Transactions: 1995 To Present
    by Dumitru-Cristian OANEA & Stefan-Bogdan VASILESCU

  • 2014 The Soundness Of The Banking System During The Global Financial Crisis
    by Ioana-Iuliana TOMULEASA

  • 2014 Impact Of Economic Crisis On Fdi
    by Elena V. CHIRILA DONCIU

  • 2014 Measuring The Evolution Of The Financial Globalization
    by Andrei V. STOIAN

  • 2014 Rolul Informatiei Contabile In Definirea Unor Masuri Organizatorice In Perioada De Recesiune Economica
    by Lucica SINTEA (ANGHEL)

  • 2014 D'une crise a l'autre : 30 ans de globalisation des cycles immobilers
    by Thomas Grjebine

  • 2014 Assessment of the global financial crisis effects on energy consumption and economic growth in Malaysia: An input–output analysis
    by Hussain Ali Bekhet & Tahira Yasmin

  • 2014 Exchange rate pass-through to import prices in the Euro-area: A multi-currency investigation
    by Olivier de Bandt & Tovonony Razafindrabe

  • 2014 Where is the system?
    by Sylvain Benoit

  • 2014 Conventional and Islamic stock price performance: An empirical investigation
    by Fredj Jawadi & Nabila Jawadi & Waël Louhichi

  • 2014 Staatsschuldenkrise: Zeitbombe für die Währungsunion?
    by Stefan Homburg & Carsten Hefeker & Christian Keuschnigg & Klaus Weyerstraß & Markus Brunnermeier & Wolfgang Quaisser & Lars P. Feld

  • 2014 Die Target-Forderungen der Deutschen Bundesbank: Eine Zeitreihenanalyse
    by Niklas Potrafke & Markus Reischmann

  • 2014 Lehren aus der Finanzkrise, zweiter Teil: Was ist zu tun?
    by Martin Schütte

  • 2014 What Explains Ireland’s Fragile Recovery from the Crisis? The Politics of Comparative Institutional Advantage
    by Aidan Regan

  • 2014 Post-bailout Ireland as the Poster Child for Austerity
    by Stephen Kinsella

  • 2014 International Financial Flows and the Irish Crisis
    by Philip R. Lane

  • 2014 Ireland’s Recovery from Crisis
    by John Fitzgerald

  • 2014 Ireland’s EU-IMF Programme: Delivering What It Said on the Tin
    by Patrick Honohan

  • 2014 Recovery and Reduction of Non-Performing Loans – Podgorica Approach
    by Ristan Stijepović

  • 2014 Use and Limitations of the Reserve Requirement Policy in Montenegro
    by Velibor Milošević

  • 2014 Global Financial Crisis – Policy Response
    by Milojica Dakić

  • 2014 Le financement de l'habitat en France et la crise financière
    by Jérôme Coffinet & Jérémi Montornès

  • 2014 Le ralentissement du crédit bancaire aux PME en France
    by Élisabeth Kremp & Claude Piot

  • 2014 PME françaises : fragiles et indispensables
    by Jean-Marc Pillu & Yves Zlotowski

  • 2014 Financement et dynamique de l'investissement des PME françaises
    by Jean Boissinot & Guillaume Ferrero

  • 2014 La politique monétaire des pays émergents : les cinq dernières et les cinq prochaines années
    by Manoj Pradhan

  • 2014 Politique monétaire non conventionnelle : l'expérience israélienne
    by Jacob Braude & Nathan Sussman

  • 2014 La crise de la zone euro et les deux BCE
    by Charles Wyplosz

  • 2014 Les conséquences fiscales du programme d'achat d'obligations de la BCE
    by Paul de Grauwe & Yuemei Ji

  • 2014 La politique monétaire face à la crise : enjeux de court terme et ancrage à long terme
    by Benoît Cœuré

  • 2014 L'évolution du rôle des banques centrales dans la crise
    by Lorenzo Bini Smaghi

  • 2014 The Impact of Financial Innovation on Firm Stability
    by Fabian Kuehnhausen

  • 2014 The financing of Greek enterprises before and during the crisis
    by Dimitra Dimitropoulou & Anastasia Koutsomanoli-Filippaki & Evangelos Charalambakis & Georgios Aggelis

  • 2014 Two Effects of the European Financial Crisis
    by Saucedo Acosta Edgar J. & Rullán Rosanis Samantha

  • 2014 Non-US banks' claims on the Federal Reserve
    by Robert N McCauley & Patrick McGuire

  • 2014 The credit-to-GDP gap and countercyclical capital buffers: questions and answers
    by Mathias Drehmann & Kostas Tsatsaronis

  • 2014 Implications of the liquidity crisis in the Baltic-Nordic region
    by Ivo Karilaid & Tõnn Talpsepp & Tarvo Vaarmets

  • 2014 Financial distress and cycle-sensitive corporate investments
    by Peeter Maripuu & Kadri Männasoo

  • 2014 An Analysis Of The Effect Of Currency Mismatch On A Country’S Default Risk
    by Irena Jankovic & Bosko Zivkovic

  • 2014 Banking fragility in Colombia: An empirical analysis based on balance sheets
    by Ignacio Lozano & Alexander Guarin

  • 2014 An Indicator Based Assessment Methodology Proposal for the Identification of Domestic Systemically Important Banks within the Turkish Banking Sector
    by Ozge ULKUTAS SACCI & Guven SAYILGAN

  • 2014 The Compelling Case for Stronger and More Effective Leverage Regulation in Banking
    by Anat Admati

  • 2014 Credit dynamics in Central and Eastern Europe
    by Petar Peshev

  • 2014 Assess the Rating of SMEs by using Classification And Regression Trees (CART) with Qualitative Variables
    by Francesco Campanella

  • 2014 Bank ratings and business models: the lessons from the crisis
    by Vincenzo D'Apice & Giovanni Ferri & Punziana Lacitignola

  • 2014 Growth, the priority for Europe and Italy
    by Pier Carlo Padoan

  • 2014 Loan securitization and mini-bonds, new channels for Smes financing
    by Giancarlo Forestieri

  • 2014 Product governance, a key factor in banking and financial markets
    by Giuseppe Vegas

  • 2014 The adviser-investor relationship after the crisis
    by Vincenzo Pacelli

  • 2014 Liquidity transfer pricing after crisis
    by Marco Di Antonio & Danilo Drago

  • 2014 The application of the principle of proportionality in the new bank’s Internal control system
    by Emanuele Diquattro & Sebastiano Mazzù & Giuseppe Vaccarella

  • 2014 The sovereign debt crisis: the impact on the intermediation model of Italian banks
    by Stefano Cosma & Elisabetta Gualandri

  • 2014 New trends in restructuring European banks
    by Giancarlo Durante & Luigi Prosperetti

  • 2014 Relationship banking: new evidence from small business credit in Italy
    by Irma Malafronte & Stefano Monferrà & Claudio Porzio & Gabriele Sampagnaro

  • 2014 Territorial exclusivity and credit cycle in the Italian subsidiary banks
    by Simone Rossi

  • 2014 Banks and local development in Italy. Eight local systems in the crisis and beyond
    by Giuseppe De Rita

  • 2014 An Overview Of Fiscal Consolidation Process In The European Union
    by Iulia Andreea Bucur & Mircea Muntean

  • 2014 Endogenous Collateral Constraints and the Leverage Cycle
    by Ana Fostel & John Geanakoplos

  • 2014 Counterparty Risk: A Review
    by Stuart M. Turnbull

  • 2014 The Evaluation Of The Financial Position On The Balancesheet In The Furniture Industry
    by Teodor Hada & Radu Marginean

  • 2014 European Funds – Instrument for Economic Stability/Growth
    by Anca Simina POPESCU

  • 2014 The absorption of european funds for environmental protection during the period 2007-2013
    by Anca Simina POPESCU & Alina Georgiana HOLT

  • 2014 Financial Risk Management – Influence Factors And New Trends
    by Laura Vasilescu

  • 2014 The Evolution Of Added Value Created By The Main Romanian Companies From Oil And Retail Trade Industries
    by Iulia Oana Stefan

  • 2014 The Impact Of The Public Debt On The European Union Member Countries
    by Gheorghe MATEI & Luiza APOSTOL

  • 2014 Reflections On Union European Banking Project
    by Jenica Popescu & Victoria Firescu

  • 2014 Measuring The Efficiency In The Romanian Banking System Through The Method Of The Data Envelopment Analysis (Dea)
    by Alina Georgiana Manta & Roxana Maria Badîrcea

  • 2014 A Way To Determine Chaotic Behaviour In Romanian Stock Market
    by Emilian Lucian NEACSU & Marcela Daniela TODONI

  • 2014 Contribution To Systemic Risk Of The European Banking Groups With Subsidiaries In Central And Eastern Europe
    by Simona MUTU

  • 2014 Retail Payment And Economic Growth For Developed And Emerging European Countries
    by Aniela BOJAN & Emilia-Anuta COROVEI & Ioan TRENCA

  • 2014 Rethinking the Principles of Bank Regulation: A Review of Admati and Hellwig's The Bankers' New Clothes
    by Roger B. Myerson

  • 2014 The Political Economy of the Greek Debt Crisis: A Tale of Two Bailouts
    by Silvia Ardagna & Francesco Caselli

  • 2014 Accounting for Crises
    by Venky Nagar & Gwen Yu

  • 2014 Resolving Debt Overhang: Political Constraints in the Aftermath of Financial Crises
    by Atif Mian & Amir Sufi & Francesco Trebbi

  • 2014 Wall Street and the Housing Bubble
    by Ing-Haw Cheng & Sahil Raina & Wei Xiong

  • 2014 Speculative Asset Prices
    by Robert J. Shiller

  • 2014 Two Pillars of Asset Pricing
    by Eugene F. Fama

  • 2014 The Role of Policy in the Great Recession and the Weak Recovery
    by John B. Taylor

  • 2014 Recovery from Financial Crises: Evidence from 100 Episodes
    by Carmen M. Reinhart & Kenneth S. Rogoff

  • 2014 Inflation Persistence, the NAIRU, and the Great Recession
    by Mark W. Watson

  • 2014 Demand and Defective Growth Patterns: The Role of the Tradable and Non-tradable Sectors in an Open Economy
    by Sandile Hlatshwayo & Michael Spence

  • 2014 Forty Years of Leverage: What Have We Learned about Sovereign Debt?
    by Peter Boone & Simon Johnson

  • 2014 Learning from the Doers: Developing Country Lessons for Advanced Economy Growth
    by Anusha Chari & Peter Blair Henry

  • 2014 Disparities in Wealth Accumulation and Loss from the Great Recession and Beyond
    by Signe-Mary McKernan & Caroline Ratcliffe & Eugene Steuerle & Sisi Zhang

  • 2014 A Reassessment of Real Business Cycle Theory
    by Ellen R. McGrattan & Edward C. Prescott

  • 2014 Consumption Inequality over the Last Half Century: Some Evidence Using the New PSID Consumption Measure
    by Orazio Attanasio & Luigi Pistaferri

  • 2014 Measuring How Fiscal Shocks Affect Durable Spending in Recessions and Expansions
    by David Berger & Joseph Vavra

  • 2014 A Macroeconomic Model with a Financial Sector
    by Markus K. Brunnermeier & Yuliy Sannikov

  • 2014 Collateral Crises
    by Gary Gorton & Guillermo Ordo?ez

  • 2014(XXIV) Cost Structure Complexity And Stock Prices Volatility: An Analysis Of Possible Relationship Among Italian Listed Companies In The Period Of Crisis
    by Francesco PAOLONE

  • 2013 Determinants of Financial Stress in Emerging Market Economies
    by Park, Cyn-Young & Mercado, Jr., Rogelio V.

  • 2013 Testing the Out-of-Sample Forecasting Ability of a Financial Conditions Index for South Africa
    by Kirsten Thompson & Renee van Eyden & Rangan Gupta

  • 2013 Identifying a financial conditions index for South Africa
    by Kirsten Thompson & Renee van Eyden & Rangan Gupta

  • 2013 Les crises économiques et financières et les facteurs favorisant leur occurrence
    by Cabrol, Sébastien

  • 2013 Are Short-Selling Bans Effective? Evidence from the Summer 2011 European Bans on Net Short Sales
    by Ramona Dagostino

  • 2013 Multi-fractal identification of "sick" markets: the LIBOR scandal case
    by Prado, Sylvain Michael & Rawlinson, Ian

  • 2013 Determinants of the Interest Rate Premium on Contingent Convertible Bonds (CoCos)
    by von Furstenberg, George

  • 2013 Financial Development in 205 Economies, 1960 to 2010
    by Cihak, Martin & Demirguc-Kunt, Asli & Feyen, Erik & Levine, Ross

  • 2013 Sovereign Investment Funds and the International Competitiveness Through Outsourcing in Emerging Countries [Fondurile suverane de investiţii şi competitivitatea internaţională prin outsourcing în ţări emergente]
    by Drăniceanu Doina

  • 2013 How to Secure External Sustainability of the Russian Economy
    by E. Gurvich & I. Prilepskiy.

  • 2013 Do We Need a Separate Banking System? An Assessment
    by Gunnar Lang & Michael Schröder

  • 2013 Cross-Border Retail Banking: Exploring the Unknown Financial Globalization in Times of Financial Crises
    by Harald Sander & Stefanie Kleimeier

  • 2013 German Open Ended Real Estate Fund Performance – The Impact of Liquidity
    by Michael Stein

  • 2013 Value Relevance of Earnings and Book Value of Equity in Turkey: The 2003-2009 Period
    by Burcu DİNÇERGÖK

  • 2013 An Application of the Cusp Catastrophe Theory to the Istanbul Stock Exchange Crash of 2008
    by Hülya TÜTEK & Ünal SEVEN

  • 2013 Financial Regulation and Nation State Crisis Management: Evidence from Germany, Ireland and the UK
    by William Forbes & Sheila Frances O'Donohoe & Jörg Prokop

  • 2013 How many factors and shocks cause financial stress?
    by Kappler, Marcus & Schleer, Frauke

  • 2013 Financial sector-output dynamics in the euro area: Non-linearities reconsidered
    by Schleer, Frauke & Semmler, Willi

  • 2013 Do we need a separate banking system? An assessment
    by Lang, Gunnar & Schröder, Michael

  • 2013 The European Commission's Scoreboard of Macroeconomic Imbalances: The impact of preferences on an early warning system
    by Knedlik, Tobias

  • 2013 Model Risk - an Agency Theoretic Approach
    by Schlegel, Friederike & Hakenes, Hendrik

  • 2013 Financialization in Commodity Markets: Disentangling the Crisis from the Style Effect
    by Adams, Zeno & Glück, Thorsten

  • 2013 Liquidity in the Liquidity Crisis: Evidence from Divisia Monetary Aggregates in Germany and the European Crisis Countries
    by El-Shagi, Makram & Kelly, Logan

  • 2013 Occupy Risk Weighting: How the Minimum Leverage Ratio dominates Capital Requirements - A Swiss Example
    by Kellermann, Kersten & Schlag, Carsten

  • 2013 Currency wars not public debt may create a financial meltdown
    by Pope, Robin & Selten, Reinhard

  • 2013 Persistence in the price-to-dividend ratio and its macroeconomic fundamentals
    by Rengel, Malte & Herwartz, Helmut & Xu, Fang

  • 2013 The ‘Celtic Crisis’: Guarantees, transparency, and systemic liquidity risk
    by König, Philipp & Anand, Kartik & Heinemann, Frank

  • 2013 Sovereign risk contagion in the Eurozone: A time-varying coefficient approach
    by Ludwig, Alexander

  • 2013 Bank's financial distress, lending supply and consumption expenditure
    by Damar, H. Evren & Gropp, Reint & Mordel, Adi

  • 2013 Systemic risk and sovereign debt in the Euro area
    by Radev, Deyan

  • 2013 Asset pricing under uncertainty about shock propagation
    by Branger, Nicole & Grüning, Patrick & Kraft, Holger & Meinerding, Christoph

  • 2013 Input-output-based measures of systemic importance
    by Aldasoro, Iñaki & Angeloni, Ignazio

  • 2013 Partial information about contagion risk, self-exciting processes and portfolio optimization
    by Branger, Nicole & Kraft, Holger & Meinerding, Christoph

  • 2013 Systemic risk in the financial sector: What can se learn from option markets?
    by Kraft, Holger & Schmidt, Alexander

  • 2013 Spillover effects among financial institutions: A state-dependent sensitivity value-at-risk approach
    by Adams, Zeno & Füss, Roland & Gropp, Reint

  • 2013 How does contagion affect general equilibrium asset prices?
    by Branger, Nicole & Kraft, Holger & Meinerding, Christoph

  • 2013 Interbank network and bank bailouts: Insurance mechanism for non-insured creditors?
    by Eisert, Tim & Eufinger, Christian

  • 2013 Tail Parameters of Stable Distributions Using One Million Observations of Real Estate Returns from Five Continents
    by Stein, Michael & Piazolo, Daniel & Stoyanov, Stoyan V.

  • 2013 Uncertainty and Episodes of Extreme Capital Flows in the Euro Area
    by Schmidt, Torsten & Zwick, Lina

  • 2013 German Real Estate Funds – Changes in Return Distributions and Portfolio Favourability
    by Stein, Michael

  • 2013 Changing Forces of Gravity: How the Crisis Affected International Banking
    by Buch, Claudia M. & Neugebauer, Katja & Schröder, Christoph

  • 2013 Flight Patterns and Yields of European Government Bonds
    by von Schweinitz, Gregor

  • 2013 Cascades in real interbank markets
    by Karimi, Fariba & Raddant, Matthias

  • 2013 Announcements of ECB unconventional programs: Implications for the sovereign risk of Italy
    by Falagiarda, Matteo & Reitz, Stefan

  • 2013 A flow network analysis of direct balance-sheet contagion in financial networks
    by Eboli, Mario

  • 2013 On assortative and disassortative mixing in scale-free networks: The case of interbank credit networks
    by Fricke, Daniel & Finger, Karl & Lux, Thomas

  • 2013 Hubs and resilience: Towards more realistic models of the interbank markets
    by Montagna, Mattia & Lux, Thomas

  • 2013 On the distribution of links in the interbank network: Evidence from the e-mid overnight money market
    by Fricke, Daniel & Lux, Thomas

  • 2013 Conservation laws, financial entropy and the eurozone crisis
    by Cockshott, Paul & Zachariah, David

  • 2013 Rapid credit growth and current account deficit as the leading determinants of financial crises
    by Ganioğlu, Aytül

  • 2013 Stylized facts on the interaction between income distribution and the Great Recession
    by Aiginger, Karl & Guger, Alois

  • 2013 The early warnings of balance-of-payments problems: Kaminsky and Reinhart revisited
    by Lang, Michael

  • 2013 Komponenten und Determinanten des Credit Spreads: Empirische Untersuchung während Phasen von Marktstress
    by Odermann, Alexander & Cremers, Heinz

  • 2013 Cluster governance in the framework of cluster social responsibility
    by Mikhaylov, Andrey Sergeevich

  • 2013 Financial network systemic risk contributions
    by Hautsch, Nikolaus & Schaumburg, Julia & Schienle, Melanie

  • 2013 The 2011 European short sale ban on financial stocks: A cure or a curse?
    by Félix, Luiz & Kräussl, Roman & Stork, Philip

  • 2013 Transatlantic systemic risk
    by Trapp, Monika & Wewel, Claudio

  • 2013 Changing forces of gravity: How the crisis affected international banking
    by Buch, Claudia M. & Neugebauer, Katja & Schröder, Christoph

  • 2013 Cash holdings of German open-end equity funds: Does ownership matter?
    by Dötz, Niko & Weth, Mark

  • 2013 Balance sheet strength and bank lending during the global financial crisis
    by Kapan, Tümer & Minoiu, Camelia

  • 2013 Equity returns in the banking sector in the wake of the great recession and the European sovereign debt crisis
    by Chan-Lau, Jorge A. & Liu, Estelle X. & Schmittmann, Jochen M.

  • 2013 A single composite financial stress indicator and its real impact in the euro area
    by Islami, Mevlud & Kurz-Kim, Jeong-Ryeol

  • 2013 Is local bias a cross-border phenomenon? Evidence from individual investors' international asset allocation
    by Baltzer, Markus & Stolper, Oscar & Walter, Andreas

  • 2013 Restructuring counterparty credit risk
    by Albanese, Claudio & Brigo, Damiano & Oertel, Frank

  • 2013 Sovereign default swap market efficiency and country risk in the eurozone
    by Gündüz, Yalin & Kaya, Orcun

  • 2013 Financial Markets Around the Great Recession: East Meets West
    by Peter Simmons & Yuanyuan Xie

  • 2013 Is the European debt crisis a mere balance of payments crisis?
    by David Guerreiro

  • 2013 R&D and Non-R&D Innovators in the Financial Crisis: the Role of Binding Credit Constraints
    by Sandra M. Leitner & Robert Stehrer

  • 2013 Animal Spirits still Dimmed: Slow Recovery Expected
    by Vasily Astrov & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Michael Landesmann & Sebastian Leitner & Olga Pindyuk & Leon Podkaminer & Sandor Richter & Hermine Vidovic

  • 2013 Double-dip Recession over, yet no Boom in Sight
    by Vasily Astrov & Rumen Dobrinsky & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Michael Landesmann & Sebastian Leitner & Olga Pindyuk & Leon Podkaminer & Sandor Richter & Hermine Vidovic

  • 2013 Deciphering the Libor and Euribor Spreads during the subprime crisis
    by Loriana Pelizzon & Domenico Sartore

  • 2013 From Sovereigns to Banks: Evidence on Cross-border Contagion (2006-2011)
    by Alesia Kalbaska

  • 2013 Extreme Downside Liquidity Risk
    by Ruenzi, Stefan & Ungeheuer, Michael & Weigert, Florian

  • 2013 Crash Aversion and the Cross-Section of Expected Stock Returns Worldwide
    by Weigert, Florian

  • 2013 Crash Sensitivity and the Cross-Section of Expected Stock Returns
    by Chabi-Yo, Fousseni & Ruenzi, Stefan & Weigert, Florian

  • 2013 The Euro Interbank Repo Market
    by Mancini, Loreano & Ranaldo, Angelo & Wrampelmeyer, Jan

  • 2013 Recreating the South Sea bubble: Lessons from an experiment in financial history
    by Giovanni Giusti & Charles Noussair & Joachim Voth

  • 2013 Interbank liquidity crunch and the firm credit crunch: Evidence from the 2007-2009 crisis
    by Rajkamal Iyer & Samuel Da-Rocha-Lopes & José-Luis Peydró & Antoinette Schoar

  • 2013 Robust block bootstrap panel predictability tests
    by Westerlund J. & Smeekes S.

  • 2013 It's all about volatility of volatility: evidence from a two-factor stochastic volatility model
    by Stefano Grassi & Paolo Santucci de Magistris

  • 2013 Currency hedging strategies, strategic benchmarks and the Global and Euro Sovereign financial crises
    by Massimiliano Caporin & Juan Ángel Jiménez Martín & Lydia González-Serrano

  • 2013 A Capital Adequacy Buffer Model
    by David E. Allen & Michael McAleer & Robert J. Powell & Abhay K. Singh

  • 2013 Monetary Policy when the NAIRI is unknown: The Fed and the Great Deviation
    by Ronny Mazzocchi

  • 2013 Real and financial crises: A multi-agent approach
    by Mark Setterfield & Bill Gibson

  • 2013 Recreating the South Sea Bubble : Lessons from an Experiment in Financial History
    by Giusti, G. & Noussair, C.N. & Voth, H-J.

  • 2013 Shocks Abroad, Pain at Home? Bank-firm Level Evidence on the International Transmission of Financial Shocks
    by Ongena, S. & Peydro, J.L. & van Horen, N.

  • 2013 Short-Selling, Leverage and Systemic Risk
    by Amelia Pais & Philip A. Stork

  • 2013 A Capital Adequacy Buffer Model
    by David Allen & Michael McAleer

  • 2013 Sukuk Defaults: On Distress Resolution in Islamic Finance
    by Sweder van Wijnbergen & Sajjad Zaheer

  • 2013 Efficiency Gains of a European Banking Union
    by Dirk Schoenmaker & Arjen Siegmann

  • 2013 Interest Rate Fluctuations and Equilibrium in the Housing Market
    by Yavuz Arslan

  • 2013 Systemic Risk Analysis of Turkish Financial Institutions with Systemic Expected Shortfall
    by Irem Talasli

  • 2013 Accounting for productive investment and value creation
    by Mariana Mazzucato & Alan Shipman

  • 2013 Market Power in CEE Banking Sectors and the Impact of the Global Financial Crisis
    by Georgios Efthyvoulou & Canan Yildirim

  • 2013 The effects of capital requirements on real economy: a cointegrated VAR approach for US commercial banks
    by Maria Grazia Miele

  • 2013 Debt Relief under the HIPC Initiative: Why Some Countries Complete the Programme Faster Than Others
    by William Akoto

  • 2013 The Impact of the Global Financial Crisis on Efficiency and Productivity of the Banking System in South Africa
    by Andrew Maredza and Sylvanus Ikhide

  • 2013 Tail Parameters of Stable Distributions Using One Million Observations of Real Estate Returns from Five Continents
    by Michael Stein & Daniel Piazolo & Stoyan V. Stoyanov

  • 2013 Uncertainty and Episodes of Extreme Capital Flows in the Euro Area
    by Torsten Schmidt & Lina Zwick

  • 2013 German Real Estate Funds – Changes in Return Distributions and Portfolio Favourability
    by Michael Stein

  • 2013 Beyond environmental scarcity: Human and social capital as driving forces of bootstrapping activities
    by D. GRICHNICK & J. BRINCKMAN & L. SINGH & S. MANIGART

  • 2013 The Real Side of the Financial Crisis: Banks' Exposure, Flight to Quality and Firms' Investment Rate
    by Emanuele Brancati

  • 2013 Growth Forecast Errors and Government Investment and Consumption Multipliers
    by Branimir Jovanovic

  • 2013 Extending Financialisation and Increasing Fragility of the Financial System
    by IANCU, Aurel

  • 2013 Extinderea financiarizarii si accentuarea fragilitatii sistemului financiar
    by IANCU, Aurel

  • 2013 Contextualizing Systemic Risk
    by Lukas Scheffknecht

  • 2013 Financial Crisis as a Catalyst of Legal Reforms: The Case of Asia
    by Kawai, Masahiro & Schmiegelow, Henrik

  • 2013 An Asian Perspective on Global Financial Reforms
    by Morgan, Peter J. & Pontines, Victor

  • 2013 Banking Crises and “Japanization”: Origins and Implications
    by Kawai, Masahiro & Morgan, Peter

  • 2013 A Sovereign Risk Index for the Eurozone Based on Stochastic Dominance
    by Elettra Agliardi & Mehmet Pinar & Thanasis Stengos

  • 2013 Policy Responses to the Global Financial Crisis: What Did Emerging Economies Do Differently?
    by Ceballos, Francisco & Didier, Tatiana & Hevia, Constantino & Schmukler, Sergio

  • 2013 Trends in the Funding and Lending Behaviour of Australian Banks
    by Chris Stewart & Benn Robertson & Alexandra Heath

  • 2013 Eurozone: The Untold Economics
    by John Hatgioannides & Marika Karanassou & Hector Sala

  • 2013 Macroprudential Regulation and Macroeconomic Activity
    by Sudipto Karmakar

  • 2013 Финансиализация И Современные Экономические Кризисы
    by Bukvić, Rajko & Ocić, Časlav

  • 2013 A look at the Structural Bank Regulation initiatives and a discussion over Turkish banking sector
    by Sakarya, Burchan

  • 2013 Public debt, sovereign risk and sustainable development of Romania
    by Georgescu, George

  • 2013 Sovereign and bank CDS spreads: two sides of the same coin for European bank default predictability?
    by Avino, Davide & Cotter, John

  • 2013 Global financial inclusion challenges for banking system of Uzbekistan
    by Aliqoriev, Olimkhon

  • 2013 Financial liberalization, disaggregated capital flows and banking crisis: Evidence from developing countries
    by BOUKEF JLASSI, NABILA & HAMDI, HELMI

  • 2013 Amplitude-Duration-Persistence Trade-off Relationship for Long Term Bear Stock Markets
    by Li, Ziran & Sun, Jiajing & Wang, Shouyang

  • 2013 Financial Market Contagion During the Global Financial Crisis: Evidence from the Moroccan Stock Market
    by El GHINI, Ahmed & SAIDI, Youssef

  • 2013 Forecasting with Factor Models: A Bayesian Model Averaging Perspective
    by Dimitris, Korobilis

  • 2013 External debt management in Romania
    by Dumitriu, Ramona & Stefanescu, Razvan

  • 2013 Влияние Центрального Банка На Замедление Экономики России
    by Blinov, Sergey

  • 2013 The Conditional CAPM, Cross-Section Returns and Stochastic Volatility
    by Fung, Ka Wai Terence & Lau, Chi Keung Marco & Chan, Kwok Ho

  • 2013 Sovereign risk contagion in the Eurozone: a time-varying coefficient approach
    by Ludwig, Alexander

  • 2013 Macroprudential Regulation and Macroeconomic Activity
    by Karmakar, Sudipto

  • 2013 Capital and Contagion in Financial Networks
    by di Iasio, Giovanni & Battiston, Stefano & Infante, Luigi & Pierobon, Federico

  • 2013 Conditional Autoregregressive Range (CARR) Based Volatility Spillover Index For the Eurozone Markets
    by Bayraci, Selcuk & Demiralay, Sercan

  • 2013 Government Role During The Global Financial Crisis
    by Suleymanov, Elchin & Alirzayev, Elvin

  • 2013 What lies behind the “too-small-to-survive” banks?
    by Grammatikos, Theoharry & Papanikolaou, Nikolaos I.

  • 2013 News Flow, Web Attention and Extreme Returns in the European Financial Crisis
    by Chouliaras, Andreas & Grammatikos, Theoharry

  • 2013 The Impact of Institutional Environment in Firms´ Capital Structure during the Recent Financial Crises
    by Alves, Paulo & Francisco, Paulo

  • 2013 Goodbye Inflation Targeting, Hello Fear of Floating? Latin America after the Global Financial Crisis
    by Reinhart, Carmen

  • 2013 Currency hedging strategies, strategic benchmarks and the Global and Euro Sovereign financial crises
    by Caporin, Massimiliano & Jimenez-Martin, Juan-Angel & Gonzalez-Serrano, Lydia

  • 2013 Echilibrul financiar global şi riscul suveran în perioada post-criză
    by Georgescu, George

  • 2013 Turkey’s Capital Market & Banks: Recipe for Survival in Recessionary Times
    by Aysan, Ahmet Faruk & Ermişoğlu, Ergun

  • 2013 Volatility and dynamic conditional correlations of European emerging stock markets
    by Baumohl, Eduard & Lyocsa, Stefan

  • 2013 Credit Contagion in Financial Markets: A Network-Based Approach
    by Steinbacher, Matjaz & Steinbacher, Mitja & Steinbacher, Matej

  • 2013 Input-Output-based Measures of Systemic Importance
    by Aldasoro, Iñaki & Angeloni, Ignazio

  • 2013 Liquidity Risk and the Credit Crunch of 2007-2009: Evidence from Micro-Level Data on Mortgage Loan Applications
    by Antoniades, Adonis

  • 2013 A Tale of Two Eurozones: Banks’s Funding, Sovereign Risk & Unconventional Monetary Policies
    by Fulli-Lemaire, Nicolas

  • 2013 Recessions, Growth and Financial Crises
    by Dwyer, Gerald P & Devereux, John & Baier, Scott L. & Tamura, Robert

  • 2013 From the Bank Panic of 1907 to the Great Depression of 1929 and the Savings and Loan Crisis of the 1980s: Lessons for the future
    by Trompatzi, Georgia & Metaxas, Theodore

  • 2013 The effects of capital requirements on real economy: a cointegrated VAR approach for US commercial banks
    by Miele, Maria Grazia

  • 2013 To the Problem of Financial Safety Estimation: the Index of Financial Safety of Turkey
    by Matkovskyy, Roman

  • 2013 Euro Zone Debt Crisis: Implications for Indian Banking Sector
    by Swamy, Vighneswara

  • 2013 Market Valuation and Risk Assessment of Indian Banks using Black -Scholes -Merton Model
    by Sinha, Pankaj & Sharma, Sakshi & Sondhi, Kriti

  • 2013 Unethical dilemmas in derivatives practice
    by Alqatawni, Tahsen

  • 2013 Impact of the foreign exchange rates fluctuations on returns and volatility of the Bucharest Stock Exchange
    by Stefanescu, Razvan & Dumitriu, Ramona

  • 2013 Bubbles, shocks and elementary technical trading strategies
    by Fry, John

  • 2013 A study on the Price Behavior of Base Metals traded in India
    by Sinha, Pankaj & Mathur, Kritika

  • 2013 Pre-Crisis and Post-Crisis Trust in Banks: Lessons from Transitional Countries
    by Afandi, Elvin & Habibov, Nazim

  • 2013 The performance of commercial banks and the determinants of profitability: Evidence from Kosovo
    by Govori, Fadil

  • 2013 Identifying, ranking and tracking systemically important financial institutions (SIFIs), from a global, EU and Eurozone perspective
    by Masciantonio, Sergio

  • 2013 România în perioada post-criză: investiţiile străine directe şi efecte asupra echilibrului financiar extern
    by Georgescu, George

  • 2013 Drought Readiness and Anxiety of new and experienced Indian Farmers
    by Raval, Vishvesh & Vyas, Khyati

  • 2013 "Too big to fail" or "Too non-traditional to fail"?: The determinants of banks' systemic importance
    by Moore, Kyle & Zhou, Chen

  • 2013 On the pricing and hedging of options for highly volatile periods
    by El-Khatib, Youssef & Hatemi-J, Abdulnasser

  • 2013 The euro crisis and its lessons from a Greek perspective
    by Skouras, Thanos

  • 2013 Financial Inclusion for Stability: Access to Bank Deposits and the Deposit Growth during the Global Financial Crisis
    by Han, Rui & Melecky, Martin

  • 2013 „Volcker/Vickers hybrid“?: The Liikanen Report and justifications for ring fencing and separate legal entities
    by Ojo, Marianne

  • 2013 The economic crisis between liberalization and government intervention
    by Diacon, Paula-Elena

  • 2013 Simplified mathematical model of financial crisis
    by Krouglov, Alexei

  • 2013 Opportunities in microfinance risk management
    by Janda, Karel & Zetek, Pavel

  • 2013 Stock market integration between the CEE-4 and the G7 markets: Asymmetric DCC and smooth transition approach
    by Baumöhl, Eduard

  • 2013 Enforcement actions and bank behavior
    by Delis, Manthos D & Staikouras, Panagiotis & Tsoumas, Chris

  • 2013 The causal effect of restrictive bank lending on employment growth: A matching approach
    by Kleemann, Michael & Wiegand, Manuel

  • 2013 The role of income inequality in crisis theories and in the subprime crisis
    by Thomas Goda

  • 2013 Conditional Eurobonds and the Eurozone Sovereign Debt Crisis
    by John Muellbauer

  • 2013 Model-free Implied Volatility Index of Japanese Stock Market
    by Nattapol TAKKABUTR

  • 2013 International Debt Deleveraging
    by Luca Fornaro

  • 2013 Hedge Fund Contagion and Risk-adjusted Returns: A Markov-switching Dynamic Factor Approach
    by Ozgur Akay & Zeynep Senyuz & Emre Yoldas

  • 2013 The Effectiveness of Monetary Policy since the Onset of the Financial Crisis
    by Romain Bouis & Łukasz Rawdanowicz & Jean-Paul Renne & Shingo Watanabe & Ane Kathrine Christensen

  • 2013 Slovakia: A Catching Up Euro Area Member In and Out of the Crisis
    by Jarko Fidrmuc & Caroline Klein & Robert W. R. Price & Andreas Wörgötter

  • 2013 The Pronounced Impact of Macroeconomic Stress on the Financial Sector: Implications for Real Sector Growth
    by M. Kabir Hassan & William J. Hippler III

  • 2013 Unintended Consequences of LOLR Facilities: The Case of Illiquid Leverage
    by Viral V. Acharya & Bruce Tuckman

  • 2013 Bank Capital and Dividend Externalities
    by Viral V. Acharya & Hanh Le & Hyun Song Shin

  • 2013 The Value of Connections in Turbulent Times: Evidence from the United States
    by Daron Acemoglu & Simon Johnson & Amir Kermani & James Kwak & Todd Mitton

  • 2013 Asia Chartbook: Crises, Credit and Debt, 1835-2013
    by Carmen M. Reinhart

  • 2013 Crowding Out Redefined: The Role of Reserve Accumulation
    by Carmen M. Reinhart & Takeshi Tashiro

  • 2013 Financing as a Supply Chain: The Capital Structure of Banks and Borrowers
    by William Gornall & Ilya A. Strebulaev

  • 2013 Collateral Valuation and Borrower Financial Constraints: Evidence from the Residential Real Estate Market
    by Sumit Agarwal & Itzhak Ben-David & Vincent Yao

  • 2013 Risky Investments with Limited Commitment
    by Thomas F. Cooley & Ramon Marimon & Vincenzo Quadrini

  • 2013 Linkages across Sovereign Debt Markets
    by Cristina Arellano & Yan Bai

  • 2013 The Development of Opacity in U.S. Banking
    by Gary Gorton

  • 2013 Predatory Short Selling
    by Markus K. Brunnermeier & Martin Oehmke

  • 2013 Relationship and Transaction Lending in a Crisis
    by Patrick Bolton & Xavier Freixas & Leonardo Gambacorta & Paolo Emilio Mistrulli

  • 2013 Interpreting Repo Statistics in the Flow of Funds Accounts
    by Arvind Krishnamurthy & Stefan Nagel

  • 2013 Financial Entanglement: A Theory of Incomplete Integration, Leverage, Crashes, and Contagion
    by Nicolae Gârleanu & Stavros Panageas & Jianfeng Yu

  • 2013 Tail Risk and Asset Prices
    by Bryan Kelly & Hao Jiang

  • 2013 External Adjustment, Global Imbalances and Valuation Effects
    by Pierre-Olivier Gourinchas & Hélène Rey

  • 2013 Unemployment Crises
    by Nicolas Petrosky-Nadeau & Lu Zhang

  • 2013 Why High Leverage is Optimal for Banks
    by Harry DeAngelo & René M. Stulz

  • 2013 Deposit Insurance and Orderly Liquidation without Commitment: Can we Sleep Well?
    by Russell Cooper & Hubert Kempf

  • 2013 Credit Ratings and the Pricing of Sovereign Debt during the Euro Crisis
    by Joshua Aizenman & Mahir Binici & Michael M. Hutchison

  • 2013 Loan officer Incentives and the Limits of Hard Information
    by Tobias Berg & Manju Puri & Jorg Rocholl

  • 2013 Do Depositors Monitor Banks?
    by Rajkamal Iyer & Manju Puri & Nicholas Ryan

  • 2013 The "Greatest" Carry Trade Ever? Understanding Eurozone Bank Risks
    by Viral V. Acharya & Sascha Steffen

  • 2013 Sustainable Shadow Banking
    by Guillermo Ordonez

  • 2013 Testing Macroprudential Stress Tests: The Risk of Regulatory Risk Weights
    by Viral V. Acharya & Robert Engle & Diane Pierret

  • 2013 Financial Development in 205 Economies, 1960 to 2010
    by Martin Čihák & Asli Demirgüč-Kunt & Erik Feyen & Ross Levine

  • 2013 Bubbles, Crises, and Heterogeneous Beliefs
    by Wei Xiong

  • 2013 Wall Street and the Housing Bubble
    by Ing-Haw Cheng & Sahil Raina & Wei Xiong

  • 2013 Seeking Alpha: Excess Risk Taking and Competition for Managerial Talent
    by Viral V. Acharya & Marco Pagano & Paolo Volpin

  • 2013 House Prices, Collateral and Self-Employment
    by Manuel Adelino & Antoinette Schoar & Felipe Severino

  • 2013 Capital Flows, Credit Booms, and Financial Crises in the Classical Gold Standard Era
    by Christopher M. Meissner

  • 2013 A Model of the Safe Asset Mechanism (SAM): Safety Traps and Economic Policy
    by Ricardo J. Caballero & Emmanuel Farhi

  • 2013 The Supply and Demand for Safe Assets
    by Gary B. Gorton & Guillermo Ordoñez

  • 2013 Systemic Risk and Stability in Financial Networks
    by Daron Acemoglu & Asuman Ozdaglar & Alireza Tahbaz-Salehi

  • 2013 Three Branches of Theories of Financial Crises
    by Itay Goldstein & Assaf Razin

  • 2013 Funding liquidity, market liquidity and TED spread : A two-regime model
    by Kris Boudt & Ellen C.S. Paulus & Dale W.R. Rosenthal

  • 2013 Funding liquidity, market liquidity and TED spread : A two-regime model
    by Kris Boudt & Ellen C.S. Paulus & Dale W.R. Rosenthal

  • 2013 Funding liquidity, market liquidity and TED spread : A two-regime model
    by Kris Boudt & Ellen C.S. Paulus & Dale W.R. Rosenthal

  • 2013 Funding liquidity, market liquidity and TED spread : A two-regime model
    by Kris Boudt & Ellen C.S. Paulus & Dale W.R. Rosenthal

  • 2013 Why Is Finance Important? Some Thoughts on Post-Crisis Economics
    by Yew-Kwang NG

  • 2013 Central Banking after the Crisis: Brave New World or Back to the Future?
    by Emmanuel Carré & Jézabel Couppey-Soubeyran & Dominique Plihon & Marc Pourroy

  • 2013 Nonlinear Dynamics and Recurrence Plots for Detecting Financial Crisis
    by Peter Martey Addo & Monica Billio & Dominique Guegan

  • 2013 The sovereign debt crisis: the impact on the intermediation model of Italian banks
    by Stefano Cosma & Elisabetta Gualandri

  • 2013 A liquidity risk index as a regulatory tool for systemically important banks? An empirical assessment across two financial crises
    by Gianfranco Gianfelice & Giuseppe Marotta & Costanza Torricelli

  • 2013 Per un accesso sostenibile delle Pmi al credito (A sustainable access to credit for SMEs)
    by Giuseppe Marotta

  • 2013 Per un accesso sostenibile delle Pmi al credito (A sustainable access to credit for SMEs)
    by Giuseppe Marotta

  • 2013 Interest rate derivative markets in Hungary between 2009 and 2012 in light of the K14 dataset
    by Zalán Kocsis & Csaba Csávás & István Mák & György Pulai

  • 2013 Factor Vector Autoregressive Estimation of Heteroskedastic Persistent and Non Persistent Processes Subject to Structural Breaks: New Insights on the US OIS SPreads Term Structure
    by Claudio Morana

  • 2013 Selloffs, Bailouts, and Feedback: Can Asset Markets Inform Policy
    by Raphael Boleslavsky & David L Kelly & Curtis R Taylor

  • 2013 Gelişmekte Olan Ülkelerdeki Kriz Sırası ve Sonrasındaki Trendleri Açıklamakta "Güvenli Liman Faktörü" ve Finansal Şokların Boyutunun Önemi: Türkiye Örneği
    by Hasan Cömert & Selman Çolak

  • 2013 Lost at Sea: The Euro Needs a Euro Treasury
    by Jorg Bibow

  • 2013 Prudential Capital Controls: The Impact of Different Collateral Constraint Assumptions
    by Mitsuru Katagiri & Ryo Kato & Takayuki Tsuruga

  • 2013 A model of financial contagion with variable asset returns may be replaced with a simple threshold model of cascades
    by Teruyoshi Kobayashi

  • 2013 Understanding Financial Crises: Causes, Consequences, and Policy Responses
    by Stijn Claessens & M. Ayhan Kose & Luc Laeven & Fabián Valencia

  • 2013 Crises, Economic Integration and Growth Collapses in African Countries
    by Abdilahi Ali & Katsushi S. Imai

  • 2013 Cascades in real interbank markets
    by Fariba Karimi & Matthias Raddant

  • 2013 Announcements of ECB Unconventional Programs: Implications for the Sovereign Risk of Italy
    by Matteo Falagiarda & Stefan Reitz

  • 2013 A flow network analysis of direct balance-sheet contagion in financial networks
    by Mario Eboli

  • 2013 Financial stress and economic dynamics: an application to France
    by Sofiane Aboura & Björn van Roye

  • 2013 On Assortative and Disassortative Mixing Scale-Free Networks: The Case of Interbank Credit Networks
    by Daniel Fricke & Karl Finger & Thomas Lux

  • 2013 Hubs and resilience: towards more realistic models of the interbank markets
    by Mattia Montagna & Thomas Lux

  • 2013 On the Distribution of Links in the Interbank Network: Evidence from the e-Mid Overnight Money Market
    by Daniel Fricke & Thomas Lux

  • 2013 House Prices, Heterogeneous Banks and Unconventional Monetary Policy Options
    by Andrew Lee Smith

  • 2013 Slovakia: A Catching Up Euro Area Member In and Out of the Crisis
    by Fidrmuc, Jarko & Klein, Caroline & Price, Robert & Wörgötter, Andreas

  • 2013 Groupthink: Collective Delusions in Organizations and Markets
    by Benabou, Roland

  • 2013 Changing Forces of Gravity: How the Crisis Affected International Banking
    by Claudia M. Buch & K. Neugebauer & C. Schröder

  • 2013 Flight Patterns and Yields of European Government Bonds
    by Gregor von Schweinitz

  • 2013 South African labour market transitions during the global financial and economic crisis: Micro-level evidence from the NIDS panel and matched QLFS cross-sections
    by Essers, Dennis

  • 2013 Why Growth in Emerging Economies Is Likely to Fall
    by Anders Aslund

  • 2013 Wealth effects and the consumption of Italian households in the Great Recession
    by Renata Bottazzi & Serena Trucchi & Matthew Wakefield

  • 2013 Changing Forces of Gravity: How the Crisis Affected International Banking
    by Claudia M. Buch & Katja Neugebauer & Christoph Schröder

  • 2013 Interdependence of Stock Markets Before and After the Global Financial Crisis of 2007
    by Boulis Ibrahim & Janusz Brzeszczynski &

  • 2013 The Stock Market Reaction to Changes to Credit Ratings of US-Listed Banks
    by Edward Jones & Quentin Mulet-Marquis

  • 2013 The ‘Celtic Crisis’: Guarantees, transparency, and systemic liquidity risk
    by Philipp König & Kartik Anand & Frank Heinemann &

  • 2013 Forecasting systemic impact in financial networks
    by Nikolaus Hautsch & Julia Schaumburg & Melanie Schienle &

  • 2013 The Borrowing Costs of Selected Countries of the European Union – the Role of the Spillover of External Shocks
    by Davor Kunovac

  • 2013 CEO Option Compensation, Risk-Taking Incentives, and Systemic Risk in the Banking Industry
    by Jeong-Bon Kim & Li Li & Mary L. Z. Ma & Frank M. Song

  • 2013 Global Financial Crisis, Corporate Governance, and Firm Survival: The Russian Experience
    by Iwasaki, Ichiro

  • 2013 A wake-up call: information contagion and strategic uncertainty
    by Ahnert, Toni & Bertsch, Christoph

  • 2013 Lines of Credit and Investment: Firm-Level Evidence of Real Effects of the Financial Crisis
    by Holmberg, Karolina

  • 2013 Firm-Level Evidence of Shifts in the Supply of Credit
    by Holmberg, Karolina

  • 2013 A detrimental feedback loop: deleveraging and adverse selection
    by Bertsch, Christoph

  • 2013 Credit Rating Agency Announcements and the Eurozone Sovereign Debt Crises
    by Baum, Christopher & Karpava, Margarita & Schäfer, Dorothea & Stephan, Andreas

  • 2013 Economic Regime Shifts and the US Subprime Bubble
    by Anundsen, André Kallåk

  • 2013 Predicting the Past: Understanding the Causes of Bank Distress in the Netherlands in the 1920s
    by Christopher L. Colvin & Abe de Jong & Philip T. Fliers

  • 2013 Tweets, Google Trends and Sovereign Spreads in the GIIPS
    by Theologos Dergiades & Costas Milas & Theodore Panagiotidis

  • 2013 Are there any Animal Spirits behind the Scenes of the Euro area Sovereign Debt Crisis?
    by Emmanuel Mamatzakis

  • 2013 Contagion Dynamics in EMU Government Bond Spreads
    by Christian Leschinski, Christian & Bertram, Philip

  • 2013 Financial Innovation, Collateral and Investment
    by Ana Fostel & John Geanakoplos

  • 2013 Leverage and Default in Binomial Economies: A Complete Characterization
    by Ana Fostel & John Geanakoplos

  • 2013 International Reserves versus External Debts : Can International reserves avoid future Financial Crisis in indebted Countries ?
    by Layal Mansour

  • 2013 Evolution of Russia’s Budgetary Policy in the 2000s: in Search of Financial Stability for the National Budget System
    by Sergey Drobyshevsky & Sergey Sinelnikov-Murylev & Ilya Sokolov

  • 2013 Fire-sale spillovers and systemic risk
    by Duarte, Fernando M. & Eisenbach, Thomas M.

  • 2013 Order flow segmentation and the role of dark trading in the price discovery of U.S. treasury securities
    by Fleming, Michael J. & Nguyen, Giang

  • 2013 How do global banks scramble for liquidity? Evidence from the asset-backed commercial paper freeze of 2007
    by Acharya, Viral V. & Afonso, Gara M. & Kovner, Anna

  • 2013 Identifying term interbank loans from Fedwire payments data
    by Kuo, Dennis & Skeie, David R. & Vickery, James & Youle, Thomas

  • 2013 Financial stability monitoring
    by Adrian, Tobias & Covitz, Daniel M. & Liang, J. Nellie

  • 2013 Rollover risk as market discipline: a two-sided inefficiency
    by Eisenbach, Thomas M.

  • 2013 Measuring capital adequacy supervisory stress tests in a Basel world
    by Wall, Larry D.

  • 2013 The adoption of stress testing: why the Basel capital measures were not enough
    by Wall, Larry D.

  • 2013 Financialisation, Media and Social Change
    by Catherine Happer

  • 2013 Reforming Finance; A Literature Review
    by Ton Notermans

  • 2013 The Shadow Banking System and the Financial Crisis:A securities production function view
    by Photis Lysandrou & Anastasia Nesvetailova

  • 2013 Methodological issues in theorising the financial, economic and social system: realistic and systematic abstraction
    by Andrew Brown

  • 2013 The Italian Financial System
    by Costanza Consolandi & Giampaolo Gabbi & Massimo Matthias & Pietro Vozzella

  • 2013 Comparative Perspective on Financial System in the EU, Country Report on Turkey
    by Pinar Bedirhanoglu & Hasan Comert & Ipek Eren & Isil Erol & Demir Demiroz & Nilgün Erdem & Ali Riza Gungen & Thomas Marois & Aylin Topal & Oktar Turel & Galip Yalman & Erinc Yeldan & Ebru Voyvoda

  • 2013 Report on the financial system in Portugal
    by Sérgio Lagoa & Emanuel Leão & Ricardo Paes Mamede & Ricardo Barradas

  • 2013 Studies in Financial Systems No 8 Hungary
    by Szabolcs Szikszai & Tamás Badics & Csilla Raffai & Zsolt Stenger & András Tóthmihály

  • 2013 Studies in Financial Systems No 3 The German Financial System
    by Daniel Detzer & Nina Dodig & Trevor Evans & Eckhard Hein & Hansjörg Herr

  • 2013 Credit Ratings and the Pricing of Sovereign Debt during the Euro Crisis
    by Joshua Aizenman & Mahir Binici & Michael Mercier Hutchison

  • 2013 Minsky Perpective on the Macroprudential Policy
    by Oğuz Esen & Ayla Oğuş Binatlı

  • 2013 Türkiye’de 2008 Krizinin Eksik İstihdama Etkileri
    by Acun, Serdar

  • 2013 Counter Cyclical Financial Regulation: Potential for Engendering Greater Stability in the Financial System
    by Devika Dutt

  • 2013 A Look at the Structural Bank Regulation Initiatives and a Discussion over Turkish Banking Sector?
    by Burçhan Sakarya

  • 2013 The bonsai and the gardener: using flow data to better assess financial sector leverage
    by Javier Villar Burke

  • 2013 An Integrated Financial Framework for the Banking Union: Don’t Forget Macro-Prudential Supervision
    by Dirk Schoenmaker

  • 2013 Design Failures in the Eurozone - can they be fixed?
    by Paul de Grauwe

  • 2013 A Capital Adequacy Buffer Model
    by Allen, D.E. & Powell, R.J. & Singh, A.K.

  • 2013 Sensitivity Analysis of Domestic Credit to Private Sector in Pakistan: A Variable Replacement Approach Application with Con-integration
    by Mondher bellalah & SYED ALAMDAR ALI & Omar Masood

  • 2013 Does co-integration and causal relationship exist between the non-stationary variables for Chinese bank’s profitability? Empirical evidence
    by Mondher bellalah & Olivier Levyne & Omar Masood

  • 2013 Mill Et La Crise De 1825
    by Alain Béraud

  • 2013 'By a Silken Thread': regional banking integration and pathways to financial development in Japan's Great Recession
    by Mathias Hoffmann & Toshihiro Okubo

  • 2013 Financial Crises: Explanations, Types and Implications
    by Stijn Claessens & M. Ayhan Kose

  • 2013 Understanding Financial Crises: Causes, Consequences, and Policy Responses
    by Stijn Claessens & M. Ayhan Kose & Luc Laeven & Fabián Valencia

  • 2013 Economic adjustment in the Baltic Countries
    by Ardo Hansson & Martti Randveer

  • 2013 Politically Connected Firms in Poland and Their Access to Bank Financing
    by Hasan, Iftekhar & Jackowicz, Krzysztof & Kowalewski, Oskar & Kozlowski, Lukasz

  • 2013 Asset Commonality, Debt Maturity and Systemic Risk
    by Allen, Franklin & Babus, Ana & Carletti, Elena

  • 2013 Why High Leverage Is Optimal for Banks
    by DeAngelo, Harry & Stulz, Rene M.

  • 2013 Why Did Financial Institutions Sell RMBS at Fire Sale Prices during the Financial Crisis?
    by Merrill, Craig B. & Nadauld, Taylor & Sherlund, Shane M.

  • 2013 Can Rumors and Other Uninformative Messages Cause Illiquidity ?
    by Radu, Vranceanu & Besancenot, Damien & Dubart, Delphine

  • 2013 Banking Crises and “Japanization†: Origins and Implications
    by Masahiro Kawai & Peter Morgan

  • 2013 Banking Crises and “Japanization†: Origins and Implications
    by Masahiro Kawai & Peter Morgan

  • 2013 Time-Varying Systemic Risk: Evidence from a Dynamic Copula Model of CDS Spreads
    by Dong Hwan Oh & Andrew J. Patton

  • 2013 Contagion effect due to Lehman Brothers’ bankruptcy and the global financial crisis - From the perspective of the Credit Default Swaps’ G14 dealers
    by Irfan Akbar Kazi & Suzanne Salloy

  • 2013 A new approach of contagion based on smooth transition conditional correlation GARCH models: An empirical application to the Greek crisis
    by Henri Audigé

  • 2013 When does the general public lose trust in banks?
    by David-Jan Jansen & Robert Mosch & Carin van der Cruijsen

  • 2013 The Level Effect of Bank Lending Standards on Business Lending
    by Koen van der Veer & Marco Hoeberichts

  • 2013 Shocks Abroad, Pain at Home? Bank-Firm Level Evidence on the International Transmission of Financial Shocks
    by Steven Ongena & Jose Luis Peydro & Neeltje van Horen

  • 2013 How to measure the unsecured money market? The Eurosystem's implementation and validation using TARGET2 data
    by Luca Arciero & Ronald Heijmans & Richard Heuver & Marco Massarenti & Cristina Picillo & Francesco Vacirca

  • 2013 Reviewing the Leverage Cycle
    by Ana Fostel & John Geanakoplos

  • 2013 Financial Innovation, Collateral and Investment
    by Ana Fostel & John Geanakoplos

  • 2013 Financial Innovation, Collateral and Investment
    by Ana Fostel & John Geanakoplos

  • 2013 Crowding Out Redefined: The Role of Reserve Accumulation
    by Reinhart, Carmen M. & Tashiro, Takeshi

  • 2013 Gambling for resurrection in Iceland: the rise and fall of the banks
    by Baldursson, Fridrik Mar & Portes, Richard

  • 2013 Recreating the South Sea Bubble: Lessons from an Experiment in Financial History
    by Giusti, Giovanni & Noussair, Charles & Voth, Hans-Joachim

  • 2013 Information Management in Banking Crises
    by Shapiro, Joel & Skeie, David

  • 2013 Why do governments default, and why don't they default more often?
    by Buiter, Willem H. & Rahbari, Ebrahim

  • 2013 Bank Capital and Dividend Externalities
    by Acharya, Viral V & Le, Hanh & Shin, Hyun Song

  • 2013 Structured Debt Ratings: Evidence on Conflicts of Interest
    by Efing, Matthias & Hau, Harald

  • 2013 The "Greatest" Carry Trade Ever? Understanding Eurozone Bank Risks
    by Acharya, Viral V & Steffen, Sascha

  • 2013 Testing Macroprudential Stress Tests: The Risk of Regulatory Risk Weights
    by Acharya, Viral V & Engle III, Robert F & Pierret, Diane

  • 2013 Three Sisters: The Interlinkage between Sovereign Debt, Currency and Banking Crises
    by Eijffinger, Sylvester C W & Karatas, Bilge

  • 2013 Capital, Trust and Competitiveness in the Banking Sector
    by Gehrig, Thomas

  • 2013 Financial Crises: Explanations, Types, and Implications
    by Claessens, Stijn & Kose, Ayhan

  • 2013 Credit Market Competition and Liquidity Crises
    by Carletti, Elena & Leonello, Agnese

  • 2013 Understanding Financial Crises: Causes, Consequences, and Policy Responses
    by Claessens, Stijn & Kose, Ayhan & Laeven, Luc & Valencia, Fabian

  • 2013 Financial Shocks and Economic Activity in the Netherlands
    by Peter Broer & Jürgen Antony

  • 2013 The private value of too-big-to-fail guarantees
    by Michiel Bijlsma & Remco Mocking

  • 2013 How Large was the Credit Crunch in the OECD?
    by Michiel Bijlsma & Andrei Dubovik & Bas Straathof

  • 2013 Testing for multiple bubbles with daily data
    by Uribe Gil, Jorge Mario

  • 2013 Co-movements between Latin American and U.S. stock markets: convergence after the financial crisis
    by Andrés Ramírez Hassan & Javier Pantoja Robayo

  • 2013 Inflation and the Steeplechase Between Economic Activity Variables
    by Jaromir Baxa & Miroslav Plasil & Borek Vasicek

  • 2013 Short-Term Determinants of the Idiosyncratic Sovereign Risk Premium: A Regime-Dependent Analysis for European Credit Default Swaps
    by Giovanni Calice & RongHui Miao & Filip Sterba & Borek Vasicek

  • 2013 Medium and long run prospects for UK growth in the aftermath of the financial crisis
    by Nicholas Oulton

  • 2013 How does relationship banking influence credit financing? Evidence from the financial crisis
    by Christa Hainz & Manuel Wiegand

  • 2013 'By a Silken Thread': Regional Banking Integration and Pathways to Financial Development in Japan's Great Recession
    by Mathias Hoffmann & Toshihiro Okubo

  • 2013 Medium and Long Run Prospects for UK Growth in the Aftermath of the Financial Crisis
    by Nicholas Oulton

  • 2013 A Capital Adequacy Buffer Model
    by David Allen & Michael McAleer & Robert Powell & Abhay Singh

  • 2013 Spillover in Euro Area Sovereign Bond Markets
    by Conefrey, Thomas & Cronin, David

  • 2013 A Comparative Analysis Of Ex Ante Credit Spreads: Structured Finance Versus Straight Debt Finance
    by João Pinto & Manuel Marques & William Megginson

  • 2013 Modeling Dynamic Diurnal Patterns in High-Frequency Financial Data
    by Ito, Ryoko

  • 2013 Efficiency of stock markets and exchange rates: Emerging vs.developed countries
    by Ahmet Sensoy

  • 2013 Effects Of Volatility Shocks On The Dynamic Linkages Between Exchange Rate, Interest Rate And The Stock Market: The Case Of Turkey
    by Ahmet Sensoy & Cihat Sobaci

  • 2013 Subprime borrowers, securitization and the transmission of business cycles
    by Anna Grodecka

  • 2013 Rules of Thumb for Banking Crises in Emerging Markets
    by P. Manasse & R. Savona & M. Vezzoli

  • 2013 Sovereign Contagion in Europe: Evidence from the CDS Market
    by P. Manasse & L. Zavalloni

  • 2013 A financial systemic stress index for Greece
    by Dimitrios P. Louzis & Angelos T. Vouldis

  • 2013 Measuring return and volatility spillovers in euro area financial markets
    by Dimitrios P. Louzis

  • 2013 The crisis in the euro area: an analytic overview
    by Heather D. Gibson & Theodore Palivos & George S. Tavlas

  • 2013 Leverage, default, and forgiveness: lessons from the American and European crises
    by John Geanakoplos

  • 2013 The eurozone crisis: phoenix miracle or lost decade?
    by Barry Eichengreen & Naeun Jung & Stephen Moch & Ashoka Mody

  • 2013 Ireland’s economic crisis the good, the bad and the ugly
    by Karl Whelan

  • 2013 Lessons for monetary policy from the euro-area crisis
    by C.A.E Goodhart

  • 2013 The European Crisis and the role of the financial system
    by Vitor Constancio

  • 2013 Contagion in the interbank network : An epidemiological approach
    by Toivanen, Mervi

  • 2013 The benefits of conservative accounting to shareholders : Evidence from the financial crisis
    by Francis, Bill & Hasan, Iftekhar & Wu, Qiang

  • 2013 Market discipline and the Russian interbank market
    by Andrievskaya, Irina & Semenova, Maria

  • 2013 Financial Stability Paper No 27: Sovereign Default and State-Contingent Debt
    by Brooke, Martin & Pienkowski, Alex & Mendes, Rhys & Santor, Eric

  • 2013 Financial Stability Paper No 25: The structure and dynamics of the UK CDS market
    by Benos, Evangelos & Wetherilt, Anne & Zikes, Filip

  • 2013 Financial Stability Paper No 23: The Fractal Market Hypothesis and its implications for the stability of financial markets
    by Anderson, Nicola & Noss, Joseph

  • 2013 Central counterparties and the topology of clearing networks
    by Galbiati, Marco & Soramaki, Kimmo

  • 2013 Capital over the business cycle: renting versus ownership
    by Gal, Peter & Pinter, Gabor

  • 2013 Credit Rating Agency Downgrades and the Eurozone Sovereign Debt Crises
    by Christopher F. Baum & Dorothea Schäfer & Andreas Stephan

  • 2013 Learning to Argue with Intermediate Macro Theory: A Semester-Long Team Writing Project
    by Marketa Halova Wolfe & Georg H. Strasser

  • 2013 Financing Japan’s World War II occupation of Southeast Asia
    by Gregg Huff & Shinobu Majima

  • 2013 Recreating the South Sea Bubble: Lessons from an Experiment in Financial History
    by Giovanni Giusti & Charles Noussair & Hans-Joachim Voth

  • 2013 Interbank Liquidity Crunch and the Firm Credit Crunch: Evidence from the 2007-2009 Crisis
    by Rajkamal Iyer & Samuel Da-Rocha-Lopes & José-Luis Peydró & Antoinette Schoar

  • 2013 Domino Effects when Banks Hoard Liquidity: The French network
    by Fourel, V. & Héam, J-C. & Salakhova, D. & Tavolaro, S.

  • 2013 In Defense of Early Warning Signals
    by Bussière, M.

  • 2013 The Italian financial cycle: 1861-2011
    by Riccardo De Bonis & Andrea Silvestrini

  • 2013 Pure or wake-up-call contagion? Another look at the EMU sovereign debt crisis
    by Raffaela Giordano & Marcello Pericoli & Pietro Tommasino

  • 2013 Identifying and tracking global, EU and Eurozone systemically important banks with public data
    by Sergio Masciantonio

  • 2013 Financial innovation oversight: a policy framework
    by Gola Carlo & Ilari Antonio

  • 2013 The rise and fall of universal banking: ups and downs of a sample of large and complex financial institutions since the late �90s
    by Sergio Masciantonio & Andrea Tiseno

  • 2013 Connect them where it hurts. The missing piece of the puzzle
    by Lorenzo Esposito

  • 2013 Disentangling contagion among sovereign cds spreads during the european debt crisis
    by Carmen Broto & Gabriel Perez-Quiros

  • 2013 Growth beyond imbalances. Sustainable growth rates and output gap reassessment
    by Enrique Alberola & Ángel Estrada & Daniel Santabárbara

  • 2013 Some Thoughts On The Spanish Economy After Five Years Of Crisis
    by Eloísa Ortega & Juan Peñalosa

  • 2013 Funding Advantage and Market Discipline in the Canadian Banking Sector
    by Mehdi Beyhaghi & Chris D'Souza & Gordon S. Roberts

  • 2013 The ‘Celtic Crisis’: Guarantees, Transparency and Systemic Liquidity Risk
    by Philipp König & Kartik Anand & Frank Heinemann

  • 2013 Fire-Sale FDI or Business as Usual?
    by Ron Alquist & Rahul Mukherjee & Linda Tesar

  • 2013 A Semiparametric Early Warning Model of Financial Stress Events
    by Ian Christensen & Fuchun Li

  • 2013 Deleveraging from Emerging Markets: the Case of Euro-area Banks
    by Alicia Garcia-Herrero & Fielding Chen

  • 2013 Labour's Record on Financial Regulation
    by Arupratan Daripa & Sandeep Kapur & Stephen Wright

  • 2013 The Multivariate Option iPoD Framework - Assessing Systemic Financial Risk
    by Philipp Matros & Johannes Vilsmeier

  • 2013 Does credit crunch investments down? New evidence on the real effects of the bank-lending channel
    by Federico Cingano & Francesco Manaresi & Enrico Sette

  • 2013 The fading stock market response to announcements of bank bailouts
    by Michele Fratianni & Francesco Marchionne

  • 2013 Labor Busted, Rising Inequality and the Financial Crisis of 1929: An Unlearned Lesson
    by Jon D. Wisman

  • 2013 Unhappy families are all alike: Minskyan cycles, Kaldorian growth, and the Eurozone peripheral crises
    by Alberto Bagnai

  • 2013 Assessing Measures of Order Flow Toxicity via Perfect Trade Classification
    by Torben G. Andersen & Oleg Bondarenko

  • 2013 Reflecting on the VPIN Dispute
    by Torben G. Andersen & Oleg Bondarenko

  • 2013 Classifying Returns as Extreme: European Stock and Bond Markets
    by Charlotte Christiansen

  • 2013 It’s all about volatility (of volatility): evidence from a two-factor stochastic volatility model
    by Stefano Grassi & Paolo Santucci de Magistris

  • 2013 The Way Forward — Central Banks with Financial Stability Mandates: The Case of the Eurosystem
    by Anne Sibert

  • 2013 The Eurozone Crisis
    by Richard Portes

  • 2013 Macroprudential and Monetary Policies
    by Frederic S. Mishkin

  • 2013 The Eurozone Crisis: Causes, Remedy, and Misperceptions
    by Richard C. Koo

  • 2013 Is Our Economy's Financial Sector Worth What It Costs Us?
    by Benjamin M. Friedman

  • 2013 Real and Imaginary Resolution Options for Large Financial Institutions
    by David A. Skeel Jr.

  • 2013 The Ex Ante versus Ex Post Effect of Public Guarantees
    by Evren Damar & Reint Gropp & Adi Mordel

  • 2013 The Elusive Scale Economies of the Largest Banks and Their Implications for Global Competitiveness
    by Joseph P. Hughes

  • 2013 Bankers and Brokers First: Loose Ends in the Theory of Central Bank Policymaking
    by Edward J. Kane

  • 2013 Occupying the Wrong Street? The Social Productivity of the Financial Sector: Some Comments
    by Gerard Caprio Jr.

  • 2013 Output Growth Variability: The Role of Financial Markets
    by Alexander Popov

  • 2013 In Defense of Wall Street: The Social Productivity of the Financial System
    by Ross Levine

  • 2013 Threats to Financial Stability in Emerging Markets: The New and Very Active Role of Central Banks
    by Liliana Rojas-Suarez

  • 2013 International Monetary Reform: Exchange Rates or Interest Rates?
    by Ronald McKinnon

  • 2013 Bank Capital Regulations: Learning the Right Lessons from the Crisis
    by Asli Demirgüç-Kunt

  • 2013 Classic FIT and Lean FIT: Is Inflation-Targeting Guilty of Causing the Financial Instability of 2007–2009?
    by Takatoshi Ito

  • 2013 Low Interest Rates and Housing Bubbles: Still No Smoking Gun
    by Kenneth N. Kuttner

  • 2013 Can We Identify the Financial Cycle?
    by Mathias Drehmann & Claudio Borio & Kostas Tsatsaronis

  • 2013 Overcoming the Fear of Free Falling: Monetary Policy Graduation in Emerging Markets
    by Carlos A. Vegh & Guillermo Vuletin

  • 2013 Role of Central Banks in Financial Stability: Lessons from the Experience of the Bank of Japan
    by Takeo Hoshi

  • 2013 Financial Stability: Lessons Learned from the Recent Crisis and Implications for the Federal Reserve
    by Nellie Liang

  • 2013 Pursuing Financial Stability at the Federal Reserve
    by Janet L. Yellen

  • 2013 The Role of Central Banks in Financial Stability: How Has It Changed?
    by Willem H. Buiter

  • 2013 The (Changing) Role of Central Banks in Financial Stability Policies
    by Peter Praet

  • 2013 Stock Market Crashes In 2007–2009: Were We Able To Predict Them?
    by Sébastien Lleo & William T. Ziemba

  • 2013 Equity Risk Premiums (Erp): Determinants, Estimation And Implications — The 2012 Edition
    by Aswath Damodaran

  • 2013 Credit Loss And Systematic Lgd
    by Jon Frye & Michael Jacobs Jr.

  • 2013 Sme Rating: Risk Globally, Measure Locally
    by Oliviero Roggi & Alessandro Giannozzi

  • 2013 MODELING CREDIT RISK FOR SMEs: EVIDENCE FROM THE US MARKET
    by Edward I. Altman & Gabriele Sabato

  • 2013 Analyzing The Impact Of Effective Risk Management: Innovation And Capital Structure Effects
    by Torben Juul Andersen

  • 2013 Integrated Wealth And Risk Management: First Principles
    by Zvi Bodie

  • 2013 Illiquidity Or Credit Deterioration: A Study Of Liquidity In The Us Corporate Bond Market During Financial Crises
    by Nils Friewald & Rainer Jankowitsch & Marti G. Subrahmanyam

  • 2013 Liquidity And Efficiency In Three Related Foreign Exchange Options Markets
    by Menachem Brenner & Ben Z. Schreiber

  • 2013 Taxing Systemic Risk
    by Viral V. Acharya & Lasse Pedersen & Thomas Philippon & Matthew Richardson

  • 2013 Measuring Systemic Risk
    by Viral V. Acharya & Christian Brownlees & Robert Engle & Farhang Farazmand & Matthew Richardson

  • 2013 Toward A Bottom-Up Approach To Assessing Sovereign Default Risk: An Update
    by Edward I. Altman & Herbert Rijken

  • 2013 An Evolutionary Perspective On The Concept Of Risk, Uncertainty And Risk Management
    by Oliviero Roggi & Omar Ottonelli

  • 2013 The 2007- Financial Crisis - a EURO-pean Perspective
    by Juan Ayuso & Roberto Blanco

  • 2013 Bubbles, Financial Crises, and Systemic Risk
    by Brunnermeier, Markus K. & Oehmke, Martin

  • 2013 Evolving Roles of Sovereign Wealth Managers After the Financial Crisis:Past, Present and Future
    by Bernard Lee

  • 2013 The Role of Central Banks in Financial Stability:How Has It Changed?
    by

  • 2013 Managing and Measuring Risk:Emerging Global Standards and Regulations After the Financial Crisis
    by

  • 2013 International Finance and Risk Management
    by

  • 2013 Money creation and financial instability: An agent-based credit network approach
    by Lengnick, Matthias & Krug, Sebastian & Wohltmann, Hans-Werner

  • 2013 SinkRank: An algorithm for identifying systemically important banks in payment systems
    by Soramäki, Kimmo & Cook, Samantha

  • 2013 Determinants of Corporate Debt Ratios: Evidence from Manufacturing Companies Listed on the Bucharest Stock Exchange
    by Sorana VĂTAVU

  • 2013 Finance Capitalism: A Look at the European Financial Accounts
    by Massimo Cingolani

  • 2013 The Determinants Of Banking System Vulnerability In The Republic Of Moldova
    by CLICHICI, Dorina

  • 2013 Economic and political implications of the Poladn’s accession to the European fiscal union
    by Grzegorz Libor & Jolanta Galuszka & Ireneusz Galuszka

  • 2013 Do Crises Catalyze Creative Destruction? Firm-level Evidence from Indonesia
    by Mary Hallward-Driemeier & Bob Rijkers

  • 2013 Is Protectionism on the Rise? Assessing National Trade Policies during the Crisis of 2008
    by Hiau Looi Kee & Cristina Neagu & Alessandro Nicita

  • 2013 Trends and Impacts of Real and Financial Globalization in the People's Republic of China and India since the 1980s
    by TN Srinivasan

  • 2013 Fragility of reputation and clustering of risk-taking
    by Ordoñez, Guillermo L.

  • 2013 The Run On Repo and the Liquidity Shortage Problems of the Current Global Financial Crisis: Europe vs. The US
    by Beniamino Moro

  • 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
    by CRISTE Adina & LUPU Iulia

  • 2013 Considerations Concerning Guarantee Schemes
    by CLIPICI Emilia & FRANT Florin

  • 2013 Systemic Risk Analysis of Turkish Financial Institutions with Systemic Expected Shortfall
    by Irem Talasli

  • 2013 Financial Crises: Review and Evidence
    by Stijn Claessens & M. Ayhan Kose

  • 2013 "In the Wake of the Crisis : Leading Economists Reassess Economic Policy" Edited by Olivier Blanchard, David Romer, Michael Spence, and Joseph Stiglitz
    by Murat Ungor

  • 2013 THE RISE AND FALL OF UNIVERSAL BANKING: UPS AND DOWNS OF A SAMPLE OF LARGE AND COMPLEX FINANCIAL INSTITUTIONS SINCE THE LATE '90s
    by Sergio MASCIANTONIO & Andrea TISENO

  • 2013 International Financial Integration And Financial Soundness In Emerging And Developing Economies
    by Ezzeddine ABAOUB & Nahil BOUSSIGA

  • 2013 Volatility Spillover And Channels Transmission During Subprime Crisis: Empirical Study Of Usa Stock Market And Other Developed Stock Markets
    by Ghorbel ACHRAF & Younes BOUJELBENE & Chouchene ISSAM

  • 2013 Why did unemployment respond so differently to the global financial crisis across countries? Insights from Okun’s Law
    by Sandrine Cazes & Sher Verick & Fares Al Hussami

  • 2013 Role of Customs Duties in the Formation of Budget Revenues
    by Mirela - Anca Postole & Marilena Ciobănaşu

  • 2013 Why society is a complex problem? A review of Philip Ball's book: Meeting Twentyfirst Century Challenges with a New Kind of Science
    by Diana Tampu & Carmen Costea

  • 2013 The Effect Of 2008 Stock Market Crash On Underpricing Of Book-Built Ipos: A Study Of Indian Capital Market
    by DIVYA JINDAL & RAVI SINGLA

  • 2013 Deposit Insurance in Times of Financial Crisis
    by Vesna Micajkova

  • 2013 SME Financing Conditions in Europe: Credit Crunch or Fundamentals?
    by Sarah Holton & Martina Lawless & Fergal McCann

  • 2013 An Assessment of Bank Lending to UK SMEs in the wake of the crisis
    by Angus Armstrong & E. Philip Davis & Iana Liadze & Cinzia Rienzo

  • 2013 Real-Time Warning Signs of Emerging and Collapsing Chinese House Price Bubbles
    by Xi Chen & Michael Funke

  • 2013 Beyond the illusion of numbers: A challenge for financial regulators and analysts
    by Carol Royal & Loretta O’Donnell

  • 2013 Financial crisis. Implementation of macro- and micro-prudential regulation
    by Orkida (Findiku) Ilollari & Gentiana Gjino

  • 2013 History of Credit Crisis as a Mirror: An International Perspective on the Impact of the Sub-Prime Crisis on the Performance of Investment and Commercial Banks
    by Yang-Cheng Lu & Hao Fang & Shu-Lien Chang

  • 2013 Financialisation: Structure, Extent, Consequences
    by Iancu, Aurel

  • 2013 A DCC-GARCH Model To Estimate the Risk to the Capital Market in Romania
    by Acatrinei, Marius & Gorun, Adrian & Marcu, Nicu

  • 2013 Supervision Of Financial Markets
    by MIHAI, Ilie & GORGAN, Alina

  • 2013 Influence of the economic cycle on the determinants of nascent entrepreneurial activity. An empirical analysis of the Spanish case
    by Martínez Mateo, Jesús & Mira Solves, Ignacio & Gómez Gras, José M.ª

  • 2013 Asia and Europe are Different? : Credit Reponse to Global Bank Deleveraging
    by Aiyar, Shekhar & Jain-Chandra, Sonali

  • 2013 Liberalization Process and Financial Instability: A Mediterranean Perspective
    by Wafa, Aidi

  • 2013 Analysis With Financial Ratios of Effects of 1994 – 2001 Economic Crisis Experienced in Turkish Economy and 2008 Global Economic Crisis on Manufacturing Industry Sector
    by Serdar Karaca, Suleyman & Cigdem, Resid

  • 2013 An Investigation on Causes of Banking Crises from Asymmetric Knowledge Framework: A Microeconomic Approach
    by Tuncel, Cem Okan

  • 2013 Effective Comparison of Global Financial Crisis (2007) on Inflation of OPEC Countries and Selected Countries of G8
    by Yazdan Naghdi & Soheila Kaghazian & Nasibeh Kakoei

  • 2013 Commercial Banks Liquidity in Pakistan: Firm Specific and Macroeconomic Factors
    by Muhammad Farhan Malik & Amir Rafique

  • 2013 Connections between Frontier Markets
    by Eliza-Olivia Lungu

  • 2013 Productivity and Misallocation During a Crisis: Evidence from the Chilean Crisis of 1982
    by Ezra Oberfield

  • 2013 Business Cycle Accounting East and West: Asian Finance and the Investment Wedge
    by Dooyeon Cho & Antonio Doblas-Madrid

  • 2013 Integracion de los mercados financieros de Europa: El impacto de la crisis soberana de Grecia
    by Alejandro Islas Camargo & Tania P. Sanabria Flores & Francisco Lopez Herrera

  • 2013 The European Banking Union: Will It Be a True Union without Risk Sharing?
    by Mario Sarcinelli

  • 2013 Hyman Minsky's monetary production economy
    by Alessandro Roncaglia

  • 2013 Regole di Basilea e modelli di vigilanza: quale convergenza? (Basel rules and supervisory models: What convergence?)
    by Elisabetta Montanaro

  • 2013 L'unione bancaria europea e la stabilizzazione dell'Eurozona
    by Mario Sarcinelli

  • 2013 Influence of the Greek Crisis on the Risk Perception of European Economies
    by Agata Kliber

  • 2013 Kontexty hospodářské politiky a současné finanční a hospodářské krize
    by Slavoj Czesaný

  • 2013 Comparison of Credit Scoring Models on Probability of Default Estimation for Us Banks
    by Petr Gurný & Martin Gurný

  • 2013 Liquidity Ratios of Polish Commercial Banks
    by Pavla VODOVÁ

  • 2013 Analysis of the Regulation on Officially Supported Export Credits from the Czech Exporters´ Viewpoint
    by Jiří Nakládal

  • 2013 Can we Improve Understanding of the Financial Market Dependencies in the Crisis by their Decomposition?
    by Jozef Barunik

  • 2013 Current Changes in the Role of the Insurance Sector
    by Jaroslav Danhel & Eva Duchackova

  • 2013 Money, the Stock Market and the Macroeconomy: A Theoretical Analysis
    by Rilina Basu & Ranjanendra Narayan Nag

  • 2013 Comparative Analysis and the Place of Romania on Insurance Global Market
    by Ana Preda & Mirela Monea

  • 2013 How Affected Was World Insurance Market by Global Crisis?
    by Ana Preda & Mirela Monea

  • 2013 Performances of the Romanian Insurance Market
    by Mirela Monea

  • 2013 Bankruptcy – Effects on Business Environment
    by Claudia Isac

  • 2013 Assessment Of The Central And Eastern Europe Economies In The In The Years 2007-2010 Based Of The Model Of The Macroeconomic Stabilization Pentagon
    by Dorota Zuchowska

  • 2013 Risk Taking, Principal Agent Problems And Breakdown Of Corporate Social Responsibility (Csr): How To Reestablish Safe-Assets And Capital Funding For Social Security?
    by Hans-Georg Petersen & Alexander Martin Wiegelmann

  • 2013 The Fiscal Union As A Remedy For The Economic And Financial Crisis In The European Union
    by Jolanta Galuszka

  • 2013 Potential Instruments That The Ecb Could Take In Order To Face The Euro Zone Crisis
    by Myriam J. Maier

  • 2013 From Tulips to Black Swans – Have the Financial Rules Changed?
    by Stoian Andrei & Becherescu Radu

  • 2013 The Liquidity of the Financial System and the Sovereign Debt Crisis in Europe – Is There a Solution?
    by Nedelcu Monica Letitia

  • 2013 Aspects of Some Problems of the Euro Area Member States
    by Milea Camelia & Ailincã Alina Georgeta & Iordache Floarea

  • 2013 Coordinates of a New European Banking Model
    by Avadanei Anamaria & Tomuleasa Ioana-Iuliana

  • 2013 The Impact of Financial Crisis on the Transactions in Off-Shore Zones
    by Ispas Roxana

  • 2013 The Impact of Globalization in the Context of the Current Crisis
    by Haralambie George Alin

  • 2013 Tax Policy Measures and their Influence on the Romanian SMEs
    by Beca Maru?a & Niºulescu-Ashrafzadeh Ileana

  • 2013 Financial Innovation and the Current Economic Crisis: Do the Benefits Outweigh the Disadvantages?
    by Barna Flavia & Nachescu Miruna Lucia & Dumbraveanu Andrada Alexandra

  • 2013 Crisis Impact on the Dynamics of Services Sector, Causes, Effects; Financial-Banking Sector Abstract:Financial crisis, starting from the instability of banking system, has been gradually felt in the entire economy, the credit appreciation causing difficulties in firms financing and, respectively, in investment, leading to a diminishing in growth, consumption, to the fall of social programs. The study expound the context and causes of financial-banking crisis appearance, some aspects regarding the effects felt in lending activity and its adverse consequences, including the impact on the budget and public debt. The paper includes the analysis of some data and statistical indicators, reflected in tables and graphics
    by Popa Florina

  • 2013 Sovereign Wealth Funds and the New Dynamics of Globalization in the Context of the Current Financial Crisis: International Competitiveness Through Outsourcing in Emerging Countries
    by Drãniceanu Doina

  • 2013 Public Private Partnership (PPP): Comparative Analysis of the Legal and Institutional Framework in Romania, Greece, Italy and PortugalAbstract:Public-Private Partnership (PPP) policies and projects have diffused across Europe and public authorities seem increasingly to be involving the private sector in financing, building and operating new infrastructures. The global and rapidly growing interest in partnerships comes out of the financial crisis which exerts a strong pressure on public finances around the world, having negative effects on the development of necessary infrastructure in different areas. Many countries have adopted the public-private partnership (PPP) model as a means of implementing large-scale infrastructure projects and have launched dedicated PPP units to support the uptake of PPPs. As a result, a wide divergence in national PPP aproaches can be noticed but the lack of processes, procedures an enabling institutions, i.e “governance”, is the main barrier to extending their use
    by Gherman Monica Gabriela

  • 2013 An Inquiry Into Contagion Transmission And Spillover Effects In Stock Markets
    by Trenca Ioan & Petria Nicolae & Dezsi Eva

  • 2013 Global Financial Meltdown And The Indian Economy
    by Mukhopadhyay Debasis & Karmakar Asim Kumar

  • 2013 Economic And Financial Periods Induced Through Banking System
    by Ionita Rodica -Oana & & &

  • 2013 A CROSS-COUNTRY ANALYSIS OF THE BANKSâ€(tm) FINANCIAL SOUNDNESS: THE CASE OF THE CEE-3 COUNTRIES
    by Sargu Alina Camelia & Roman Angela & &

  • 2013 A Macroprudential Supervision Model. Empirical Evidence From The Central And Eastern European Banking System
    by Trenca Ioan & Balogh Peter & Mutu Simona &

  • 2013 The Need To Reform The Banking System - A Premise For The Implementation Of The Basel Iii Accord
    by Cosma Daniela & & &

  • 2013 Quantifying Financial Stability in Austria, New Tools for Macroprudential Supervision
    by Judith Eidenberger & Benjamin Neudorfer & Michael Sigmund & Ingrid Stein

  • 2013 Stress Test Robustness: Recent Advances and Open Problems
    by Thomas Breuer & Martin Summer

  • 2013 Households’ Expectations and Macroeconomic Outcomes – Evidence from the Euro Survey
    by Elisabeth Beckmann & Isabella Moder

  • 2013 Private Sector Debt in CESEE EU Member States
    by Mathias Lahnsteiner

  • 2013 Trust in the EU in CESEE
    by Elisabeth Beckmann & Sandra Dvorsky & Thomas Scheiber

  • 2013 SMEs and the credit crunch: Current financing difficulties, policy measures and a review of literature
    by Gert Wehinger

  • 2013 Crises, Reforms and Growth: A Non-Technical Summary of Recent Empirical Work
    by Petar Stankov

  • 2013 Currency Crises And Some Theoretical Approaches. Evolution Of The Currency Crises In Romania
    by Tahereh Alexandru Olteanu & Madalina Radoi

  • 2013 Financial Contagion Reloaded: The Case Of Cyprus
    by Iulia Monica Oehler-Sincai

  • 2013 Fdi In The Eec-10: A Comparative Analysis
    by Simona Moagar-Poladian & Iulia Monica Oehler-Sincai

  • 2013 A Company’S Viability: Essence, Sphere Of Application And Methodologial Bases For Estimation
    by Larisa LIGONENKO

  • 2013 Effective Financial Regulation and Creation of the Mega-Regulator in Russia
    by Buklemishev, O. & Danilov, Yu.

  • 2013 Spillovers and contagion in the sovereign CDS market
    by Michał Adam

  • 2013 Size and dynamics of debt positions in Belgium and in the euro area
    by A. Bruggeman & Ch. Van Nieuwenhuyze

  • 2013 Size and dynamics of debt positions in Belgium and in the euro area
    by A. Bruggeman & Ch. Van Nieuwenhuyze

  • 2013 Excessive household debt: causes, trends and consequences
    by Péter Bauer & Mariann Endrész & Regina Kiss & Zsolt Kovalszky & Ádám Martonosi & Olivér Rácz & István Schindler

  • 2013 Limit setting practices of banks in Hungary: Focus on counterparty limits
    by Dániel Homolya & Melinda Lakatos & Róbert Mátrai & Judit Páles & György Pulai

  • 2013 Assessment of macroeconomic imbalance indicators
    by Orsolya Csortos & Zoltán Szalai

  • 2013 Intellectual Capital Valuation and Stock Market Performance in an Era of Financial Turmoil: Blue Chip Banks Listed in Stock Exchanges of the Visegrad Countries
    by Jaroslaw Godyn

  • 2013 Financial and real crisis in the Eurozone and vulnerable economies
    by Bruno Dallago

  • 2013 Dynamic Linkages among Foreign Exchange, Stock, and Commodity Markets in Northeast Asian Countries: Effects from Two Recent Crises
    by Lu Yang & Shigeyuki Hamori

  • 2013 Developments in Foreign Direct Investment in the Context of Current Economic Crisis
    by Oana Chindris-Vasioiu & Madalina Cristina Tocan

  • 2013 Monetary Policy Under The Impact Of The Current Global Crisis
    by Zina Marcu (Cioran)

  • 2013 The Fdi Flows Between The Triad Members
    by Razvan Hagima

  • 2013 Social Costs Of The European Union In The Context Of The Economic-Financial Crisis
    by Andreea Gradinaru

  • 2013 Access to finance and funding composition during the crisis: A firm-level analysis of Latin American countries
    by Sandra M. Leitner & Robert Stehrer

  • 2013 Monetary Policy, macroprudential Policy, and Banking Stability: Evidence from the Euro Area
    by Angela Maddalonia & Jose-Luis Peydro

  • 2013 A Proposal for the Resolution of Systemically Important Assets and Liabilities: The Case of the Repo Market
    by Viral V. Acharya & T. Sabri Öncü

  • 2013 Replumbing Our Financial System: Uneven Progress
    by Darrell Duffie

  • 2013 State Aid Policy Contribution to the Financial and Banking Sector Stability in The European Union Member States
    by Andreea Dragoi & Cristina Balgar

  • 2013 State Aid Policy Contribution to the Financial and Banking Sector Stability in The European Union Member States
    by Andreea Dragoi & Cristina Balgar

  • 2013 Resetting the Growth Engines of the BRICS Countries as a Reaction to the Global Crisis
    by Iulia Monica Oehler-Sincai

  • 2013 Financiamiento al comercio exterior y la década perdida de América Latina
    by Sebastian Alvarez & Juan H. Flores

  • 2013 Reforms of the IMF in the Context of the Global Financial Crisis
    by Bozena Plchova & Elena Baranenko

  • 2013 Analysis of the Serbian Capital Market
    by Jelena Minovic & Vlastimir Vukovic

  • 2013 Economic-Financial Performance Diagnosis Of Organizations Dedicated To The Industrial Shrimp Fishing In Alvarado And Tuxpan, Veracruz,Diagnostico Economico-Financiero Del Desempeno De Las Organizaciones Que Se Dedican A La Pesca Industrial De Camaron En Alvarado Y Tuxpan, Veracruz
    by Julia Rivera Moreno & Maria de los Angeles Camacho Morales & Teresa Garcia Cuan & Jorge Hernandez Sandoval & Gabriela Galindo Cortes & Jose Alberto Pech Paat

  • 2013 Valuing Tarp Preferred Stock
    by Linus Wilson

  • 2013 Does Foreign Investment Worsen the Domestic Stock Market During a Financial Crisis? Evidence from Taiwan
    by Chun-Pin Hsu & Chun-Wen Huang & Alfred Ntoko

  • 2013 The Relationship between Bank Credit Risk and Profitability and Liquidity
    by Myrna R. Berrios

  • 2013 Evolution of Corporate Governance During the Recent Financial Crises
    by Hanene Ezzine & Bernard Olivero

  • 2013 Global Stock Price Linkages Around The Us Financial Crisis: Evidence From Indonesia
    by Aldrin Herwany & Erie Febrian

  • 2013 Corporate Financing And Business Demography In Italy
    by Angela Coscarelli & Domenica Federico & Antonella Notte

  • 2013 Modeling Of Financial Crises: A Critical Analysis Of Models Leading To The Global Financial Crisis
    by Gurudeo Anand Tularam & Bhuvaneswari Subramanian

  • 2013 Forecasting Real Estate Business: Empirical Evidence From The Canadian Market
    by Vijay Kumar Vishwakarma

  • 2013 Does A Size Limit Resolve Too Big To Fail Problems?
    by Mohamed Drira & Muhammad Rashid

  • 2013 The month-of-the-year effect on Bucharest Stock Exchange
    by Iulian Panait

  • 2013 The Crossroad Of Housing Loans Financing - Case Of Albania
    by Iris SHAHINI & Orfea DHUCI

  • 2013 Option-Implied Risk Aversion Anomalies: Evidence From Japanese Market
    by TAKKABUTR, NATTAPOL

  • 2013 The Stability, Risk And Performance Of Cooperative Banks
    by Adrian CONSTANTINESCU & Liliana-Aurora CONSTANTINESCU

  • 2013 The failure resolution of Lehman Brothers
    by Fleming, Michael J. & Sarkar, Asani

  • 2013 Shadow banking
    by Pozsar, Zoltan & Adrian, Tobias & Ashcraft, Adam B. & Boesky, Hayley

  • 2013 Financial Crises, Concentration and Efficiency: Effects on Performance and Risk of Banks
    by Sergio SANFILIPPO AZOFRA & Maria CANTERO SAIZ & Begona TORRE OLMO & Carlos LOPEZ GUTIERREZ

  • 2013 Analysis of Sovereign Risk Market Indicators: The Case of the Czech Republic
    by Zlatuse Komarkova & Jitka Lesanovska & Lubos Komarek

  • 2013 Financial Stress Spillover and Financial Linkages between the Euro Area and the Czech Republic
    by Tomas Adam & Sona Benecka

  • 2013 Effetti sulle banche minori della crisi dei debiti sovrani in area euro
    by Giulia Fantini

  • 2013 Government bond yield spreads determination: a matter of fundamentals or market overreaction? Evidence from over-borrowed European countries
    by Dimitris Vas. Seremetis & Anastasios P. Pappas

  • 2013 Novi ekonomski model uz targetiranje IS - LM
    by Tihomir Domazet

  • 2013 Ekonomska teorija na raskrižju ili Put u mega-kapitalizam
    by Dragoljub Stojanov & Pavle Jakovac

  • 2013 Accumulated choices, cultural triangle and economic growth
    by Wu, Jay

  • 2013 Merger wave in a small world: Two views
    by Lee, Li Way

  • 2013 Co-movement of Asia-Pacific with European and US stock market returns: A cross-time-frequency analysis
    by Loh, Lixia

  • 2013 Islamic and conventional banks' soundness during the 2007–2008 financial crisis
    by Bourkhis, Khawla & Nabi, Mahmoud Sami

  • 2013 Asset allocation in markets with contagion: The interplay between volatilities, jump intensities, and correlations
    by Konermann, Patrick & Meinerding, Christoph & Sedova, Olga

  • 2013 Nonlinear analysis among crude oil prices, stock markets' return and macroeconomic variables
    by Naifar, Nader & Al Dohaiman, Mohammed Saleh

  • 2013 Investor response to a natural disaster: Evidence from Japan's 2011 earthquake
    by Hood, Matthew & Kamesaka, Akiko & Nofsinger, John & Tamura, Teruyuki

  • 2013 Hedging efficiency in the Greek options market before and after the financial crisis of 2008
    by Shackleton, Mark B. & Voukelatos, Nikolaos

  • 2013 Gross capital flows: Dynamics and crises
    by Broner, Fernando & Didier, Tatiana & Erce, Aitor & Schmukler, Sergio L.

  • 2013 Dynamic relationship between precious metals
    by Sensoy, Ahmet

  • 2013 Measuring financial stress in Turkey
    by Cevik, Emrah Ismail & Dibooglu, Sel & Kenc, Turalay

  • 2013 Credit crunches as markov equilibria
    by Azariadis, Costas & Choi, Kyoung Jin

  • 2013 What can we tell about monetary policy synchronization and interdependence over the 2007–2009 global financial crisis?
    by Arouri, Mohamed & Jawadi, Fredj & Nguyen, Duc Khuong

  • 2013 The growth of a shadow banking system in emerging markets: Evidence from India
    by Acharya, Viral V. & Khandwala, Hemal & Sabri Öncü, T.

  • 2013 The financial crisis and Indian banks: Survival of the fittest?
    by Eichengreen, Barry & Gupta, Poonam

  • 2013 Early warning systems for currency crises: A multivariate extreme value approach
    by Cumperayot, Phornchanok & Kouwenberg, Roy

  • 2013 “Leaning against the wind” and the timing of monetary policy
    by Agur, Itai & Demertzis, Maria

  • 2013 Central bank swap line effectiveness during the euro area sovereign debt crisis
    by Moessner, Richhild & Allen, William A.

  • 2013 Leading indicators of crisis incidence: Evidence from developed countries
    by Babecký, Jan & Havránek, Tomáš & Matějů, Jakub & Rusnák, Marek & Šmídková, Kateřina & Vašíček, Bořek

  • 2013 Spread the news: The impact of news on the European sovereign bond markets during the crisis
    by Beetsma, Roel & Giuliodori, Massimo & de Jong, Frank & Widijanto, Daniel

  • 2013 What is the risk of European sovereign debt defaults? Fiscal space, CDS spreads and market pricing of risk
    by Aizenman, Joshua & Hutchison, Michael & Jinjarak, Yothin

  • 2013 A role model for the conduct of fiscal policy? Experiences from Sweden
    by Flodén, Martin

  • 2013 Financial crises and cross-border banking: New evidence
    by Kleimeier, Stefanie & Sander, Harald & Heuchemer, Sylvia

  • 2013 The “forward premium puzzle” and the sovereign default risk
    by Coudert, Virginie & Mignon, Valérie

  • 2013 What determines Euro area bank CDS spreads?
    by Annaert, Jan & De Ceuster, Marc & Van Roy, Patrick & Vespro, Cristina

  • 2013 Do house prices impact business starts?
    by Balasubramanyan, Lakshmi & Coulson, Edward

  • 2013 General equilibrium pricing of currency and currency options
    by Du, Du

  • 2013 The term structure of interbank risk
    by Filipović, Damir & Trolle, Anders B.

  • 2013 Trading frenzies and their impact on real investment
    by Goldstein, Itay & Ozdenoren, Emre & Yuan, Kathy

  • 2013 Feedback effects of credit ratings
    by Manso, Gustavo

  • 2013 Firms as liquidity providers: Evidence from the 2007–2008 financial crisis
    by Garcia-Appendini, Emilia & Montoriol-Garriga, Judit

  • 2013 How does capital affect bank performance during financial crises?
    by Berger, Allen N. & Bouwman, Christa H.S.

  • 2013 Institutional trading and stock resiliency: Evidence from the 2007–2009 financial crisis
    by Anand, Amber & Irvine, Paul & Puckett, Andy & Venkataraman, Kumar

  • 2013 New evidence on the first financial bubble
    by Frehen, Rik G.P. & Goetzmann, William N. & Geert Rouwenhorst, K.

  • 2013 Are there too many safe securities? Securitization and the incentives for information production
    by Hanson, Samuel G. & Sunderam, Adi

  • 2013 Rating agencies in the face of regulation
    by Opp, Christian C. & Opp, Marcus M. & Harris, Milton

  • 2013 Systemic risk and the refinancing ratchet effect
    by Khandani, Amir E. & Lo, Andrew W. & Merton, Robert C.

  • 2013 Securitization without risk transfer
    by Acharya, Viral V. & Schnabl, Philipp & Suarez, Gustavo

  • 2013 Before and after: The impact of a real bubble crash on investors’ trading behavior in the lab
    by Gong, Binglin & Lei, Vivian & Pan, Deng

  • 2013 A network model of financial system resilience
    by Anand, Kartik & Gai, Prasanna & Kapadia, Sujit & Brennan, Simon & Willison, Matthew

  • 2013 The role of media in the credit crunch: The case of the banking sector
    by Wisniewski, Tomasz Piotr & Lambe, Brendan

  • 2013 Have the GIPSI settled down? Breaks and multivariate stochastic volatility models for, and not against, the European financial integration
    by Gębka, Bartosz & Karoglou, Michail

  • 2013 A tale of two regimes: Theory and empirical evidence for a Markov-modulated jump diffusion model of equity returns and derivative pricing implications
    by Chang, Charles & Fuh, Cheng-Der & Lin, Shih-Kuei

  • 2013 Does market structure matter on banks’ profitability and stability? Emerging vs. advanced economies
    by Mirzaei, Ali & Moore, Tomoe & Liu, Guy

  • 2013 Is local bias a cross-border phenomenon? Evidence from individual investors’ international asset allocation
    by Baltzer, Markus & Stolper, Oscar & Walter, Andreas

  • 2013 A statistical model of speculative bubbles, with applications to the stock markets of the United States, Japan, and China
    by Asako, Kazumi & Liu, Zhentao

  • 2013 The impact of distressed economies on the EU sovereign market
    by Groba, Jonatan & Lafuente, Juan A. & Serrano, Pedro

  • 2013 The real effect of banking crises: Finance or asset allocation effects? Some international evidence
    by Fernández, Ana I. & González, Francisco & Suárez, Nuria

  • 2013 Safety-net benefits conferred on difficult-to-fail-and-unwind banks in the US and EU before and during the great recession
    by Carbó-Valverde, Santiago & Kane, Edward J. & Rodriguez-Fernandez, Francisco

  • 2013 Systemic risk measures: The simpler the better?
    by Rodríguez-Moreno, María & Peña, Juan Ignacio

  • 2013 A look inside AMLF: What traded and who benefited
    by Akay, Ozgur (Ozzy) & Griffiths, Mark D. & Kotomin, Vladimir & Winters, Drew B.

  • 2013 Systematic stress tests with entropic plausibility constraints
    by Breuer, Thomas & Csiszár, Imre

  • 2013 The performance of banks around the receipt and repayment of TARP funds: Over-achievers versus under-achievers
    by Cornett, Marcia Millon & Li, Lei & Tehranian, Hassan

  • 2013 Hedge fund liquidity and performance: Evidence from the financial crisis
    by Schaub, Nic & Schmid, Markus

  • 2013 Rescue packages and bank lending
    by Brei, Michael & Gambacorta, Leonardo & von Peter, Goetz

  • 2013 Islamic vs. conventional banking: Business model, efficiency and stability
    by Beck, Thorsten & Demirgüç-Kunt, Asli & Merrouche, Ouarda

  • 2013 Individual investor perceptions and behavior during the financial crisis
    by Hoffmann, Arvid O.I. & Post, Thomas & Pennings, Joost M.E.

  • 2013 A perspective on the symptoms and causes of the financial crisis
    by Cabral, Ricardo

  • 2013 Credit and liquidity components of corporate CDS spreads
    by Corò, Filippo & Dufour, Alfonso & Varotto, Simone

  • 2013 Supervisors as information producers: Do stress tests reduce bank opaqueness?
    by Petrella, Giovanni & Resti, Andrea

  • 2013 The Federal Reserve’s balance sheet and overnight interest rates: Empirical modeling of exit strategies
    by Marquez, Jaime & Morse, Ari & Schlusche, Bernd

  • 2013 Liquidation equilibrium with seniority and hidden CDO
    by Gourieroux, C. & Heam, J.C. & Monfort, A.

  • 2013 Market capitalization and Value-at-Risk
    by Dias, Alexandra

  • 2013 Did capital infusions enhance bank recovery from the great recession?
    by Liu, Wei & Kolari, James W. & Kyle Tippens, T. & Fraser, Donald R.

  • 2013 On the importance of indirect banking vulnerabilities in the Eurozone
    by Bicu, Andreea & Candelon, Bertrand

  • 2013 Bank ownership and lending patterns during the 2008–2009 financial crisis: Evidence from Latin America and Eastern Europe
    by Cull, Robert & Martínez Pería, María Soledad

  • 2013 Bank/sovereign risk spillovers in the European debt crisis
    by De Bruyckere, Valerie & Gerhardt, Maria & Schepens, Glenn & Vander Vennet, Rudi

  • 2013 Are stock market crises contagious? The role of crisis definitions
    by Mierau, Jochen O. & Mink, Mark

  • 2013 A market-based approach to sector risk determinants and transmission in the euro area
    by Saldías, Martín

  • 2013 SAFE: An early warning system for systemic banking risk
    by Oet, Mikhail V. & Bianco, Timothy & Gramlich, Dieter & Ong, Stephen J.

  • 2013 Financial contagion in the laboratory: The cross-market rebalancing channel
    by Cipriani, Marco & Gardenal, Gloria & Guarino, Antonio

  • 2013 Transatlantic systemic risk
    by Trapp, Monika & Wewel, Claudio

  • 2013 Stock market reaction to fed funds rate surprises: State dependence and the financial crisis
    by Kontonikas, Alexandros & MacDonald, Ronald & Saggu, Aman

  • 2013 A case study of short-sale constraints and limits to arbitrage
    by Easton, Steve & Pinder, Sean & Uylangco, Katherine

  • 2013 The contribution of US bond demand to the US bond yield conundrum of 2004–2007: An empirical investigation
    by Goda, Thomas & Lysandrou, Photis & Stewart, Chris

  • 2013 Mapping the state of financial stability
    by Sarlin, Peter & Peltonen, Tuomas A.

  • 2013 Sovereign bond yield spillovers in the Euro zone during the financial and debt crisis
    by Antonakakis, Nikolaos & Vergos, Konstantinos

  • 2013 Institutional industry herding: Intentional or spurious?
    by Gavriilidis, Konstantinos & Kallinterakis, Vasileios & Ferreira, Mario Pedro Leite

  • 2013 How can a small country affect the European economy? The Greek contagion phenomenon
    by Samitas, Aristeidis & Tsakalos, Ioannis

  • 2013 Financialization, crisis and commodity correlation dynamics
    by Silvennoinen, Annastiina & Thorp, Susan

  • 2013 International herding: Does it differ across sectors?
    by Gębka, Bartosz & Wohar, Mark E.

  • 2013 The banking bailout of the subprime crisis: Was the bang worth the buck?
    by Fratianni, Michele & Marchionne, Francesco

  • 2013 Stochastic modeling and fair valuation of drawdown insurance
    by Zhang, Hongzhong & Leung, Tim & Hadjiliadis, Olympia

  • 2013 Strategic conduct in credit derivative markets
    by Bolton, Patrick & Oehmke, Martin

  • 2013 Public bank lending in times of crisis
    by Brei, Michael & Schclarek, Alfredo

  • 2013 Measuring financial stress in transition economies
    by Cevik, Emrah Ismail & Dibooglu, Sel & Kutan, Ali M.

  • 2013 Systemic risk analysis using forward-looking Distance-to-Default series
    by Saldías, Martín

  • 2013 The impact of imposing capital requirements on systemic risk
    by Zhou, Chen

  • 2013 Good for one, bad for all: Determinants of individual versus systemic risk
    by López-Espinosa, Germán & Rubia, Antonio & Valderrama, Laura & Antón, Miguel

  • 2013 New theories to underpin financial reform
    by Allen, Franklin & Carletti, Elena

  • 2013 Cyclical default and recovery in stress testing loan losses
    by Jokivuolle, Esa & Virén, Matti

  • 2013 A simple indicator of systemic risk
    by Patro, Dilip K. & Qi, Min & Sun, Xian

  • 2013 Systemic liquidity shortages and interbank network structures
    by Lee, Seung Hwan

  • 2013 Market liquidity and institutional trading during the 2007–8 financial crisis
    by Poon, Ser-Huang & Rockinger, Michael & Stathopoulos, Konstantinos

  • 2013 From the credit crisis to the sovereign debt crisis: Determinants of share price performance of global banks
    by Hoque, Hafiz

  • 2013 Testing for financial crashes using the Log Periodic Power Law model
    by Brée, David S. & Joseph, Nathan Lael

  • 2013 Securitization and systemic risk: An empirical investigation on Italian banks over the financial crisis
    by Battaglia, Francesca & Gallo, Angela

  • 2013 Price discovery of credit spreads in tranquil and crisis periods
    by Avino, Davide & Lazar, Emese & Varotto, Simone

  • 2013 Stock market correlations during the financial crisis of 2008–2009: Evidence from 50 equity markets
    by Kotkatvuori-Örnberg, Juha & Nikkinen, Jussi & Äijö, Janne

  • 2013 Multivariate dependence of implied volatilities from equity options as measure of systemic risk
    by Jobst, Andreas A.

  • 2013 On the links between stock and commodity markets' volatility
    by Creti, Anna & Joëts, Marc & Mignon, Valérie

  • 2013 Hedge fund contagion and risk-adjusted returns: A Markov-switching dynamic factor approach
    by Akay, Ozgur (Ozzy) & Senyuz, Zeynep & Yoldas, Emre

  • 2013 Credit risk in covered bonds
    by Prokopczuk, Marcel & Siewert, Jan B. & Vonhoff, Volker

  • 2013 Sovereign bond spreads determinants in Latin American countries: Before and during the XXI financial crisis
    by Martinez, Lisana B. & Terceño, Antonio & Teruel, Mercedes

  • 2013 Financial liberalization and stock markets efficiency: New evidence from emerging economies
    by Ben Rejeb, Aymen & Boughrara, Adel

  • 2013 On the political determinants of sovereign risk: Evidence from a Markov-switching vector autoregressive model for Argentina
    by Sottile, Pedro

  • 2013 Debt source choices and stock market performance of Russian firms during the financial crisis
    by Davydov, Denis & Vähämaa, Sami

  • 2013 Bailouts and bank runs: Theory and evidence from TARP
    by Wang, Chunyang

  • 2013 Equilibrium risk shifting and interest rate in an opaque financial system
    by Challe, Edouard & Mojon, Benoit & Ragot, Xavier

  • 2013 Sequential estimation of shape parameters in multivariate dynamic models
    by Amengual, Dante & Fiorentini, Gabriele & Sentana, Enrique

  • 2013 Analysis of non-stationary dynamics in the financial system
    by Guharay, Samar K. & Thakur, Gaurav S. & Goodman, Fred J. & Rosen, Scott L. & Houser, Daniel

  • 2013 The effect of the financial crisis on the retirement plans of older workers in England
    by Crawford, Rowena

  • 2013 Business cycles, bank credit and crises
    by Bucher, Monika & Dietrich, Diemo & Hauck, Achim

  • 2013 Financial shocks and trade finance: Evidence from Korea
    by Hwang, Sangyeon & Im, Hyejoon

  • 2013 Do banking crises cause terrorism?
    by Gries, Thomas & Meierrieks, Daniel

  • 2013 On policymakers’ loss functions and the evaluation of early warning systems
    by Sarlin, Peter

  • 2013 Has recent financial crisis changed permanently the correlations between BRICS and developed stock markets?
    by Zhang, Bing & Li, Xindan & Yu, Honghai

  • 2013 Nonlinear dynamics and recurrence plots for detecting financial crisis
    by Addo, Peter Martey & Billio, Monica & Guégan, Dominique

  • 2013 The rise and fall of S&P500 variance futures
    by Chang, Chia-Lin & Jimenez-Martin, Juan-Angel & McAleer, Michael & Amaral, Teodosio Perez

  • 2013 Determinants of bank credit default swap spreads: The role of the housing sector
    by Benbouzid, Nadia & Mallick, Sushanta

  • 2013 One crisis, two crises…the subprime crisis and the European sovereign debt problems
    by Ureche-Rangau, Loredana & Burietz, Aurore

  • 2013 Stock market comovements in Central Europe: Evidence from the asymmetric DCC model
    by Gjika, Dritan & Horváth, Roman

  • 2013 Optima exchange crisis regression and twin crisis: Evidences for some MENA countries
    by Aidi, Wafa

  • 2013 Regime-switching in volatility and correlation structure using range-based models with Markov-switching
    by Miao, Daniel Wei-Chung & Wu, Chun-Chou & Su, Yi-Kai

  • 2013 Domestic and foreign sources of volatility spillover to South African asset classes
    by Duncan, Andrew S. & Kabundi, Alain

  • 2013 Credit Rating Agencies: The Importance of Fundamentals in the Assessment of Sovereign Ratings
    by Vanja Bozic & Cosimo Magazzino

  • 2013 Post-mortem examination of the international financial network
    by Chinazzi, Matteo & Fagiolo, Giorgio & Reyes, Javier A. & Schiavo, Stefano

  • 2013 Leveraged network-based financial accelerator
    by Riccetti, Luca & Russo, Alberto & Gallegati, Mauro

  • 2013 On the predictability of realized volatility using feasible GLS
    by Bentes, Sonia R. & Menezes, Rui

  • 2013 The Dynamic Relationship of Stock Indexes on Interbank Money Market Rates: Evidence from Thailand
    by Zongjun Wang & Gongkhonkwa Rujira

  • 2013 The Analysts’ Forecast of IPO Firms during the Global Financial Crisis
    by Chang-Yi Hsu & Jean Yu & Shiow-Ying Wen

  • 2013 Evaluating the Overall Technical Efficiency of Islamic Banks Operating in the MENA Region During the Financial Crisis
    by Ali Said

  • 2013 Risks and Efficiency in the Islamic Banking Systems: The Case of Selected Islamic Banks in MENA Region
    by Ali Said

  • 2013 Subprime Crisis and Financial Contagion: Evidence from Tunisia
    by Mongi Gharsellaoui

  • 2013 Determination of Sovereign Rating: Factor Based Ordered Probit Models for Panel Data Analysis Modelling Framework
    by Dilek Teker & Aynur Pala & Oya Kent

  • 2013 Rating-Agenturen: fehlbar und überfordert
    by Hans-Helmut Kotz & Dorothea Schäfer

  • 2013 Globale Finanzmarktregulierung und Verbraucherschutz
    by Dorothea Schäfer & Brigitte Young

  • 2013 The Economic Crisis – Meanings and Significations Causes and Solutions
    by Doinita CAZAN ZAFIU & Alina Florentina CUCOS SARACU

  • 2013 Determination of the Time of Contagion in Capital Markets Based on the Switching Model
    by Milda Maria Burzala

  • 2013 The Dynamics and Strength of Linkages between the Stock Markets in the Czech Republic, Hungary and Poland after their EU Accession
    by Malgorzata Doman & Ryszard Doman

  • 2013 Quiebras y préstamos en Puerto Rico: Una mirada exploratoria a su relación
    by Marta Álvarez

  • 2013 The Current Global Crisis: Causes And Solutions
    by Sabina G. ŢUCA

  • 2013 Monetary Policy And The Inflation Targeting Strategy
    by Zina V.MARCU căs. CIORAN

  • 2013 Financial Crises Of The Last Two Decades And The Issues To Be Addressed
    by Andrei STOIAN & Radu BECHERESCU

  • 2013 Banking soundness and financial crises' predictability: a case study of Turkey
    by Wajih Khallouli & Mahmoud Sami Nab

  • 2013 Forecasting value-at-risk using time varying copulas and EVT return distributions
    by Theo Berger

  • 2013 Financial versus demand shocks in stock price returns of U.S. non-financial firms in the crisis of 2007
    by Varvara Isyuk

  • 2013 Impact of international income, prices and monetary shocks on real exchange rate in eight African economies: An empirical study
    by Giscard Assoumou Ella

  • 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
    by Michael Böhmer & Thieß Petersen

  • 2013 Wohin steuert die Europäische Währungsunion?
    by Otmar Issing

  • 2013 Weiterentwicklung der Europäischen Währungsunion und demokratische Legitimation
    by Dietrich Murswiek

  • 2013 Vorteile Deutschlands durch die Währungsunion?
    by Tim Oliver Berg & Kai Carstensen

  • 2013 Prognos-Studie kann negative Folgen einer Rückkehr zur D-Mark nicht belegen
    by Ulrich van Suntum

  • 2013 Zur Debatte zwischen George Soros und Hans-Werner Sinn
    by George Soros & Hans-Werner Sinn

  • 2013 Die Target-Verluste im Fall des Auseinanderbrechens des Euro – Eine Replik auf De Grauwe und Ji
    by Hans-Werner Sinn

  • 2013 On European Austerity
    by Stefan Homburg

  • 2013 Development of the Banking Sector in CEE Countries – Comparative Analysis
    by Lidija Barjaktarović & Maja Paunović & Dejan Ječmenica

  • 2013 La valorisation des instruments financiers dans les banques européennes entre 2009 et 2011 : valeurs de marché ou valeurs issues de modèles ?
    by Dominique Dufour & Grégory Heem

  • 2013 Les activités bancaires transfrontalières de détail : un aspect méconnu de la mondialisation financière en temps de crise
    by Stefanie Kleimeier & Harald Sander

  • 2013 Banques : quel business model après la crise ?
    by Sylvie Matherat

  • 2013 La banque universelle : un modèle menacé malgré son succès
    by Jan Schildbach & Bernhard Speyer

  • 2013 Quelles leçons avons-nous apprises de la crise financière ?
    by Erkki Liikanen

  • 2013 Le système bancaire espagnol : du mirage au désastre
    by Jésus Castillo

  • 2013 Le secteur bancaire italien face aux transformations structurelles et à la récession économique
    by Giovanni Ajassa

  • 2013 Le secteur bancaire en Allemagne
    by Guillaume Gilquin

  • 2013 Les banques britanniques à l'épreuve d'un nouveau paradigme réglementaire et d'incertitudes économiques
    by Laurent Nahmias

  • 2013 Le futur de l'emprunt souverain dans un paysage bancaire européen en évolution : moteurs, liens et rétroactions
    by Hans J. Blommestein

  • 2013 Les interactions négativesentre banques et États
    by Paolo Angelini & Giuseppe Grande & Fabio Panetta

  • 2013 Banques, caisses d'épargne, immobilier et politiques publiques Une lecture historienne de la crise financière espagnole : l'Espagne toujours diferente ?
    by Gérard Chastagnaret

  • 2013 La financiarisation du marché immobilier français : de la crise des années 1990 à la crise des subprimes de 2008
    by Ingrid Nappi-Choulet

  • 2013 Système financier et crises immobilières : l'exemple de la France à la fin du xix e siècle
    by Michel Lescure

  • 2013 Le shadow banking en Europe
    by Laurent Clerc

  • 2013 Príjmové Nerovnosti Ako Príčina Svetovej Finančnej A Ekonomickej Krízy
    by Miriama Vašková

  • 2013 Risk Exposure and Net Flow in Investment Funds: Do Shareholders Monitor Asset Allocation?
    by Rafael Felipe Schiozer & Diego Lins de Albuquerque Pennachi Tejerina

  • 2013 Metaphors Of The Crisis - A Reflection Of The Global Financial Situation
    by Cristina, CHIFANE

  • 2013 Speculative Bubbles - Appearance And Growth
    by BAKO Elena Dana & SECHEL Ioana - Cristina

  • 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
    by BALTES Nicolae & VASIU Diana Elena

  • 2013 Total credit as an early warning indicator for systemic banking crises
    by Mathias Drehmann

  • 2013 The Latvian financial stress index as an important element of the financial system stability monitoring framework
    by Nadežda Sinenko & Deniss Titarenko & Mikus Arinš

  • 2013 Monetary policy and financial stability: empirical evidence from Central and Eastern European countries
    by Vasile Cocris & Anca Elena Nucu

  • 2013 Euro Crises and Euro Scams: Trade not Debt and Deficits Tell the Tale
    by John Weeks

  • 2013 Inflation Targeting: A Critical Approach
    by Philip Arestis

  • 2013 The Euro: Why it Went Wrong and How to Get On?
    by Jesper Jespersen

  • 2013 Under-capitalization of Italian Smes and the role of new financial sources
    by Alessandro Pellegatta

  • 2013 Resilience, stability and complexity of banks: a quantitative approach to systemic risks
    by Jacek Marczyk

  • 2013 Investor protection and the new challenges of European regulation
    by Vittorio Conti

  • 2013 A bridge towards recovery
    by Fabrizio Saccomanni

  • 2013 Cooperative banking and financial stability. Evidence from the recent financial crisis in some European countries
    by Laura Chiaramonte & Federica Poli & Marco Ercole Oriani

  • 2013 Financial systems and economic growth: a critical relationship?
    by Giancarlo Forestieri

  • 2013 The lessons from the crisis of Cajas de Ahorros in Spain
    by Roberto Bottiglia

  • 2013 Relationship banking and organizational models: a new structure for UniCredit Group in Italy
    by Zeno Rotondi

  • 2013 The impact of social networks and mass medias on financial news and investors’ perceptions
    by Alessandro Carretta & Vincenzo Farina & Albana Nako

  • 2013 Securitization, the new road for commercial credit
    by Paolo Mottura

  • 2013 Bank crisis regulation and the European proposals
    by Manuela De Cesare & Riccardo De Lisa & Anna Laura Lombardo & Francesca Pluchino

  • 2013 Credit strategies, risk and planning process
    by Fabrizio Menghini

  • 2013 Financial regulation, the need of a new approach
    by Giovanni Ferri

  • 2013 Cost reduction and structural adjustment in European banks
    by Giancarlo Durante & Luigi Prosperetti

  • 2013 The impact of liquidity regulation in banks’ strategies
    by Pierpaolo Ferrari & Roberto Ruozi

  • 2013 Time deposits and funding policies in Italian banks
    by Matteo Mattei Gentili

  • 2013 The global economic scenario and the prospects for the Italian banking industry in 2013-2014
    by Vincenzo Chiorazzo & Vincenzo D'Apice & Pierluigi Morelli

  • 2013 A spatial analysis of the liquidity of italian firms
    by Carlo Boselli & Francesco G. Truglia & Alessandro Zeli

  • 2013 The road to compliance: the new regulation on Internal controls system in Italy
    by Rupert N. Limentani & Normanna Tresoldi

  • 2013 The Single Supervisory Mechanism, a first step against fragmentation
    by Luigi Chiarella & Guido Ferrarini

  • 2013 The road towards Banking Union
    by Ignazio Angeloni & Giacomo Caviglia

  • 2013 Does Twin Deficits Relationship Affect The Leading Indicators Of Crisis? Analysis Of The Us And Turkey In Light Of The 2008 Global Crisis
    by Tulin Tunc Deveci & Suleyman Degirmen

  • 2013 Stylized Facts Of The Daily, Weekly And Monthly Returns On Bucharest Stock Exchange During 2007-2012
    by Corina Maria Ene & Carmen Marilena Uzlau & Iulian Panait

  • 2013 Crisis on the Hungarian government bond markets in the winter of 2011–2012: Was there a liquidity problem?
    by Zoltán Monostori

  • 2013 The euro crisis and its lessons from a Greek perspective
    by Thanos Skouras

  • 2013 Considerations about Methods of Rescue for Financial Institutions: the Case of Cyprus
    by Jenica Popescu & Victoria Firescu

  • 2013 Initial Public Offering – Finance Source of Stock Exchanges
    by Sorin Claudiu Radu

  • 2013 Unwinding RON carry-trade or RON speculative attack?
    by Silviu Eduard Dinca

  • 2013 Comparison Among The European Social Protection Systems
    by Claudiu Mihaita URSEANU

  • 2013 Financial Crisis And Bank Profitability – The Case Of Romania
    by Imola Driga

  • 2013 Facts and Challenges from the Great Recession for Forecasting and Macroeconomic Modeling
    by Serena Ng & Jonathan H. Wright

  • 2013 Bank Bailouts, International Linkages, and Cooperation
    by Friederike Niepmann & Tim Schmidt-Eisenlohr

  • 2013 The Financial Crisis: Lessons for International Macroeconomics
    by Matthieu Bussière & Jean Imbs & Robert Kollmann & Romain Rancière

  • 2013 Sharing the Burden: Monetary and Fiscal Responses to a World Liquidity Trap
    by David Cook & Michael B. Devereux

  • 2013 International Contagion through Leveraged Financial Institutions
    by Eric van Wincoop

  • 2013 Estimating Trade Elasticities: Demand Composition and the Trade Collapse of 2008-2009
    by Matthieu Bussière & Giovanni Callegari & Fabio Ghironi & Giulia Sestieri & Norihiko Yamano

  • 2013 Cyclical Variation in Labor Hours and Productivity Using the ATUS
    by Michael C. Burda & Daniel S. Hamermesh & Jay Stewart

  • 2013 Reflections on Finance and the Good Society
    by Robert J. Shiller

  • 2013 Forecasting the Recovery from the Great Recession: Is This Time Different?
    by Kathryn M. E. Dominguez & Matthew D. Shapiro

  • 2013 How Much Would US Style Fiscal Integration Buffer European Unemployment and Income Shocks? (A Comparative Empirical Analysis)
    by James Feyrer & Bruce Sacerdote

  • 2013 Using State Pension Shocks to Estimate Fiscal Multipliers since the Great Recession
    by Daniel Shoag

  • 2013,4th quarter update LIBOR: origins, economics, crisis, scandal and reform
    by David Hou Author-Name: David Skeie

  • 2013(XXIII) Analysis On The Ongoing Crisis. Historical Economic, Financial And Corporate Governance Motivations (Part 1)
    by Adalberto RANGONE

  • 2013(XXIII) Analysis On The Ongoing Crisis. Historical Economic, Financial And Corporate Governance Motivations (Part 2)
    by Adalberto RANGONE

  • 2013(XXIII) Volatility Of International Financial Markets And Public Debt Sustainability
    by George GEORGESCU

  • 2013 6Month: June How The Financial Crisis Has Affected The Economic Indicators Of The Netherlands
    by Razvan Hagima

  • 2013 6Month: June Implications Of The Economic And Financial Crisis In South-East Europe
    by Andreea Gradinaru

  • 2013 3Month: March Early Warning Systems For Financial Crises.A Critical Approach
    by Stanislav Percic & Constantin-Marius Apostoaie & Vasile Cocris

  • 2012 Transatlantic systemic risk
    by Trapp, Monika & Wewel, Claudio

  • 2012 Determinants of Firm Innovation - Evidence from German Panel Data
    by Stefan Kipar

  • 2012 The 2008 - Financial Crisis and the Effects on International Trade: New Empirical Evidence
    by Giuliano Pirrone

  • 2012 International liquidity provision and currency-specific liquidity shortages
    by Moessner, Richhild & Allen, William

  • 2012 What have we Learned from the 2007-08 Liquidity Crisis? A Survey
    by Mohtadi, Hamid & Ruediger, Stefan

  • 2012 Între Anteu şi Icarus
    by Dăianu Daniel

  • 2012 Consecinţele „Tratatului fiscal” asupra statelor Uniunii Europene
    by Şaguna Dan Drosu, Zdanovschi Alice Cristina Maria

  • 2012 Innovation and Dynamism. Interaction between Systems and Technical Progress
    by J. KORNAI.

  • 2012 Küresel finansal kriz ışığında Avrupa borç krizi ve kredi temerrüt swapları ilişkisi
    by Dilek ÇİFTÇİ & İsmail ÇEVİŞ

  • 2012 'By a Silken Thread': regional banking integration and pathways to financial development in Japan's Great Recession
    by Mathias Hoffmann & Toshihiro Okubo

  • 2012 Em-powering economics: Some thoughts on policy and financial markets
    by Josef Falkinger

  • 2012 Lessons of the financial crisis for the attractiveness of European financial centers
    by Lang, Gunnar

  • 2012 How can banks effectively stabilize their retail customers saving behavior? The impact of contractual rewards on saving persistence and cash flow volatility
    by Schlüter, Tobias & Sievers, Sönke & Hartmann-Wendels, Thomas

  • 2012 The impact of the financial crisis and natural catastrophes on CAT bonds
    by Gürtler, M. & Hibbeln, M. & Winkelvos, C.

  • 2012 Macroprudential banking regulation: Does one size fit all?
    by Neuberger, Doris & Rissi, Roger

  • 2012 The term structure of bond market liquidity conditional on the economic environment: An analysis of government guaranteed bonds
    by Schuster, Philipp & Uhrig-Homburg, Marliese

  • 2012 The European Commission’s Scoreboard of Macroeconomic Imbalances – The Impact of Preferences on an Early Warning System
    by Knedlik, Tobias

  • 2012 Network analysis of the e-MID overnight money market: The informational value of different aggregation levels for intrinsic dynamic processes
    by Finger, Karl & Fricke, Daniel & Lux, Thomas

  • 2012 Structure in the Italian overnight loan market
    by Raddant, Matthias

  • 2012 Core-periphery structure in the overnight money market: Evidence from the e-MID trading platform
    by Fricke, Daniel & Lux, Thomas

  • 2012 Money creation and financial instability: An agent-based credit network approach
    by Lengnick, Matthias & Krug, Sebastian & Wohltmann, Hans-Werner

  • 2012 Early warning indicator model of financial developments using an ordered logit
    by Reimers, Hans-Eggert

  • 2012 The dynamics of spillover effects during the European sovereign debt turmoil
    by Alter, Adrian & Beyer, Andreas

  • 2012 Money creation and financial instability: An agent-based credit network approach
    by Lengnick, Matthias & Krug, Sebastian & Wohltmann, Hans-Werner

  • 2012 Measuring option implied degree of distress in the US financial sector using the entropy principle
    by Matros, Philipp & Vilsmeier, Johannes

  • 2012 Early warning indicators for the German banking system: A macroprudential analysis
    by Jahn, Nadya & Kick, Thomas

  • 2012 Labour Hoarding during the Crisis: Evidence for selected New Member States from the Financial Crisis Survey
    by Sandra M. Leitner & Robert Stehrer

  • 2012 Access to Finance and Composition of Funding during the Crisis: A firm-level analysis for Latin American countries
    by Sandra M. Leitner & Robert Stehrer

  • 2012 New Divide(s) in Europe?
    by Vasily Astrov & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Michael Landesmann & Sebastian Leitner & Zdenek Lukas & Anton Mihailov & Olga Pindyuk & Leon Podkaminer & Josef Pöschl & Sandor Richter & Hermine Vidovic

  • 2012 Fasting or Feasting? Europe - Old and New - at the Crossroads
    by Vasily Astrov & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Michael Landesmann & Sebastian Leitner & Zdenek Lukas & Anton Mihailov & Olga Pindyuk & Leon Podkaminer & Josef Pöschl & Sandor Richter & Hermine Vidovic

  • 2012 Stock Market Comovements in Central Europe: Evidence from Asymmetric DCC Model
    by Dritan Gjika & Roman Horvath

  • 2012 Resilience of the Interbank Network to Shocks and Optimal Bail-Out Strategy: Advantages of "Tiered" Banking Systems
    by Mariya Teteryatnikova

  • 2012 Fitting and Forecasting Sovereign Defaults Using Multiple Risk Signals
    by Roberto Savona & Marika Vezzoli

  • 2012 The Destruction of a Safe Haven Asset?
    by Dirk G Baur & Kristoffer Glover

  • 2012 Safe Haven Assets and Investor Behavior Under Uncertainty
    by Dirk G Baur & Thomas K.J. McDermott

  • 2012 Financial Contagion in Industrial Clusters: A Dynamical Analysis and Network Simulation
    by Andrea Giovannetti

  • 2012 The Crisis of Intellectual Monopoly Capitalism
    by Ugo Pagano

  • 2012 Limits to Arbitrage during the Crisis: Finding Liquidity Constraints and Covered Interest Parity
    by Mancini Griffoli, Tommaso & Ranaldo, Angelo

  • 2012 International debt deleveraging
    by Luca Fornaro

  • 2012 Macroprudential policy, countercyclical bank capital buffers and credit supply: Evidence from the Spanish dynamic provisioning experiments
    by Gabriel Jiménez & Steven Ongena & José-Luis Peydró & Jesús Saurina

  • 2012 Maastricht Reflections on Innovation
    by Soete, Luc

  • 2012 Short Sales Constraints and Financial Stability: Evidence from the Spanish 2011 Ban
    by Óscar Arce & Sergio Mayordomo

  • 2012 Derivatives Holdings and Systemic Risk in the U.S. Banking Sector
    by María Rodríguez-Moreno & Sergio Mayordomo & Juan Ignacio Peña

  • 2012 Executive Compensation and Systemic Risk: The Role of Non-Interest Income and Wholesale Funding
    by Marina Balboa & Germán López-Espinosa & Korok Ray & Antonio Rubia

  • 2012 Short-term Wholesale Funding and Systemic Risk: A Global CoVaR Approach
    by Germán López-Espinosa & Antonio Moreno & Antonio Rubia & Laura Valderrama

  • 2012 Boom-and-bust cycles marked by capital inflows, current account deterioration and a rise and fall of the real exchange rate
    by Müller-Plantenberg, Nikolas

  • 2012 Credit Cooperatives: Challenges and Opportunities in the New Global Scenario
    by Giovanni Ferri

  • 2012 Post-Mortem Examination of the International Financial Network
    by Matteo Chinazzi & Giorgio Fagiolo & Javier A. Reyes & Stefano Schiavo

  • 2012 Complexity and Endogenous Instability
    by Sami Al-Suwailem

  • 2012 Ranking Systemically Important Financial Institutions
    by Mardi Dungey & Matteo Luciani & David Veredas

  • 2012 Finansal Krizlerin Belirleyicileri Olarak Hizli Kredi Genislemeleri ve Cari Islemler Acigi
    by Aytul Ganioglu

  • 2012 Oil Prices and Emerging Market Exchange Rates
    by M. Ibrahim Turhan & Erk Hacihasanoglu & Ugur Soytas

  • 2012 Ranking systemically important financial institutions
    by Dungey, Mardi & Luciani, Matteo & Veredas, David

  • 2012 Endogenous crisis dating and contagion using smooth transition structural GARCH
    by Dungey, Mardi & Milunovich, George & Thorp, Susan & Yang, Minxian

  • 2012 After Ten Years of the Russian Crisis, How Might IMF Intervention Be Evaluated?
    by Malgorzata Sulimierska

  • 2012 Post-Mortem Examination of the International Financial Network
    by Matteo Chinazzi & Giorgio Fagiolo & Javier A. Reyes & Stefano Schiavo

  • 2012 Testing the Effects of Short-Selling Restrictions on Asset Prices
    by Rodrigo De-Losso & Alan De Genaro, Bruno C. Giovannetti

  • 2012 Do Margin Requirements Affect Asset Prices?
    by Bruno Cara Giovannetti & Guilherme B. Martins

  • 2012 Corporate Liquidity and Financial Fragility: The Role of Investment, Debt and Interest
    by Jan Toporowski

  • 2012 Finance: Economic Lifeblood or Toxin?
    by Marco Pagano

  • 2012 Circuit Breakers and Market Runs
    by Sarah Draus & Mark van Achter

  • 2012 Fiscal and Monetary Policy Determinants of the Eurozone Crisis and its Resolution
    by Marek Dabrowski

  • 2012 The Post-2007 Crises and Europe's Place in the Global Economy
    by Richard Pomfret

  • 2012 Asymmetric Dependence between Aggregate Consumption and Financial Risk
    by Cathy Ning & Loran Chollete

  • 2012 Bank/sovereign risk spillovers in the European debt crisis
    by V. DE BRUYCKERE & M. GERHARDT & G. SCHEPENS & R. VANDER VENNET

  • 2012 How Policy Actions Affect Short-term Post-crisis Recovery?
    by Branimir Jovanovic

  • 2012 The Spread Nightmare: Financial Crises and Happiness
    by Leonardo Becchetti & Giancarlo Marini & Aurora Murgea

  • 2012 Models of Speculative Attacks and Crashes in International Capital Markets
    by Giancarlo Marini & Giovanni Piersanti

  • 2012 Can Portfolio Diversification increase Systemic Risk? Evidence from the U.S and European Mutual Funds Market
    by Claudio Dicembrino & Pasquale Lucio Scandizzo

  • 2012 The Sustainability of Monetary Unions. Can the Euro Survive?
    by Paolo Canofari & Giancarlo Marini & Giovanni Piersanti

  • 2012 A New Regime of SME Finance in Emerging Asia: Empowering Growth-Oriented SMEs to Build Resilient National Economies
    by Shinozaki, Shigehiro

  • 2012 The Group of Twenty: Input and Output Legitimacy, Reforms, and Agenda
    by Cooper, Andrew F.

  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Collignon, Stefan

  • 2012 Lessons of the European Crisis for Regional Monetary and Financial Integration in East Asia
    by Volz, Ulrich

  • 2012 Structural Distortions in the Euro Interbank Market: The Role of ‘Key Players’ during the Recent Market Turmoil
    by Caterina Liberati & Massimiliano Marzo & Paolo Zagaglia & Paola Zappa

  • 2012 Is there an Optimal Forecast Combination? A Stochastic Dominance Approach to Forecast Combination Puzzle
    by Mehmet Pinar & Thanasis Stengos & M. Ege Yazgan

  • 2012 The Time Varying Properties of Credit and Liquidity Components of CDS Spreads
    by Filippo Coro & Alfonso Dufour & Simone Varotto

  • 2012 The Real Output Costs of Financial Crisis: A Loss Distribution Approach
    by Kapp, Daniel & Vega, Marco

  • 2012 Potential Impacts of Subprime Carbon on Australia’s Impending Carbon Market
    by Patrick Hamshere & Liam Wagner

  • 2012 Economic Crises: The Impact on Australia and Canada
    by Frank Milne

  • 2012 The impact of financial crises on the risk-return tradeoff and the leverage effect
    by Bent Jesper Christensen & Morten Ørregaard Nielsen & Jie Zhu

  • 2012 Systemic Risk Analysis using Forward-Looking Distance-to-Default Series
    by Martín Saldías

  • 2012 Study of Discrete Choice Models and Adaptive Neuro-Fuzzy Inference System in the Prediction of Economic Crisis Periods in USA
    by Giovanis, Eleftherios

  • 2012 Stabilising and Destabilising Factors in 14 EU Housing Markets
    by Wieser, Robert

  • 2012 Wpływ kryzysu finansowego na oszacowania wykładnika Hursta - analiza fraktalna cen wybranych metali
    by Buła, Rafał

  • 2012 Volatility Spillover Across GCC Stock Markets
    by Onour, Ibrahim

  • 2012 Which market drives credit spreads in tranquil and crisis periods? An analysis of the contribution to price discovery of bonds, CDS, stocks and options
    by Avino, Davide & Lazar, Emese & Varotto, Simone

  • 2012 Obsolescence Of The 30-Year Mortgage
    by Gulino, Salvatore

  • 2012 Global Currency Misalignments, Crash Sensitivity, and Downside Insurance Costs
    by Huang, Huichou & MacDonald, Ronald & Zhao, Yang

  • 2012 Capital Inflows, Exchange Rate Flexibility, and Domestic Credit
    by Reinhart, Carmen

  • 2012 Causes of Financial Crises Past and Present: The Role of the This Time is Different Syndrome
    by Reinhart, Carmen & Rogoff, Kenneth

  • 2012 Capital Inflows, Credit Booms and Their Risks
    by Reinhart, Carmen

  • 2012 Cycles and Crises in a Model of Debt-financed Investment-led Growth
    by Datta, Soumya

  • 2012 Dual Banking and Financial Contagion
    by Nabi, Mahmoud Sami

  • 2012 Deciphering financial contagion in the euro area during the crisis
    by Tola, Albi & Wälti, Sébastien

  • 2012 On the epidemic of financial crises
    by Demiris, Nikolaos & Kypraios, Theodore & Smith, L. Vanessa

  • 2012 To what extent are financial crises comparable and thus predictable?
    by Diamondopoulos, John

  • 2012 Stylized facts of the daily and monthly returns for the European stock indices during 2007-2012
    by Panait, Iulian & Constantinescu, Alexandru

  • 2012 The influence of industry financial composition on export flow: A case study of a developing financial market
    by Nakhoda, Aadil

  • 2012 Why the transfer of bank supervisory powers back to the Bank of England is a step in the right direction: Revisiting the role of external auditors in bank and financial services supervision
    by Ojo, Marianne

  • 2012 The global financial crisis and indian banks: survival of the fittest?
    by Eichengreen, Barry & Gupta, Poonam

  • 2012 Financial instability, financial openness and economic growth in african countries
    by Batuo Enowbi, Michael & Kupukile, Mlambo

  • 2012 Sovereign Bond Yield Spillovers in the Euro Zone During the Financial and Debt Crisis
    by Antonakakis, Nikolaos & Vergos, Konstantinos

  • 2012 Rethinking Capital Structure Arbitrage
    by Avino, Davide & Lazar, Emese

  • 2012 Are CDS spreads predictable? An analysis of linear and non-linear forecasting models
    by Avino, Davide & Nneji, Ogonna

  • 2012 Price Discovery of Credit Spreads in Tranquil and Crisis Periods
    by Avino, Davide & Lazar, Emese & Varotto, Simone

  • 2012 Estrategia contracíclica de los bancos de desarrollo
    by Machín, Alejandra

  • 2012 Right conclusion with weak evidence: A review of
    by Jeong, Sangjun

  • 2012 The world's dream: economic growth : the balance sheet approach
    by De Koning, Kees

  • 2012 Excessive credit growth and countercyclical capital buffers in basel III: an empirical evidence from central and east european countries
    by Seidler, Jakub & Gersl, Adam

  • 2012 Impact of the global crisis on the linkages between CAC 40 and indexes from CEE countries
    by Nistor, Costel & Dumitriu, Ramona & Stefanescu, Razvan

  • 2012 Short term momentum and contrarian profits on the Bucharest Stock Exchange before and during the global crisis
    by Stefanescu, Razvan & Dumitriu, Ramona & Nistor, Costel

  • 2012 The rise and fall of universal banking: ups and downs of a sample of large and complex financial institutions since the late ‘90s
    by Masciantonio, Sergio & Tiseno, Andrea

  • 2012 Integracja finansowa w Europie po wprowadzeniu euro. Przegląd literatury
    by Gajewski, Krzysztof & Olszewski, Krzysztof & Pawłowska, Małgorzata & Rogowski, Wojciech & Tchorek, Grzegorz & Zięba, Jolanta

  • 2012 The Index of the Financial Safety (IFS) of South Africa and Bayesian Estimates for IFS Vector-Autoregressive Model
    by Matkovskyy, Roman

  • 2012 Forecasting the Index of Financial Safety (IFS) of South Africa using neural networks
    by Matkovskyy, Roman

  • 2012 LIBOR, EURIBOR and the regulation of capital markets: The impact of Eurocurrency markets on monetary setting policies
    by Ojo, Marianne

  • 2012 Financial Capital Overaccumulation
    by Hsu, Sara

  • 2012 Overreaction and underreaction on the BUCHAREST STOCK EXCHANGE
    by Stefanescu, Razvan & Dumitriu, Ramona & Nistor, Costel

  • 2012 Reactions of the capital markets to the shocks before and during the global crisis
    by Dumitriu, Ramona & Stefanescu, Razvan & Nistor, Costel

  • 2012 The Attenuation of Idiosyncratic Risk under Alternative Portfolio Weighting Strategies: Recent Evidence from the UK Equity Market
    by Chia, Rui Ming Daryl & Lim, Kai Jie Shawn

  • 2012 An Estimate for the Real Foreign Exchange Rate in Iran
    by Naghshineh-Pour, Amir

  • 2012 Short-term Dependence in Time Series as an Index of Complexity: Example from the S&P-500 Index
    by Dominique, C-Rene & Rivera-Solis, Luis Eduardo

  • 2012 Could Investors’ Expectations Explain Temporal Variations in Hurst’s Exponent, Loci of Multifractal Spectra, and Statistical Prediction Errors? The Case of the S&P 500 Index
    by Dominique, C-Rene & Rivera-Solis, Luis Eduardo

  • 2012 La nécessité d'une adoption (et l'adaptation) mondiale des IFRS (des normes internationales d'information financière): conséquences post-Enron et la restauration de la confiance aux marchés financiers à la suite des crises de 2008 financières et boursières
    by Ojo, Marianne

  • 2012 The need for global adoption and adaptation of International Financial Reporting Standards (IFRS): post Enron consequences and the restoration of confidence to capital markets following the 2008 financial and stock market crises
    by Ojo, Marianne

  • 2012 Elements of novelty, known mechanisms, and the fundamental causes of the recent crisis
    by Russo, Alberto

  • 2012 Fluxurile ISD in contextul crizei globale
    by Georgescu, George

  • 2012 Financial Failures and Risk Management
    by Yener, Coskun

  • 2012 Effects of the debt crisis on the EU-China relations
    by Mező, Júlia & Udvari, Beáta

  • 2012 Crisis management in the Baltic States
    by Mező, Júlia & Bagi, Ágnes

  • 2012 Responses of European competition policy to the challenges of the global economic crisis
    by Czékus, Ábel

  • 2012 The role of independent fiscal institutions in managing the European sovereign debt crisis: The case of the United Kingdom, Germany and Poland
    by Kovács, Bernadett & Csuka, Gyöngyi

  • 2012 Corporate tax harmonization in the European Union
    by Dankó, Zsófia

  • 2012 Debt trap - monetary indicators of Hungary's indebtedness
    by Sági, Judit

  • 2012 Role and function(ing) of the new European financial supervisory architecture
    by Kreisz, Brigitta

  • 2012 CDS, bond spread and sovereign debt crisis in peripherial EU
    by Akdoğu, Serpil Kahraman

  • 2012 Different approaches to the causes and consequences of the financial crisis
    by Botos, Katalin

  • 2012 Stock Market Cycles and Future Trend Estimation
    by Angyal (Apolzan), Carmen-Maria & Aniş, Cecilia–Nicoleta

  • 2012 Structural distortions in the Euro interbank market: the role of 'key players' during the recent market turmoil
    by Liberati, Caterina & Marzo, Massimiliano & Zagaglia, Paolo & Zappa, Paola

  • 2012 The need for the adoption of International Financial Reporting Standards (IFRS): some explanations for the pace of implementation
    by Ojo, Marianne

  • 2012 Sovereign debt crises and financial bailouts: the anatomy and components of an everlasting relationship (I)
    by Ojo, Marianne

  • 2012 Asymmetric information and financial markets
    by Estrada, Fernando

  • 2012 Skewness in stock returns: evidence from the Bucharest stock exchange during 2000 – 2011
    by Panait, Iulian & Slavescu, Ecaterina Oana

  • 2012 Stock return comovement and systemic risk in the Turkish banking system
    by Binici, Mahir & Köksal, Bülent & Orman, Cüneyt

  • 2012 Microeconomic determinants of losses in financial institutions during the crisis
    by Forte, Antonio & Cepparulo, Alessandra

  • 2012 Bailouts and longer term refinancing operations (LTROs): when temporary cures generate longer term economic concerns
    by Ojo, Marianne

  • 2012 The US financial system, the great recession, and the “speculative spread”
    by Hsu, Sara

  • 2012 Financial crisis - US versus Asian. Factors and policy response F
    by Gulam Hassan, Mohamed Aslam

  • 2012 “Ideal” financial development and financial overaccumulation
    by Hsu, Sara & Li, Jianjun

  • 2012 Applying approximate entropy (ApEn) to speculative bubble in the stock market
    by Saumitra, Bhaduri

  • 2012 From the Neoliberal crisis to a new path of development
    by Russo, Alberto

  • 2012 Market risk of developed and developing countries during the global financial crisis
    by Köksal, Bülent & Orhan, Mehmet

  • 2012 The transmission process of financial crises across the emerging markets: an alternative consideration
    by Abdurrahman, Korkmaz

  • 2012 Politica monetara în sistemele financiare moderne
    by Paun, Cristian

  • 2012 A coopetitive approach to financial markets stabilization and risk management
    by Carfì, David & Musolino, Francesco

  • 2012 The economy of Spain in the eurozone before and after the crisis of 2008
    by Neal, Larry & Garcia-Iglesias, Concepcion

  • 2012 在全球金融危机阴影下的消费者权益保护 - 欧盟,摩尔多瓦共和国和中华人民共和国的消费者权益保护的未来之路的研究 -
    by Sergiu, Gojinetchi

  • 2012 Oil prices and emerging market exchange rates
    by Hacihasanoglu, Erk & Turhan, Ibrahim M. & Soytas, Ugur

  • 2012 Soundness and unsoundness of banking sector in Nigeria: a discriminant analytical approach
    by Okpara, Godwin Chigozie

  • 2012 Impactul crizei globale asupra structurii comerţului exterior al României
    by Georgescu, George

  • 2012 Harmonising Basel III and the Dodd Frank Act through greater collaboration between standard setters and national supervisors
    by Ojo, Marianne

  • 2012 Harmonising Basel III and the Dodd Frank Act through international accounting standards: reasons why international accounting standards should serve as “thermostats”
    by Ojo, Marianne

  • 2012 The Global Financial Crisis and its Impact on India’s External Sector
    by SREENILAYAM, DR JOMON MATHEW

  • 2012 Accountants in the Global Financial Crises Bail-Out: The Outlook
    by Atanda, Akinwande AbdulMaliq & Idowu, Olufunmilola Fareedat

  • 2012 Real output costs of financial crises: a loss distribution approach
    by Kapp, Daniel & Vega, Marco

  • 2012 Interest Rate Pass-Through in the Euro Area during the Financial Crisis: a Multivariate Regime-Switching Approach
    by David ARISTEI & Manuela Gallo

  • 2012 Unsustainable Sovereign Debt - is the Euro Crisis only the Tip of the Iceberg?
    by Natasa Bilkic & Ben Carreras Painter & Thomas Gries

  • 2012 Real Output Costs of Financial Crises: a Loss Distribution Approach
    by Daniel Kapp & Marco Vega

  • 2012 Securitization and monetary transmission mechanism: evidence from italy (1999-2009)
    by M. Lopreite

  • 2012 Bank Pay Caps, Bank Risk, and Macroprudential Regulation
    by John Thanassoulis

  • 2012 International Capital Mobility: Which Structural Policies Reduce Financial Fragility?
    by Rudiger Ahrend & Antoine Goujard & Cyrille Schwellnus

  • 2012 Credit Crises and the Shortcomings of Traditional Policy Responses
    by William R. White

  • 2012 International Capital Mobility and Financial Fragility - Part 7. Enhancing Financial Stability: Country-Specific Evidence on Financial Account and Structural Policy Positions
    by Rudiger Ahrend & Carla Valdivia

  • 2012 International Capital Mobility and Financial Fragility - Part 3. How Do Structural Policies Affect Financial Crisis Risk?: Evidence from Past Crises Across OECD and Emerging Economies
    by Rudiger Ahrend & Antoine Goujard

  • 2012 Systemically Important Banks and Capital Regulation Challenges
    by Patrick Slovik

  • 2012 International Capital Mobility and Financial Fragility - Part 1. Drivers of Systemic Banking Crises: The Role of Bank-Balance-Sheet Contagion and Financial Account Structure
    by Rudiger Ahrend & Antoine Goujard

  • 2012 Debt and Macroeconomic Stability: Debt and the Business Cycle
    by Volker Ziemann

  • 2012 The Effect of Solvency Regulations and Accounting Standards on Long-Term Investing: Implications for Insurers and Pension Funds
    by Clara Severinson & Juan Yermo

  • 2012 Financing Japan’s World War II Occupation of Southeast Asia
    by Gregg Huff & Shinobu Majima

  • 2012 The Inefficient Markets Hypothesis: Why Financial Markets Do Not Work Well in the Real World
    by Roger E.A. Farmer & Carine Nourry & Alain Venditti

  • 2012 Carry Trade and Systemic Risk: Why are FX Options so Cheap?
    by Ricardo J. Caballero & Joseph B. Doyle

  • 2012 Did the Community Reinvestment Act (CRA) Lead to Risky Lending?
    by Sumit Agarwal & Efraim Benmelech & Nittai Bergman & Amit Seru

  • 2012 Vulnerable Banks
    by Robin Greenwood & Augustin Landier & David Thesmar

  • 2012 Dollar Funding and the Lending Behavior of Global Banks
    by Victoria Ivashina & David S. Scharfstein & Jeremy C. Stein

  • 2012 Information Acquisition in Rumor Based Bank Runs
    by Zhiguo He & Asaf Manela

  • 2012 LEADS on Macroeconomic Risks to and from the Household Sector
    by Jonathan A. Parker

  • 2012 The "Big C": Identifying Contagion
    by Kristin Forbes

  • 2012 Who Ran on Repo?
    by Gary B. Gorton & Andrew Metrick

  • 2012 The Effects of Reconstruction Finance Corporation Assistance on Michigan's Banks' Survival in the 1930s
    by Charles W. Calomiris & Joseph R. Mason & Marc Weidenmier & Katherine Bobroff

  • 2012 Endogenous Liquidity and Defaultable Bonds
    by Zhiguo He & Konstantin Milbradt

  • 2012 Bubbles, Financial Crises, and Systemic Risk
    by Markus K. Brunnermeier & Martin Oehmke

  • 2012 Some Reflections on the Recent Financial Crisis
    by Gary B. Gorton

  • 2012 Valuation, Adverse Selection, and Market Collapses
    by Michael J. Fishman & Jonathan A. Parker

  • 2012 Which Financial Frictions? Parsing the Evidence from the Financial Crisis of 2007-9
    by Tobias Adrian & Paolo Colla & Hyun Song Shin

  • 2012 Debt- and Equity-Led Capital Flow Episodes
    by Kristin J. Forbes & Francis E. Warnock

  • 2012 The Cost of Financial Frictions for Life Insurers
    by Ralph S.J. Koijen & Motohiro Yogo

  • 2012 An Empirical Analysis of the Fed's Term Auction Facility
    by Efraim Benmelech

  • 2012 Time to Ship During Financial Crises
    by Nicolas Berman & José De Sousa & Philippe Martin & Thierry Mayer

  • 2012 Economic Effects of Runs on Early 'Shadow Banks': Trust Companies and the Impact of the Panic of 1907
    by Carola Frydman & Eric Hilt & Lily Y. Zhou

  • 2012 Market Liquidity -- Theory and Empirical Evidence
    by Dimitri Vayanos & Jiang Wang

  • 2012 Tail Risk in Momentum Strategy Returns
    by Kent Daniel & Ravi Jagannathan & Soohun Kim

  • 2012 Volatility, the Macroeconomy and Asset Prices
    by Ravi Bansal & Dana Kiku & Ivan Shaliastovich & Amir Yaron

  • 2012 Macroeconomics with Financial Frictions: A Survey
    by Markus K. Brunnermeier & Thomas M. Eisenbach & Yuliy Sannikov

  • 2012 Why Did So Many People Make So Many Ex Post Bad Decisions? The Causes of the Foreclosure Crisis
    by Christopher L. Foote & Kristopher S. Gerardi & Paul S. Willen

  • 2012 Bubble Thy Neighbor: Portfolio Effects and Externalities from Capital Controls
    by Kristin Forbes & Marcel Fratzscher & Thomas Kostka & Roland Straub

  • 2012 Tracking Variation in Systemic Risk at US Banks During 1974-2013
    by Armen Hovakimian & Edward J. Kane & Luc Laeven

  • 2012 The Anatomy of a Credit Crisis: The Boom and Bust in Farm Land Prices in the United States in the 1920s
    by Raghuram Rajan & Rodney Ramcharan

  • 2012 Investment Busts, Reputation, and the Temptation to Blend in with the Crowd
    by Steven Grenadier & Andrey Malenko & Ilya A. Strebulaev

  • 2012 A Series of Unfortunate Events: Common Sequencing Patterns in Financial Crises
    by Carmen M. Reinhart

  • 2012 Debt Financing in Asset Markets
    by Zhiguo He & Wei Xiong

  • 2012 Convective Risk Flows in Commodity Futures Markets
    by Ing-Haw Cheng & Andrei Kirilenko & Wei Xiong

  • 2012 Crisis-Related Shifts in the Market Valuation of Banking Activities
    by Charles W. Calomiris & Doron Nissim

  • 2012 Macroeconomic Effects of Corporate Default Crises: A Long-Term Perspective
    by Kay Giesecke & Francis A. Longstaff & Stephen Schaefer & Ilya Strebulaev

  • 2012 Are Banks Passive Liquidity Backstops? Deposit Rates and Flows during the 2007-2009 Crisis
    by Viral V. Acharya & Nada Mora

  • 2012 Resolving Debt Overhang: Political Constraints in the Aftermath of Financial Crises
    by Atif R. Mian & Amir Sufi & Francesco Trebbi

  • 2012 Collateral Crises
    by Gary B. Gorton & Guillermo Ordonez

  • 2012 Sizing Up Repo
    by Arvind Krishnamurthy & Stefan Nagel & Dmitry Orlov

  • 2012 Is Tanzania a Success Story? A Long Term Analysis
    by Sebastian Edwards

  • 2012 Econometric regime shifts and the US subprime bubble
    by André K. Anundsen

  • 2012 Bank/sovereign risk spillovers in the European debt crisis
    by Valerie De Bruyckere & Maria Gerhardt & Glenn Schepens & Rudi Vander Vennet

  • 2012 Bank/sovereign risk spillovers in the European debt crisis
    by Valerie De Bruyckere & Maria Gerhardt & Glenn Schepens & Rudi Vander Vennet

  • 2012 Bank/sovereign risk spillovers in the European debt crisis
    by Valerie De Bruyckere & Maria Gerhardt & Glenn Schepens & Rudi Vander Vennet

  • 2012 Bank/sovereign risk spillovers in the European debt crisis
    by Valerie De Bruyckere & Maria Gerhardt & Glenn Schepens & Rudi Vander Vennet

  • 2012 Financial versus Demand shocks in stock price returns of US non-financial firms in the crisis of 2007
    by Varvara Isyuk

  • 2012 A system-wide financial stress indicator for the Hungarian financial system
    by Dániel Holló

  • 2012 CEO letters of securities brokerage firms in times of financial market distress
    by Gina PONCINI & Lorene HIRIS

  • 2012 Domestic Systemically Important Banks: An Indicator-Based Measurement Approach for the Australian Banking System
    by Patrick Brämer & Horst Gischer

  • 2012 Transparency in the Financial System: Rollover Risk and Crises
    by Matthieu Bouvard & Pierre Chaigneau & Adolfo de Motta

  • 2012 Systemic Risk and the European Banking Sector
    by Nicola Borri & Marianna Caccavaio & Giorgio Di Giorgio & Alberto Maria Sorrentino

  • 2012 Are private banks the better banks? An insight into the principal-agent structure and risk-taking behavior of German banks
    by Frank Schmielewski & Thomas Wein

  • 2012 Leveraging and risk taking within the German banking system: Evidence of the financial crisis in 2007 and 2008
    by Frank Schmielewski

  • 2012 Consumer reaction on tumbling funds - Evidence from retail fund outflows during the financial crisis 2007/2008
    by Daniel Schmidt & Frank Schmielewski

  • 2012 Latvian Financial Stress Index
    by Nadezda Sinenko & Deniss Titarenko & Mikus Arins

  • 2012 Indian Antidumping Measures against China: Evidence from Monthly Trade Data
    by Hylke Vandenbussche & Christian Viegelahn

  • 2012 ECB Worries/European Woes: The Economic Consequences of Parochial Policy
    by Robert J. Barbera & Gerald Holtham

  • 2012 The Impact of Financial Reform on Federal Reserve Autonomy
    by Bernard Shull

  • 2012 The Euro Debt Crisis and Germany's Euro Trilemma
    by Jorg Bibow

  • 2012 What Are the Driving Factors behind the Rise of Spreads and CDSs of Euro-area Sovereign Bonds? A FAVAR Model for Greece and Ireland
    by Nicholas Apergis & Emmanuel Mamatzakis

  • 2012 The Euro Crisis and the Job Guarantee: A Proposal for Ireland
    by L. Randall Wray

  • 2012 How Liquid Are UK Banks?
    by Meilin Yan & Maximilian J. B. Hall & Paul Turner

  • 2012 Global excess liquidity and asset prices in emerging countries: a pvar approach
    by Sophie Brana & Marie-Louise Djigbenou & Stéphanie Prat

  • 2012 Bank Overleverage and Macroeconomic Fragility
    by Ryo Kato & Takayuki Tsuruga

  • 2012 Diversity among banks may increase systemic risk
    by Teruyoshi Kobayashi

  • 2012 Stock Market Tournaments
    by Emre Ozdenoren & Kathy Yuan

  • 2012 Saving on a Rainy Day, Borrowing for a Rainy Day
    by Sule Alan & Thomas Crossley & Hamish Low

  • 2012 Network Analysis of the e-MID Overnight Money Market: The Informational Value of Different Aggregation Levels for Intrinsic Dynamic Processes
    by Karl Finger & Daniel Fricke & Thomas Lux

  • 2012 Core-Periphery Structure in the Overnight Money Market: Evidence from the e-MID Trading Platform
    by Thomas Lux, Daniel Fricke

  • 2012 Debt, Boom, Bust: A Theory of Minsky-Veblen Cycles
    by Jakob Kapeller & Bernhard Schütz

  • 2012 The European Commission’s Scoreboard of Macroeconomic Imbalances – The Impact of Preferences on an Early Warning System
    by Tobias Knedlik

  • 2012 Managing Financial Crises: Lean or Clean?
    by Mitsuru Katagiri & Ryo Kato & Takayuki Tsuruga

  • 2012 Lessons from Reforms in Central and Eastern Europe in the Wake of the Global Financial Crisis
    by Anders Aslund

  • 2012 Saving on a rainy day, borrowing for a rainy day
    by Sule Alan & Thomas Crossley & Hamish Low

  • 2012 The effect of the financial crisis on older households in England
    by James Banks & Rowena Crawford & Thomas Crossley & Carl Emmerson

  • 2012 Banking Crises and Financial Integration
    by Julian Caballero

  • 2012 Developing an Index of Liquidity-Risk Exposure: An Application to Latin American and Caribbean Banking Systems
    by Pablo Federico

  • 2012 ¿Hay un sesgo anti-laboral en los impuestos en América Latina?
    by Eduardo Lora & Deisy Fajardo

  • 2012 Coping with Financial Crises: Latin American Answers to European Questions
    by Eduardo A. Cavallo & Eduardo Fernández-Arias

  • 2012 Capital Inflow Surges in Emerging Economies: How Worried Should LAC Be?
    by Andrew Powell & Pilar Tavella

  • 2012 Do Surges in International Capital Inflows Influence the Likelihood of Banking Crises? Cross-Country Evidence on Bonanzas in Capital Inflows and Bonanza-Boom- Bust Cycles
    by Julian Caballero

  • 2012 Banking Crises and Financial Integration
    by Julián Caballero

  • 2012 Capital Inflow Surges in Emerging Economies: How Worried Should LAC Be?
    by Andrew Powell & Pilar Tavella

  • 2012 Do Surges in International Capital Inflows Influence the Likelihood of Banking Crises?: Cross-Country Evidence on Bonanzas in Capital Inflows and Bonanza-Boom-Bust Cycles
    by Julián Caballero

  • 2012 Covered bonds, core markets, and financial stability
    by Kartik Anand & James Chapman & Prasanna Gai &

  • 2012 Financial Network Systemic Risk Contributions
    by Nikolaus Hautsch & Julia Schaumburg & Melanie Schienle &

  • 2012 Quantile Regression in Risk Calibration
    by Shih-Kang Chao & Wolfgang Karl Härdle & Weining Wang

  • 2012 Financial Innovation: The Bright and the Dark Sides
    by Thorsten Beck & Tao Chen & Chen Lin & Frank M. Song

  • 2012 企業統治と組織淘汰--世界金融危機とロシア企業--
    by 岩﨑, 一郎

  • 2012 Are banks peer disciplined? Evidence from post-crisis Russia
    by Maria Semenova & Irina Andrievskaya

  • 2012 Comparing Centralized and Decentralized Banking: A Study of the Risk-Return Profiles of Banks
    by Holmberg, Ulf & Sjögren, Tomas & Hellström, Jörgen

  • 2012 Fire-Sale FDI? The Impact of Financial Crisis on Foreign Direct Investment
    by Olga Bogach & Ilan Noy

  • 2012 Stock market reaction to fed funds rate surprises: state dependence and the financial crisis
    by Alexandros Kontonikas & Ronald MacDonald & Aman Saggu

  • 2012 Human Development and Fiscal Policy: Comparing the Crises of 1982-85 and 2008-11
    by Bruno Martorano, & Giovanni Andrea Cornia & Frances Stewart

  • 2012 The Impact of the Global Financial Crisis on the Least Developed Countries
    by Cindy AUDIGUIER

  • 2012 The Impact of the Global Financial Crisis on the Least Developed Countries
    by Cindy AUDIGUIER

  • 2012 Credit Growth and Countercyclical Capital Buffers: Empirical Evidence from Central and Eastern European Countries
    by Adam Geršl & Jakub Seidler

  • 2012 Banking, Debt, and Currency Crises: Early Warning Indicators for Developed Countries
    by Jan Babecký & Tomáš Havránek & Jakub Mateju & Marek Rusnák & Katerina Šmídková & Borek Vašícek

  • 2012 Credit Market Competition and Liquidity Crises
    by CARLETTI, Elena & LEONELLO, Agnese

  • 2012 Energy Inflation and House Price Corrections
    by Andreas Breitenfellner & Jesús Crespo Cuaresma & Philipp Mayer

  • 2012 Common Risk Factors and the Macroeconomy: New Evidence from the Japanese Stock Market
    by Lucas Bretschger & Filippo Lechthaler

  • 2012 Modelo de dos factores con dinámica DCC en la evaluación del riesgo de crédito
    by Carlos A. Reyes

  • 2012 Ranking Systemically Important Financial Institutions
    by Mardi Dungey & Matteo Luciani & David Veredas

  • 2012 Households borrowing during a creditless recovery
    by Jaanika Meriküll

  • 2012 Collateral Valuation and Borrower Financial Constraints: Evidence from the Residential Real-Estate Market
    by Agarwal, Sumit & Ben-David, Itzhak & Yao, Vincent

  • 2012 Why Did Holdings of Highly-Rated Securitization Tranches Differ So Much across Banks?
    by Erel, Isil & Nadauld, Taylor & Stulz, Rene M.

  • 2012 Do Loan Officers' Incentives Lead to Lax Lending Standards?
    by Ben-David, Itzhak & Agarwal, Sumit

  • 2012 The Quiet Run of 2011: Money Market Funds and the European Debt Crisis
    by Chernenko, Sergey & Sunderam, Adi

  • 2012 The Euro sovereign debt crisis and the built-in instability of the Euro
    by Vranceanu, Radu

  • 2012 The spending multiplier in a time of massive public debt : the euro area case
    by Vranceanu, Radu & Besancenot, Damien

  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Stefan Collignon

  • 2012 The Group of Twenty : Input and Output Legitimacy, Reforms, and Agenda
    by Andrew F. Cooper

  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Stefan Collignon

  • 2012 Europe’s Debt Crisis, Coordination Failure, and International Effects
    by Stefan Collignon

  • 2012 Lessons of the European Crisis for Regional Monetary and Financial Integration in East Asia
    by Ulrich Volz

  • 2012 The Group of Twenty : Input and Output Legitimacy, Reforms, and Agenda
    by Andrew F. Cooper

  • 2012 On the links between stock and commodity markets' volatility
    by Anna Creti & Marc Joëts & Valérie Mignon

  • 2012 Theoretical Channels of International,Transmission During the Subprime Crisis to OCDE Countries : A FAVAR Model Under Bayesian Framework
    by Olfa Kaabia & Ilyes Abid

  • 2012 The interaction between the central bank and government in tail risk scenarios
    by Jan Willem van den End & Marco Hoeberichts

  • 2012 The optimal size of the European Stability Mechanism: A cost-benefit analysis
    by Daniel Kapp

  • 2012 Identifying systemically important financial institutions: size and other determinants
    by Kyle Moore & Chen Zhou

  • 2012 The 2007-2009 Financial Crisis: Changing Market Dynamics and the Impact of Credit Supply and Aggregate Demand Sensitivity
    by Theoharry Grammatikos & Robert Vermeulen

  • 2012 Leverage and Default in Binomial Economies: A Complete Characterization
    by Ana Fostel & John Geanakoplos

  • 2012 Leverage and Default in Binomial Economies: A Complete Characterization
    by Ana Fostel & John Geanakoplos

  • 2012 Leverage and Default in Binomial Economies: A Complete Characterization
    by Ana Fostel & John Geanakoplos

  • 2012 Endogenous Leverage in a Binomial Economy: The Irrelevance of Actual Default
    by Ana Fostel & John Geanakoplos

  • 2012 Indian Antidumping Measures against China: Evidence from Monthly Trade Data
    by Hylke VANDENBUSSCHE & Christian VIEGELAHN

  • 2012 Public borrowing in harsh times : the League of Nations Loans revisited
    by Flores, Juan-Huitzi & Decorzant, Yann

  • 2012 The 2007-2009 Financial Crisis: Changing Market Dynamics and the Impact of Credit Supply and Aggregate Demand Sensitivity
    by Theoharry Grammatikos & Robert Vermeulen

  • 2012 Market Perceptions of US and European Policy Actions Around the Subprime Crisis
    by Yoichi Otsubo & Theoharry Grammatikos & Thorsten Lehnert

  • 2012 Towards a Legal Theory of Finance
    by Pistor, Katharina

  • 2012 The Labor Market Consequences of Financial Crises With or Without Inflation: Jobless and Wageless Recoveries
    by Calvo, Guillermo & Coricelli, Fabrizio & Ottonello, Pablo

  • 2012 How important is the credit channel? An empirical study of the US banking crisis
    by Liu, Chunping & Minford, Patrick

  • 2012 A Role Model for the Conduct of Fiscal Policy? Experiences from Sweden
    by Flodén, Martin

  • 2012 Time to ship during financial crises
    by Berman, Nicolas & de Sousa, José & Martin, Philippe & Mayer, Thierry

  • 2012 Spread the News: How the Crisis Affected the Impact of News on the European Sovereign Bond Markets
    by Beetsma, Roel & de Jong, Frank & Giuliodori, Massimo & Widijanto, Daniel

  • 2012 Stock Market Tournaments
    by Ozdenoren, Emre & Yuan, Kathy

  • 2012 A proposal for the resolution of systemically important assets and liabilities: The case of the repo market
    by Acharya, Viral V & Öncü, T Sabri

  • 2012 Measuring Systemic Risk
    by Acharya, Viral V & Pedersen, Lasse H & Philippon, Thomas & Richardson, Matthew P

  • 2012 Sizing Up Repo
    by Krishnamurthy, Arvind & Nagel, Stefan & Orlov, Dmitry

  • 2012 Contagion in financial networks: A threat index
    by Demange, Gabrielle

  • 2012 The Role of Central Banks in Financial Stability: How has it changed?
    by Buiter, Willem H.

  • 2012 Evaporating Liquidity
    by Nagel, Stefan

  • 2012 Securitization Without Risk Transfer
    by Acharya, Viral V & Schnabl, Philipp & Suarez, Gustavo

  • 2012 La hipótesis de inestabilidad financiera de Minsky en una economía abierta
    by Jimmy Melo

  • 2012 Liquidez en los Mercados Accionarios Latinoamericanos: Estimando el efecto del Mercado Integrado Latinoamericano (MILA)
    by María Isabel Castro & Diego A. Agudelo & Santiago E. Barraza & Samuel Mongrut

  • 2012 Flujos de capital, la crisis financiera internacional y los desbalances macroeconómicos
    by Jorge Hernán Toro Córdoba & Rocío Mora Quiñones & Daniel Parra Amado

  • 2012 Lecciones de las crisis financieras recientes para el diseño e implementación de las políticas monetaria y financiera en Colombia
    by Juan Pablo Zárate Perdomo & Adolfo León Cobo & José Eduardo Gómez Gónzalez

  • 2012 Why Is Sovereign Debt Restructuring a Challenge? The Case of Greece
    by Joanna Dreger

  • 2012 Contagion Risk in the Czech Financial System: A Network Analysis and Simulation Approach
    by Vaclav Hausenblas & Ivana Kubicova & Jitka Lesanovska

  • 2012 Time to ship during financial crises
    by Nicolas Berman & José de Sousa & Philippe Martin & Thierry Mayer

  • 2012 On the links between stock and commodity markets' volatility
    by Anna Creti & Marc Joëts & Valérie Mignon

  • 2012 Mortgage Amortization and Amplification
    by Chiara Forlati & Luisa Lambertini

  • 2012 Informational Contagion and the Entrepreneurial Production of Informational Remedies
    by Mathieu Bédard

  • 2012 Efficiency of Central Bank Policy During the Crisis : Role of Expectations in Reinforcing Hoarding Behavior
    by Volha Audzei

  • 2012 Banking Crises and Reversals in Financial Reforms
    by Petar Stankov

  • 2012 Exporters, Importers and Credit Constraints
    by Mirabelle Muûls

  • 2012 How important is the credit channel? An empirical study of the US banking crisis
    by Liu, Chunping & Minford, Patrick

  • 2012 Saving on a Rainy Day, Borrowing for a Rainy Day
    by Alan, S. & Crossley, T. & Low, H.

  • 2012 Towards a Euro Fiscal Union: Reinforced Fiscal and Macroeconomic Coordination and Surveillance is Not Enough
    by Paul J.J. Welfens

  • 2012 Banking Bubbles and Financial Crisis
    by Jianjun Miao & PENGFEI WANG

  • 2012 Structural distortions in the Euro interbank market: The role of ‘key players’ during the recent market turmoil
    by C. Liberati & M. Marzo & P. Zagaglia & P. Zappa

  • 2012 Do corporate boards affect firm performance? : New evidence from the financial crisis
    by Francis, Bill & Hasan, Iftekhar & Wu, Qiang

  • 2012 Signaling asset price bubbles with time-series methods
    by Taipalus, Katja

  • 2012 Real-time warning signs of emerging and collapsing Chinese house price bubbles
    by Chen, Xi & Funke, Michael

  • 2012 Using Shapley’s asymmetric power index to measure banks’ contributions to systemic risk
    by Garratt, Rodney & Webber, Lewis & Willison, Matthew

  • 2012 Size and complexity in model financial systems
    by Arinaminpathy, Nimalan & Kapadia, Sujit & May, Robert

  • 2012 Liquidity risk, cash-flow constraints and systemic feedbacks
    by Kapadia, Sujit & Drehmann, Mathias & Elliott, John & Sterne, Gabriel

  • 2012 Why do banking crises occur? The American subprime crisis compared with the Norwegian banking crisis 1987-92
    by Sverre Knutsen

  • 2012 The Flows of the Pacific: Asian foreign exchange markets through tranquility and turbulence
    by Dagfinn Rime & Hans Jørgen Tranvåg

  • 2012 Financial crises and monetary expansion
    by Ola Honningdal Grytten

  • 2012 Too-connected versus too-big-to-fail: banks’ network centrality and overnight interest rates
    by Gabrieli, S.

  • 2012 Equilibrium Risk Shifting and Interest Rate in an Opaque Financial System
    by Challe, E. & Mojon, B. & Ragot, X.

  • 2012 Commonality in hedge fund returns: driving factors and implications
    by Bussiere, M. & Hoerova, M. & Klaus, B.

  • 2012 Externalities in interbank network: results from a dynamic simulation model
    by Michele Manna & Alessandro Schiavone

  • 2012 The recent trends in long-term bank funding
    by Andrea Cardillo & Andrea Zaghini

  • 2012 A model for vast panels of volatilities
    by Matteo Luciani & David Veredas

  • 2012 TailCoR
    by Lorenzo Ricci & David Veredas

  • 2012 Boom-bust cycles, imbalances and discipline in Europe
    by Enrique Alberola & Luis Molina & Pedro del Río

  • 2012 The Spanish economic crisis: key factors and growth challenges in the euro area
    by Eloísa Ortega & Juan Peñalosa

  • 2012 Financial Crisis Resolution
    by Josef Schroth

  • 2012 Does the Buck Stop Here? A Comparison of Withdrawals from Money Market Mutual Funds with Floating and Constant Share Prices
    by Jonathan Witmer

  • 2012 Estimating the Demand for Settlement Balances in the Canadian Large Value Transfer System
    by Nellie Zhang

  • 2012 How does Ownership Structure Influence Bank Risk? Analyzing the Role of Managerial Incentives
    by Mónica López-Puertas Lamy

  • 2012 Measuring Option Implied Degree of Distress in the US Financial Sector Using the Entropy Principle
    by Philipp Matros & Johannes Vilsmeier

  • 2012 Wage Stagnation, Rising Inequality and the Financial Crisis of 2008
    by Jon D. Wisman

  • 2012 Real exchange rate volatility, financial crises and nominal exchange regimes
    by Amalia Morales-Zumaquero & Simón Sosvilla-Rivero

  • 2012 Fear and Closed-End Fund Discounts
    by Seth Anderson & T. Randolph Beard & Hyeongwoo Kim & Liliana Stern

  • 2012 The Short-Run Pricing Behavior of Closed-End Funds: Bond vs. Equity Funds
    by Seth Anderson & T. Randolph Beard & Hyeongwoo Kim & Liliana Stern

  • 2012 Integration of European Bond Markets
    by Charlotte Christiansen

  • 2012 The impact of financial crises on the risk-return tradeoff and the leverage effect
    by Bent Jesper Christensen & Morten Ørregaard Nielsen & Jie Zhu

  • 2012 Euro Integration Reserve Currency?
    by Ana Filipa Dias & António Portugal Duarte

  • 2012 Intolerable Surges, Exchange Rate Regimes and Sudden Stops of Capital Inflows
    by Ayachi Feith & Bhar Youssef

  • 2012 Realizing Rational Exuberance:An Appreciation of the Mundell-Huang Da Lectures
    by

  • 2012 Developing Distress Resolution Procedures for Financial Institutions
    by Clas Wihlborg

  • 2012 New Paradigms in Monetary Theory and Policy?
    by Morten Balling & David T. Llewellyn & Athanasios Orphanides & Luc Coene & Andy Haldane & Richard Davies & Dramane Coulibaly & Hubert Kempf & Nicola Brink & Michael Kock & Amund Holmsen & Øistein Røisland & Guonan Ma & Robert N. McCauley & Fabio C.Bagliano & Claudio Morana & Wim Boonstra & Tobias C. Michalak & Philipp C. Rother

  • 2012 Detecting asset price bubbles with time-series methods
    by Taipalus, Katja

  • 2012 The Impact of the International Economic and Financial Crisis on the Current Accounts’ and Foreign Direct Investments’ Trends in the New Member States of the European Union
    by Camelia MILEA & Alina Georgeta AILINCĂ & Iulia LUPU & Adina CRISTE & Floarea IORDACHE

  • 2012 A Multifractal Model of Asset Returns in the Context of the New Economy Paradigm
    by Diana DEZSI & Emil SCARLAT

  • 2012 Aktywność kredytowa banków w cyklu koniunkturalnym [Banks’ Lending Activity During Business Cycles]
    by Marek Lubiński

  • 2012 Institutional Regimes, Long Wave Systemic Risk and Great International Crisis of 2008-2012
    by Phillip Anthony O’Hara

  • 2012 The Theory Of International Financial Contagion
    by LUPU, Iulia

  • 2012 The Current Reforms Of The Labour Markets And Of The Related Social Policies At European Union Level – Are They The Best Solutions To Solve The Problems Which Appeared During The Crisis?
    by Ailinca, Alina Georgeta & Iordache, Floarea

  • 2012 The Balkans: Between Economic Crisis And European Integration
    by Radulescu, Andrei

  • 2012 The Financial Crisis, A Problem Of Economic Ethics And Of Morality?
    by Pop, Napoleon

  • 2012 The Governance Of Euro Adoption In The New Member States Of The European Union
    by Lupu, Iulia & Pop, Napoleon & Criste, Adina & Milea, Camelia & Seitan, Silviu Marius & Ivan, Mihai Vincentiu & Iordache, Floarea & Ailinca, Alina Georgeta & Chirila, Viorica & Chirila, Ciprian & Iarca, Ion & Muresan, Jianu Daniel & BEJU, Daniela Georgeta & Filip, Angela

  • 2012 The Applicability Of Artificial Neural Network Method Upon Prediction Of Rate Of Stock Return: Example Of 2008 Financial Crisis
    by Süleyman Serdar KARACA & Hatice Neriman BAŞDEMİR

  • 2012 The Turkish Economy after the Global Financial Crisis
    by Dani Rodrik

  • 2012 Fiscal policy and the optimal gdp under a budget constrain condition
    by Alin OPREANA & Diana MIHAIU

  • 2012 The evolution of the regional disparities of foreign direct investments in Romania influenced by the integration in the European Union and the economic crisis
    by Raluca Georgiana POPESCU & Denisia VINTILA & Raluca ERDINC

  • 2012 A comparative analysis of solutions regarding the current global crisis
    by Adina DORNEAN & Vasile ISAN

  • 2012 "Fault Lines" by Raghuram G. Rajan
    by Yasemin Barlas

  • 2012 Review of "This Time is Different : Eight Centuries of Financial Folly" by Carmen M. Reinhart and Kenneth S. Rogoff
    by Vuslat Us Alioglu

  • 2012 The Current Financial And Economic Crisis: Empirical And Methodological Issues
    by Eduardo Strachman & José Ricardo Fucidji

  • 2012 The Impact of National Currency Instability and the World Financial Crisis in the Credit Risk. The Case of Albania
    by Dr. Anila MANÇKA

  • 2012 The Recent Global Financial Crisis And Its Impact On Foreign Trade- A Case Of India
    by ANAND BANSAL

  • 2012 Evaluating the impact of shock in the supply of overnight unsecured money market funds on the TARGET2-Banca d'Italia functioning: a simulation approach
    by Luca Arciero

  • 2012 Romania’s Governmental Public Debt in the Context of the Present Day Financial Crisis: its Dynamics During the Last Ten Years
    by Mariana MAN & Maria MACRIS

  • 2012 Determining Factors of Persistent Recession in Developed Economies
    by Alexandru BURDA & Sebastian CHIRIMBU

  • 2012 The Emphasis of Negative Journalism in the Economic Communication, one of the Consequences of the Global Economic Crisis
    by Stefan VLADUTESCU

  • 2012 Total Quality and Performance Productivity in Romanian Cooperative Banks
    by Liliana-Aurora CONSTANTINESCU & Adrian CONSTANTINESCU

  • 2012 Private Sector Export to Emerging Market Economies During Times of Crisis: How Can Export Credit Agencies Help?
    by Trung Quang DINH & Hilmar Þor HILMARSSON

  • 2012 The Infrastructure Of The Romanian Financial System In The Current Crisis
    by IONESCU, Eduard & OPREA, Cristian

  • 2012 Testing for “Contagion” of the Subprime Crisis on the Middle East and North African Stock Markets: A Markov Switching EGARCH Approach
    by Khallouli, Wajih & Sandretto, René

  • 2012 Credit default swaps and CDS-bond basis with Russian companies: a review and an analysis of the effects of the short selling ban during the second great contraction
    by Frolova, Elvina & Fantazzini, Dean

  • 2012 Some Preliminary Evidence on Stock Price Bubbles in an Emerging Market
    by Nawazish Mirza & Ayesha Afzal

  • 2012 El perro y el frisbee
    by Andrew G. Haldane & Vasileios Madouros

  • 2012 Modelos contables y comprensión de la crisis financiera
    by Dirk J. Bezemer

  • 2012 Financial Frictions and Total Factor Productivity: Accounting for the Real Effects of Financial Crises
    by Sangeeta Pratap & Carlos Urrutia

  • 2012 Respuestas de política a la crisis financiera global: ¿Qué hicieron diferente las economías emergentes?
    by Ceballos, Francisco & Didier, Tatiana & Hevia, Constantino & Schmukler, Sergio

  • 2012 Appreciating diversity: Regulatory reform and banking practices in the developed and developing worlds
    by Jayati Ghosh

  • 2012 Financial re-regulation at a crossroads: How the European experience strengthens the case for a radical reform built on Minsky's approach
    by Mario Tonveronachi & Elisabetta Montanaro

  • 2012 The supreme subprime myth: the role of bad loans in the 2007-2009 financial crisis
    by Alberto Niccoli & Francesco Marchionne

  • 2012 Introduction: there is more to Keynesianism than public spending alone
    by Carlo D'Ippoliti

  • 2012 Diseguaglianza, conflitto sociale e sindacati in America
    by Antonio Lettieri

  • 2012 Introduzione
    by Alessandro Ronaglia

  • 2012 Una riconsiderazione degli studi da Kalecki sull'economia statunitense
    by Julio Lòpez Gallardo

  • 2012 Crisi internazionale e nazionale
    by Sergio Ferrari

  • 2012 Come difendere la globalizzazione e salvaguardare i sistemi bancari dal contagio
    by Mario Sarcinelli

  • 2012 Introduzione: le politiche keynesiane non riguardano solo, né sempre, la spesa pubblica
    by Carlo D'Ippoliti

  • 2012 Development of an Early Warning System for Evaluating the Credit Portfolio´s Quality. A Case Study on Romania
    by Iustina Boitan

  • 2012 Czech Swap Market in the Crisis Period
    by Martin Pohl

  • 2012 Collateralized Debt Obligations´ Valuation Using the One Factor Gaussian Copula Model
    by Petra Buzková & Petr Teplý

  • 2012 Necessity of Changes in the Point of View on the Randomness in the Frame of Economic Paradigm
    by Jaroslav Daňhel & Eva Ducháčková

  • 2012 Financial Innovations and Economic Fluctuation from the Present Perspective
    by Martin Janíčko

  • 2012 Contemporary Economics Dilemma: High Ethics or More Extensive Governing?
    by Jaroslav Daňhel & Eva Ducháčková

  • 2012 Excessive Credit Growth and Countercyclical Capital Buffers in Basel III: An Empirical Evidence from Central and East European Countries
    by Adam Gersl & Jakub Seidler

  • 2012 Determinants of Export Performance in the Wake of the Global Financial Crisis: Evidence from South Asia
    by Hamna Ahmed & Farah Said

  • 2012 Competitiveness in Regional Development
    by Elena Mădălina Oprițescu

  • 2012 The Decentralization Process in Romania Has Been Affected by the Financial Crisis or Not; Arguments in Favor or Against Decentralization in the Management of the Financial Crisis
    by Olivia Manole & Consuela Necșulescu

  • 2012 Evolution of The Romanian Capital Market in The Last Four Years
    by Sorin Claudiu Radu

  • 2012 Romanian Insurance Market-Road to Recovery after Financial Crisis
    by Gheorghe Matei & Ana Preda

  • 2012 Regional Development vs. Innovation – The Main Engine of Economic Growth
    by Elena Mădălina Oprițescu

  • 2012 Profitability of the CEE Banking Systems During the Crisis Period
    by Magdalena Radulescu & Marinela Tanascovici

  • 2012 Peculiarities Of Economics Recovery After Worldwide Economic Crisis In 2008–2009
    by Aldona Juozapaviciene & Agne Montvidaite

  • 2012 Extreme Learning Machine to Analyze the Level of Default in Spanish Deposit Institutions || Análisis de la morosidad de las entidades financieras españolas mediante Extreme Learning Machine
    by Montero-Romero, Teresa & López-Martín, María del Carmen & Becerra-Alonso, David & Martínez-Estudillo, Francisco José

  • 2012 Corporate Governance for the Southeast Europe Banks
    by Spãtariu Elena Cerasela & Epure Dãnuþ Tiberius & Carataº Maria Alina

  • 2012 Financial Innovation: Adverse or Positive Effects?
    by Barna Flavia & Nachescu Miruna Lucia

  • 2012 Challenges at the European Level of the Recent Financial Crisis: Towards a Banking Union
    by ªargu Alina Camelia & Roman Angela

  • 2012 Challenges Met by Romania in Overcoming the Economic Crisis
    by Suciu Titus

  • 2012 Financial Innovations and the Actual Crisis
    by Suciu Titus

  • 2012 Financial Stability in the Aftermath of the World Crisis – Looking for a New Framework
    by Halep Maria

  • 2012 What Lessons did Arab Countries Learn From the Recent Financial Crisis?
    by Benchea Laura-Ramona

  • 2012 The Evolution of Seigniorage during the Crisis
    by Clipici Emilia

  • 2012 Sovereign Debt Crisis in the Eurozone– Towards an Inevitable Reforming of the Euro Institutions
    by Maria Halep

  • 2012 Companies’ Bank Lending in European Union: Principles, Forms and a Brief Analysis of Competition
    by Voroneanu Constantin-Bogdan & Scântee Roxana

  • 2012 Bank Stress Tests Methodology Used in the Euro Area
    by Costicã Vlad

  • 2012 Banking Regulatory Standards Basel III
    by Costicã Vlad & Maria-Alexandra Spau

  • 2012 Monetary Policy and Financial Stability: Recent Approaches and New Guidelines
    by Roman Angela & ?argu Alina Camelia

  • 2012 The Systemic Risks – A Main Cause of the Financial Crisis
    by Dorin Hoarcã

  • 2012 Historical Highlights of the Capital Flows Evolution in the Romanian Economy
    by Cristina Duhnea

  • 2012 The Romanian Banking System in the Context of the Actual Financial Crisis
    by David Delia

  • 2012 The Role of Stock Exchange in Romanian Market Capital Development
    by Oana Caliþoiu

  • 2012 The Comparative Analysis Of Romanian And Hungarian Stock Market Indices And Exchange Rates
    by Kulcsár Edina & Tarnóczi Tibor

  • 2012 Pension Funds And The Financial Crisis In The Cee Countries
    by Milos Marius Cristian & Milos Laura Raisa

  • 2012 Monetary Stability And Unemplyment In An Emerging Economy. The Case Of Romania
    by Boldea Bogdan Ion & Burz Razvan

  • 2012 Investments In The Real Estate Sector. A Case Study On Central Eastern Europe
    by Arjoca Diana & Belu Mihaela Gabriela

  • 2012 The Comparative Analysis Of Romanian And Hungarian Stock Market Indices And Exchange Rates
    by Kulcsar Edina & Tarnoczi Tibor

  • 2012 Financial System Structure And Stability During Transition
    by Firtescu Bogdan

  • 2012 The Impact Of The Financial Crisis On The European Banks
    by DAVID DELIA

  • 2012 The Romanian Banking System -Past, Actuality, Perspectives
    by DAVID DELIA

  • 2012 ROMANIAN MOBILE TELECOMMUNICATIONS CLIENTSâ€(tm) CONSUMPTION BEHAVIOUR WITHIN THE CURRENT ECONOMIC-FINANCIAL CRISIS
    by Marcu Nicu & Meghisan Georgeta-Madalina

  • 2012 Contagiousness and Vulnerability in the Austrian Interbank Market
    by Claus Puhr & Reinhardt Seliger & Michael Sigmund

  • 2012 The Impact of Memories of High Inflation on Households’ Trust in Currencies
    by Elisabeth Beckmann & Thomas Scheiber

  • 2012 Not So Trustworthy Anymore? The Euro as a Safe Haven Asset in Central, Eastern and Southeastern Europe
    by Elisabeth Beckmann & Thomas Scheiber

  • 2012 Corporate Financial Distress and Bankruptcy: A Survey
    by Senbet, Lemma W. & Wang, Tracy Yue

  • 2012 Index of Exchange Market Pressure (EMP): Specifics of Emerging Markets
    by Fedorova, Ye. & Lukasevich, I.

  • 2012 Is State Ownership in the Indian Banking Sector Desirable?
    by Acharya, Viral

  • 2012 Endogenous financial risk : The seventh international conference of the NBB
    by H. Dewachter & G. de Walque & M. Emiris & P. Ilbas & J. Mitchell & R. Wouters

  • 2012 Endogenous financial risk : The seventh international conference of the NBB
    by H. Dewachter & G. de Walque & M. Emiris & P. Ilbas & J. Mitchell & R. Wouters

  • 2012 Early Warning Indicator Model of Financial Developments Using an Ordered Logit
    by Hans-Eggert Reimers

  • 2012 Identifying imbalances in the Hungarian banking system (‘early warning’ system)
    by Dániel Holló

  • 2012 Unconventional central bank instruments in Hungary
    by Gergely Fábián & Róbert Mátrai

  • 2012 Bank Taxes in Europe
    by Márk Fenyő

  • 2012 Fractal Measures in Market Microstructure Research
    by Rossitsa Yalamova

  • 2012 The Sovereign Debt Crisis in Europe, Save Banks Not States
    by Hans-Bernd Schäfer

  • 2012 Risk measurement under extreme events. An in-context methodological review
    by Jorge Uribe & Inés Ulloa

  • 2012 Volatility of the Capital Flows and Structural Breaks in Latin America and the Caribbean
    by Fernando Andrés Delblanco & Andrés Fioriti

  • 2012 Virtuális árhatás a Budapesti Értéktőzsdén
    by Lublóy, Ágnes & Gyarmati, Ákos & Váradi, Kata

  • 2012 Challenges Of The Economic And Monetary Union In The Context Of The Economic Crisis
    by Ioana Laura Valeanu

  • 2012 Euro Adoption – The Illusion Of The Monetary Integration Of Romania
    by Cristina Duhnea & Silvia Ghita-Mitrescu & Diane Paula Corina Vancea

  • 2012 The Impact Of The Economic Crisis On The Dynamic Of International Fdi
    by Lenuta Carp

  • 2012 The Effect of Global Financial Crisis on Budget Deficits in European Countries: Panel Data Analysis
    by Serdar Kurt & Canan Gunes & Verda Davasligil

  • 2012 Assessing the Effects of Foreign Financial Shocks on the Chilean Economy
    by Francisco Cabezon

  • 2012 Diagnosing the Financial System: Financial Conditions and Financial Stress
    by Scott Brave & R. Andrew Butters

  • 2012 Estimated Impact of the Federal Reserve’s Mortgage-Backed Securities Purchase Program
    by Johannes Stroebel & John B. Taylor

  • 2012 The Determinants of TFP Growth in Middle Income Economies in ASEAN: Implication of Financial Crises
    by Sarath Delpachitra & Pham Van Dai

  • 2012 Global Financial and Economic Crisis and the EU Economic Governance Failure – Evidence From Spain
    by Iulia Monica Oehler-Sincai

  • 2012 Global Economic And Financial Crisis And The Failure Of The Community Governance, Through Spanish Experience
    by Iulia Monica Oehler-Sincai

  • 2012 Globalisation And The Unpredictability Of Crisis Episodes: An Empirical Analysis Of Country Risk Indexes / La Imprevisibilidad De Los Episodios De Crisis: Un Análisis Sobre Los Índices De Riesgo País En La Era De La Globalización
    by San-Martín-Albizuri, Nerea & Rodríguez-Castellanos, Arturo

  • 2012 Entrevista a Carlos Cavalcanti (FIESP)
    by Cavalcanti, Carlos

  • 2012 Interview : Carlos Cavalcanti (FIESP)
    by Cavalcanti, Carlos

  • 2012 Do You Know Where Your Derivatives Are?
    by Ann Galligan Kelley

  • 2012 A Model For The Intervention Of A Financial Crisis
    by Janice M. Barrow

  • 2012 Bubble thy neighbor: portfolio effects and externalities from capital controls
    by Forbes, Kristin J. & Fratzscher, Marcel & Kostka, Thomas & Straub, Roland

  • 2012 The EU and Kyoto Protocol: Achievements and Future Challenges
    by Fabio Eboli & Marinella Davide

  • 2012 Cointegration and Extreme Value Analyses of Bovespa and the Istanbul Stock Exchange
    by Ceylan Onay & Gözde Ünal

  • 2012 The Problem of Financial Resource in Turkish Local Administration from a Historical Point of View
    by Huseyin Gundogdu

  • 2012 Finansal Şişkinliğin Arka Planı
    by Şiir YILMAZ

  • 2012 Can austerity work?
    by Alfredo Calcagno

  • 2012 How and Why a U.S. Sovereign Debt Crisis Could Occur
    by Peter J. Wallison

  • 2012 Courting an Avoidable Financial Crisis
    by Joseph J. Minarik

  • 2012 How a Default Might Play Out
    by Arnold Kling

  • 2012 The Bond Market Wins
    by Garett Jones

  • 2012 Some Possible Consequences of a U.S. Government Default
    by Jeffrey Rogers Hummel

  • 2012 Introduction to Symposium on U.S. Sovereign Debt Crisis: Tipping-Point Scenarios and Crash Dynamics
    by Tyler Cowen

  • 2012 Lay actions in the face of crisis—Swedish citizens’ actions in response to the global financial crisis of 2008
    by Söderberg, Inga-Lill & Wester, Misse

  • 2012 Confidence in the economy in times of crisis: Social representations of experts and laypeople
    by Gangl, Katharina & Kastlunger, Barbara & Kirchler, Erich & Voracek, Martin

  • 2012 Do corporate boards matter during the current financial crisis?
    by Francis, Bill B. & Hasan, Iftekhar & Wu, Qiang

  • 2012 The comovement between exchange rates and stock prices in the Asian emerging markets
    by Lin, Chien-Hsiu

  • 2012 Does inequality lead to a financial crisis?
    by Bordo, Michael D. & Meissner, Christopher M.

  • 2012 How resilient and countercyclical were emerging economies during the global financial crisis?
    by Didier, Tatiana & Hevia, Constantino & Schmukler, Sergio L.

  • 2012 “Black Swans” before the “Black Swan” evidence from international LIBOR–OIS spreads
    by Olson, Eric & Miller, Scott & Wohar, Mark E.

  • 2012 Credit conditions and recoveries from financial crises
    by Kannan, Prakash

  • 2012 Stock returns’ sensitivities to crisis shocks: Evidence from developed and emerging markets
    by Calomiris, Charles W. & Love, Inessa & Martínez Pería, María Soledad

  • 2012 Transmission of the financial and sovereign debt crises to the EMU: Stock prices, CDS spreads and exchange rates
    by Grammatikos, Theoharry & Vermeulen, Robert

  • 2012 Financial friction in an emerging economy
    by Hwang, Yu-Ning

  • 2012 The global financial crisis: Explaining cross-country differences in the output impact
    by Berkmen, S. Pelin & Gelos, Gaston & Rennhack, Robert & Walsh, James P.

  • 2012 How the UK economy weathered the financial storm
    by Sentance, Andrew & Taylor, Mark P. & Wieladek, Tomasz

  • 2012 The prevalence and impact of misstated incomes on mortgage loan applications
    by Blackburn, McKinley L. & Vermilyea, Todd

  • 2012 Do option markets undo restrictions on short sales? Evidence from the 2008 short-sale ban
    by Grundy, Bruce D. & Lim, Bryan & Verwijmeren, Patrick

  • 2012 The politics of government investment
    by Duchin, Ran & Sosyura, Denis

  • 2012 Adverse selection in mortgage securitization
    by Agarwal, Sumit & Chang, Yan & Yavas, Abdullah

  • 2012 Market fragility and international market crashes
    by Berger, Dave & Pukthuanthong, Kuntara

  • 2012 U.S. stock market crash risk, 1926–2010
    by Bates, David S.

  • 2012 Illiquidity or credit deterioration: A study of liquidity in the US corporate bond market during financial crises
    by Friewald, Nils & Jankowitsch, Rainer & Subrahmanyam, Marti G.

  • 2012 The credit crisis around the globe: Why did some banks perform better?
    by Beltratti, Andrea & Stulz, René M.

  • 2012 Asset commonality, debt maturity and systemic risk
    by Allen, Franklin & Babus, Ana & Carletti, Elena

  • 2012 Arbitrage crashes and the speed of capital
    by Mitchell, Mark & Pulvino, Todd

  • 2012 Neglected risks, financial innovation, and financial fragility
    by Gennaioli, Nicola & Shleifer, Andrei & Vishny, Robert

  • 2012 Securitized banking and the run on repo
    by Gorton, Gary & Metrick, Andrew

  • 2012 Corporate bond liquidity before and after the onset of the subprime crisis
    by Dick-Nielsen, Jens & Feldhütter, Peter & Lando, David

  • 2012 Investment-cash flow sensitivity cannot be a good measure of financial constraints: Evidence from the time series
    by Chen, Huafeng (Jason) & Chen, Shaojun (Jenny)

  • 2012 Why does bad news increase volatility and decrease leverage?
    by Fostel, Ana & Geanakoplos, John

  • 2012 Market linkage and information spillover: Evidence from pre-crisis, crisis, and recovery periods
    by Ding, Liang & Pu, Xiaoling

  • 2012 Anchoring bias in the TARP warrant negotiations
    by Wilson, Linus

  • 2012 Eurozone sovereign contagion: Evidence from the CDS market (2005–2010)
    by Kalbaska, A. & Gątkowski, M.

  • 2012 ‘Too interconnected to fail’ financial network of US CDS market: Topological fragility and systemic risk
    by Markose, Sheri & Giansante, Simone & Shaghaghi, Ali Rais

  • 2012 Clearing networks
    by Galbiati, Marco & Soramäki, Kimmo

  • 2012 Structural contagion and vulnerability to unexpected liquidity shortfalls
    by Giansante, Simone & Chiarella, Carl & Sordi, Serena & Vercelli, Alessandro

  • 2012 Heterogeneous expectations and strong uncertainty in a Minskyian model of financial fluctuations
    by Sordi, Serena & Vercelli, Alessandro

  • 2012 Estimating behavioural heterogeneity under regime switching
    by Chiarella, Carl & He, Xue-Zhong & Huang, Weihong & Zheng, Huanhuan

  • 2012 External finance and firm survival in the aftermath of the crisis: Evidence from Eastern Europe and Central Asia
    by Clarke, George R.G. & Cull, Robert & Kisunko, Gregory

  • 2012 Funding liquidity and equity liquidity in the subprime crisis period: Evidence from the ETF market
    by Chiu, Junmao & Chung, Huimin & Ho, Keng-Yu & Wang, George H.K.

  • 2012 Banking crises and market discipline: International evidence
    by Cubillas, Elena & Fonseca, Ana Rosa & González, Francisco

  • 2012 A comparative study of the probability of default for global financial firms
    by Câmara, António & Popova, Ivilina & Simkins, Betty

  • 2012 Financial crises in efficient markets: How fundamentalists fuel volatility
    by Szafarz, Ariane

  • 2012 Credit spread interdependencies of European states and banks during the financial crisis
    by Alter, Adrian & Schüler, Yves S.

  • 2012 Market concentration and the likelihood of financial crises
    by Bretschger, Lucas & Kappel, Vivien & Werner, Therese

  • 2012 Credit risk transfer in U.S. commercial banks: What changed during the 2007–2009 crisis?
    by Bedendo, Mascia & Bruno, Brunella

  • 2012 A public good approach to credit ratings – From concept to reality
    by Duan, Jin-Chuan & Van Laere, Elisabeth

  • 2012 Risk management, corporate governance, and bank performance in the financial crisis
    by Aebi, Vincent & Sabato, Gabriele & Schmid, Markus

  • 2012 Short-term wholesale funding and systemic risk: A global CoVaR approach
    by López-Espinosa, Germán & Moreno, Antonio & Rubia, Antonio & Valderrama, Laura

  • 2012 Why are convertible bond announcements associated with increasingly negative issuer stock returns? An arbitrage-based explanation
    by Duca, Eric & Dutordoir, Marie & Veld, Chris & Verwijmeren, Patrick

  • 2012 Financial contagion and the real economy
    by Baur, Dirk G.

  • 2012 The EMU sovereign-debt crisis: Fundamentals, expectations and contagion
    by Arghyrou, Michael G. & Kontonikas, Alexandros

  • 2012 Commodity volatility breaks
    by Vivian, Andrew & Wohar, Mark E.

  • 2012 Optimal investment and consumption when regime transitions cause price shocks
    by Lim, Andrew E.B. & Watewai, Thaisiri

  • 2012 Market response to policy initiatives during the global financial crisis
    by Aït-Sahalia, Yacine & Andritzky, Jochen & Jobst, Andreas & Nowak, Sylwia & Tamirisa, Natalia

  • 2012 Firms and the global crisis: French exports in the turmoil
    by Bricongne, Jean-Charles & Fontagné, Lionel & Gaulier, Guillaume & Taglioni, Daria & Vicard, Vincent

  • 2012 Off the cliff and back? Credit conditions and international trade during the global financial crisis
    by Chor, Davin & Manova, Kalina

  • 2012 Default cascades: When does risk diversification increase stability?
    by Battiston, Stefano & Gatti, Domenico Delli & Gallegati, Mauro & Greenwald, Bruce & Stiglitz, Joseph E.

  • 2012 Escaping TARP
    by Wilson, Linus & Wu, Yan Wendy

  • 2012 Butterfly effect: The US real estate market downturn and the Asian recession
    by Xue, Yi & He, Yin & Shao, Xinjian

  • 2012 Loan loss provisioning and income smoothing in US banks pre and post the financial crisis
    by El Sood, Heba Abou

  • 2012 An empirical analysis of the impact of the credit default swap index market on large complex financial institutions
    by Calice, Giovanni & Ioannidis, Christos

  • 2012 Equities, credits and volatilities: A multivariate analysis of the European market during the subprime crisis
    by Schreiber, Irene & Müller, Gernot & Klüppelberg, Claudia & Wagner, Niklas

  • 2012 Corporate governance and firm value during the global financial crisis: Evidence from China
    by Liu, Chunyan & Uchida, Konari & Yang, Yufeng

  • 2012 The role of the media in a bubble
    by Campbell, Gareth & Turner, John D. & Walker, Clive B.

  • 2012 A new country risk index for emerging markets: A stochastic dominance approach
    by Agliardi, Elettra & Agliardi, Rossella & Pinar, Mehmet & Stengos, Thanasis & Topaloglou, Nikolas

  • 2012 Early warning systems for currency crises: The Turkish case
    by Ari, Ali

  • 2012 Sovereign risk contagion in the Eurozone
    by Metiu, Norbert

  • 2012 On the severity of economic downturns: Lessons from cross-country evidence
    by Agnello, Luca & Nerlich, Carolin

  • 2012 A comparative analysis of the informational efficiency of the fixed income market in seven European countries
    by Bariviera, A.F. & Guercio, M. Belén & Martinez, Lisana B.

  • 2012 The impact of financial stress on sectoral productivity
    by Efthyvoulou, Georgios

  • 2012 External deficits and non-performing loans in the recent financial crisis
    by Kauko, Karlo

  • 2012 The dynamics of a complex system: The exchange rate crisis in Southeast Asia
    by Siokis, Fotios M.

  • 2012 Development threshold, capital flows, and financial turbulence
    by Ding, Ding & Jinjarak, Yothin

  • 2012 The more contagion effect on emerging markets: The evidence of DCC-GARCH model
    by Celık, Sibel

  • 2012 Markets liquidity risk under extremal dependence: Analysis with VaRs methods
    by Ourir, Awatef & Snoussi, Wafa

  • 2012 A methodology for constructing a financial systemic stress index: An application to Greece
    by Louzis, Dimitrios P. & Vouldis, Angelos T.

  • 2012 Study of Discrete Choice Models and Adaptive Neuro-Fuzzy Inference System in the Prediction of Economic Crisis Periods in USA
    by Eleftherios Giovanis

  • 2012 Improving the value at risk forecasts: Theory and evidence from the financial crisis
    by Halbleib, Roxana & Pohlmeier, Winfried

  • 2012 Liaisons dangereuses: Increasing connectivity, risk sharing, and systemic risk
    by Battiston, Stefano & Delli Gatti, Domenico & Gallegati, Mauro & Greenwald, Bruce & Stiglitz, Joseph E.

  • 2012 Rollover risk, network structure and systemic financial crises
    by Anand, Kartik & Gai, Prasanna & Marsili, Matteo

  • 2012 The stock market crash of 2008 caused the Great Recession: Theory and evidence
    by Farmer, Roger E.A.

  • 2012 A coupled Markov chain approach to credit risk modeling
    by Wozabal, David & Hochreiter, Ronald

  • 2012 The impact of financial crises and tolerance for uncertainty
    by Inklaar, Robert & Yang, Jing

  • 2012 Do US macroeconomic conditions affect Asian stock markets?
    by Narayan, Seema & Narayan, Paresh Kumar

  • 2012 Dynamic linkages of stock prices between the BRICs and the United States: Effects of the 2008–09 financial crisis
    by Xu, Haifeng & Hamori, Shigeyuki

  • 2012 Comparative Performance of Volatility Models for Oil Price
    by Afees A. Salisu & Ismail O. Fasanya

  • 2012 Central Banks’ Response to the Current Financial Crisis – Between Costs and Benefits
    by Teodora Cristina Barbu & Iustina Boitan

  • 2012 Usefulness of Artificial Neural Networks for Predicting Financial and Economic Crisis
    by Mioara CHIRITA

  • 2012 Anti-crisis Politics Assumed by Some Governs from Euro Area
    by Mioara CHIRITA & Simona TOMA & Daniela SARPE

  • 2012 The banker’s profession and risk: the alteration of the finance functions of the banking system
    by Sandrine Ansart & Virginie Monvoisin

  • 2012 En equilibrio no hay crisis: crítica a los supuestos neoclásicos
    by Jorge Enrique Garcés Cano

  • 2012 La medición del riesgo en eventos extremos. Una revisión metodológica en contexto
    by Uribe Gil, Jorge Mario & Ulloa Villegas, Inés Maria

  • 2012 La nueva historia económica, la teoría de la regulación y el análisis histórico social: Notas para un debate
    by Danilo Torres Reina

  • 2012 Lecciones de las crisis financieras recientes para el diseño e implementación de las políticas monetarias
    by Juan Pablo Zárate Perdomo & Adolfo León Cobo Serna & José Eduardo Gómez-González

  • 2012 Mehr Kompetenzen für den EU-Währungskommissar – mehr Stabilität für die Währungsunion?
    by Thomas Straubhaar

  • 2012 Leitzinssenkung auf historischem Allzeittief: Welche Folgen hat die Niedrigzinspolitik der EZB?
    by Michael Schubert & Sebastian Watzka & Jörg Hinze & Leon Leschus & Gunther Schnabl

  • 2012 Das Euro-Desaster: Wie die Krise weitergehen wird – mögliche und wahrscheinliche Szenarien
    by Matthias Elbers

  • 2012 Das Konzept nationaler Parallelwährungen für die Eurozone
    by Dirk Meyer

  • 2012 Balance of Payments Adjustment in the Monetary Union: Current Events Help Shed New Light on an Old Question
    by Klaus Reeh

  • 2012 Ways Out of the European Sovereign Debt Crisis after the Decisions of the July 2011 Summit
    by Franz-Christoph Zeitler

  • 2012 Target2 and Cross-border Interbank Payments during the Financial Crisis
    by Ulrich Bindseil & Philippine Cour-Thimann & Philipp König

  • 2012 A Way to Solve the Euro pean Balance of Payments Crisis? Take a Chance on Market Solutions!
    by Christian Fahrholz & Andreas Freytag

  • 2012 Balances in the Target2 Payments System – A Problem?
    by Jens Ulbrich & Alexander Lipponer

  • 2012 Money, Capital Markets and Welfare: An Analysis of the Effects of Target2 Balances
    by Friedrich L. Sell & Beate Sauer

  • 2012 Notes on the Target2 Dispute
    by Stefan Homburg

  • 2012 The Derailed Policies of the ECB
    by Georg Milbradt

  • 2012 Macroeconomic Imbalances in EMU and the Eurosystem
    by Thomas Mayer & Jochen Möbert & Christian Weistroffer

  • 2012 The Current Account Deficits of the GIPS Countries and Their Target Debts at the ECB
    by Peter Bernholz

  • 2012 The Refinancing of Banks Drives Target Debt
    by Manfred J.M. Neumann

  • 2012 The Euro in 2084
    by Charles B. Blankart

  • 2012 The Eurosystem in Times of Crises: Greece in the Role of a Reserve Currency Country?
    by Wilhelm Kohler

  • 2012 The Balance of Payments Tells Us the Truth
    by Helmut Schlesinger

  • 2012 Editor’s Comments
    by Hans-Werner Sinn

  • 2012 Greece: The Sudden Stop That Wasn’t
    by Aaron Tornell & Frank Westermann

  • 2012 The European Balance of Payments Crisis: An Introduction
    by Hans-Werner Sinn

  • 2012 Seeking Financial Stability: The Best Role for the Bank of Canada
    by John Crow

  • 2012 Seeking Financial Stability: The Best Role for the Bank of Canada
    by John Crow

  • 2012 La stabilité du secteur bancaire : gérer la négociabilité et la complexité
    by Arnoud W. A. Boot & Matej Marinč

  • 2012 Banque commerciale et banque d'investissement : où crée-t-on de la valeur ?
    by Jean-Baptiste Bellon & Georges Pauget

  • 2012 Allocation de crédit et création de valeur par les banques : l'impact de la banque relationnelle en temps normal et en temps de crise
    by Hans Degryse & Steven Ongena

  • 2012 Trois ans après : la tâche inachevée de la réforme financière
    by Paul A. Volcker

  • 2012 Agences de notation et conflits d'intérêts
    by Aline Darbellay & Frank Partnoy

  • 2012 Le Bureau de protection des consommateurs de produits financiers
    by Amy Friend & Joshua Kaplan

  • 2012 La nouvelle régulation des swaps : une opportunité manquée
    by Annette L. Nazareth & Gabriel D. Rosenberg

  • 2012 L'évolution du rôle de la Federal Reserve
    by Paul Wachtel

  • 2012 Dodd-Frank, sauvetage des institutions financières et crise financière : le problème du too interconnected to fail
    by James P. Hawley

  • 2012 Les marchés de produits dérivés et la loi américaine sur les faillites
    by Mark J. Roe

  • 2012 Le private equity américain après la crise : reconfiguration et maturité
    by Xavier Mahieux

  • 2012 S hadow Banking
    by Tobias Adrian & Adam Ashcraft & Hayley Boesky & Zoltan Pozsar

  • 2012 Les banques américaines après la crise financière : adaptations sous contraintes
    by Céline Choulet & Laurent Quignon

  • 2012 Architecture financière, risque systémique et banque universelle aux États-Unis
    by Anthony Saunders & Ingo Walter

  • 2012 Déréglementation bancaire des années 1980 et crise financière
    by Esther Jeffers & Jean Paul Pollin

  • 2012 L'or est-il une valeur refuge pendant les récessions et les crises boursières ?
    by Virginie Coudert & Hélène Raymond

  • 2012 Banques étrangères et stabilité du financement bancaire extérieur dans les peco
    by Sophie Brana & Delphine Lahet

  • 2012 Market Correlation, Market Returns And Portfolio Implication
    by ALEXANDRU Ciprian Antoniade & CONSTANTINESCU Dan

  • 2012 Causes And Consequences Of The 2008-2009 International Financial Crisis
    by ANDREESCU Eugen & MOAGAR-POLADIAN Simona

  • 2012 Innovative Methods On Managing Of Resources In Banks, Caused By The Influences Of The Current Crisis On The Working Process Of These Institutions
    by SAMONIKOV Marija Gogova & FOTOV Risto & NIKOLOVA Elena

  • 2012 Do debt service costs affect macroeconomic and financial stability?
    by Mathias Drehmann & Mikael Juselius

  • 2012 Indicateurs de vulnérabilité macroéconomiques et financiers dans les économies avancées. Synthèse d’une conférence organisée à Strasbourg les 13 et 14 septembre 2012
    by BOUTHEVILLAIN, C. & BORGY, V. & DUFRENOT, G.

  • 2012 Lecciones de las crisis financieras recientes para el diseño e implementación de las políticas monetarias
    by Juan Pablo Zárate Perdomo & Adolfo León Cobo & José Eduardo Gómez-González

  • 2012 Financial Crises Contagion: Analysis of the Crise Contagion on the Conditional Volatility of ISE
    by Engin CETINKAYA & Erdinc ALTAY

  • 2012 The Analysis Of The Relation Between Investor Risk Appetite And Stock Market Crises In Istanbul Stock Exchange
    by Erdinç ALTAY & Burcay YASAR AKCALI

  • 2012 Microfinance and the Challenge of Financial Inclusion for Development
    by Jayati Ghosh

  • 2012 A Proposal for a Growth and Fiscal Compact
    by Mario Tonveronachi

  • 2012 Shifting Europe from Austerity to Growth: A Proposed Investment Programme for 2012-2015
    by Stephany Griffith-Jones & Matthias Kollatz-Ahnen & Lars Andersen & Signe Hansen

  • 2012 Practical aspects in measuring and monitoring the liquidity risk pursuant to the Basel III international framework
    by Georgi Petrov Georgiev

  • 2012 Comparison of Binary Logit Model and Multinomial Logit Model in Predicting Corporate Failure
    by Bi-Huei Tsai

  • 2012 Banking Union, crisis resolution and deposit protection schemes
    by Enrico Bernardi

  • 2012 Human resources trends in Italian banks
    by Fabrizio Cirrincione & Amedeo Frattini

  • 2012 The Shadow Banking system: a potential new financing channel to be regulated
    by Giuseppe Zadra

  • 2012 Households’ financial vulnerability in the new scenario
    by Emanuele Bacchiocchi & Luisa Anderloni & Daniela Vandone

  • 2012 The economical and financial crisis and the crisis of economic theory
    by Gianluigi Mengarelli

  • 2012 The banking products consumer protection after the crisis. The case of the Us Consumer Financial Protection Bure
    by Eugenia Palazzetti

  • 2012 Asset-backed securitisation and financial stability: the downgrading delay effect
    by Mario La Torre & Fabiomassimo Mango

  • 2012 Savings and investments in Italy: recent trends
    by Paolo Savona

  • 2012 The role of deeply-rooted commercial banks in the Italian economy
    by Giampio Bracchi & Donato Masciandaro

  • 2012 Ecb new policy and instruments in the years of the crisis
    by Alberto Banfi & Fiorenzo Di Pasquali

  • 2012 A war path for Italy
    by Mario Monti

  • 2012 Italy and the banking industry, in search of stability and growth
    by Giuseppe Mussari

  • 2012 Bank’s equity and efficiency
    by Ignazio Visco

  • 2012 Eurobond, yes we can!
    by Francesco Marchionne

  • 2012 New regulation and responsibilities in the banking and financial markets
    by Vittorio Conti

  • 2012 A new challenge in corporate lending
    by Cesare Bisoni & Andrea Ferrari

  • 2012 The mutual guarantee institutions: the Italian experience in the recent scenario
    by Paola De Vincentiis

  • 2012 Bank performance and profitability after the crisis: the need for new multidimensional measures
    by Marco Di Antonio

  • 2012 Risk management and its stakeholders
    by Giampaolo Gabbi

  • 2012 The challenge of relationship capital: governance and corporate relations within the banking system
    by Stefano Caselli

  • 2012 European banks restructuring: a focus on Spain and Great Britain
    by Giancarlo Durante & Luigi Prosperetti

  • 2012 Basel 3 and Eba recommendations: impacts on growth and SMEs
    by Giuseppe Mussari

  • 2012 The moving balance between banking industry and State in Italian history
    by Leandro Conte

  • 2012 From poverty to soundness: the long path of Italian banks
    by Marco Onado

  • 2012 Which banks after the crisis? From an unique business model towards a new banking plurality
    by Marco Di Antonio

  • 2012 Basel standards, solution or cause of financial instability?
    by Rainer Masera

  • 2012 Shadow Banking Regulation
    by Tobias Adrian & Adam B. Ashcraft

  • 2012 Corporate Governance of Financial Institutions
    by Hamid Mehran & Lindsay Mollineaux

  • 2012 Efficient Markets and the Law: A Predictable Past and an Uncertain Future
    by Henry T.C. Hu

  • 2012 Federal Reserve Liquidity Provision during the Financial Crisis of 2007–2009
    by Michael J. Fleming

  • 2012 Implications of the Dodd-Frank Act
    by Viral V. Acharya & Matthew Richardson

  • 2012 Importance of Audit and Role of Supreme Audit Institutions in the Fight Against Global Crisis
    by H. Omer Kose

  • 2012 Changes In The Corporate Governance And Ownership Structure In Stock Markets: Demutualization Of Istanbul Stock Exchange
    by Serra Eren Sarioglu

  • 2012 The Bank Loans Importance, Information Asymmetry And The Impact Of Financial And Economic Crisis On Corporate Financing
    by Mircea Tiberiu Ducai

  • 2012 The New Perspectives On The Tobin Tax. Could It Provide Any Support For The Euro-Area?85
    by Anca Tanasie & Nicu Marcu

  • 2012 Road To Euro. Comparative Analysis Romania-Bulgaria
    by Roxana Maria Badircea & Alina Georgiana Manta

  • 2012 The Financial Crisis And The Early Warning System Models
    by Cristian Stanciu

  • 2012 Profitability And Risk Analysis In The Metallurgical Industry Leading Companies In Romania
    by Lucian Buse & Silviu-Valentin Carstina

  • 2012 The Evolution Of Profitability Of Romanian Enterprises From Key Areas Of Activity During The World-Wide Financial Crisis
    by Iulia Oana Stefan

  • 2012 The Impact Of The Financial Crisis On The Financial Position Of Companies Listed On Bucharest Stock Exchange
    by Marian Siminica & Iulia Oana Stefan

  • 2012 Considerations Regarding Eu Life Insurance Market
    by Ana Preda

  • 2012 Implications Damping System Used In Romania On Self-Financing Capacity
    by Silviu-Valentin Carstina & Cristina Beletu

  • 2012 Can The Romanian Pension System Become A Performant One?
    by Daniel Militaru

  • 2012 An Lppl Algorithm For Estimating The Critical Time Of A Stock Market Bubble
    by Daniel T. Pele

  • 2012 Best Practices in Incentive Compensation from the Perspective of Value-based Management
    by Eduard Mădălin Dinu & Costin Ciora

  • 2012 Effect of Securitization on the Bank’s Equity Risk in the U.S
    by Pituwan Poramapojn

  • 2012 The Rise of Middle Kingdoms: Emerging Economies in Global Trade
    by Gordon H. Hanson

  • 2012 Global Financial Stability and the Lessons of History: A Review of Carmen M. Reinhart and Kenneth S. Rogoff's This Time Is Different: Eight Centuries of Financial Folly
    by Alan M. Taylor

  • 2012 Reading about the Financial Crisis: A Twenty-One-Book Review
    by Andrew W. Lo

  • 2012 Getting Up to Speed on the Financial Crisis: A One-Weekend-Reader's Guide
    by Gary Gorton & Andrew Metrick

  • 2012 Surviving the Global Financial Crisis: Foreign Ownership and Establishment Performance
    by Laura Alfaro & Maggie Xiaoyang Chen

  • 2012 Speculative Bubbles and Financial Crises
    by Pengfei Wang & Yi Wen

  • 2012 Imperfect Competition in the Interbank Market for Liquidity as a Rationale for Central Banking
    by Viral V. Acharya & Denis Gromb & Tanju Yorulmazer

  • 2012 Stories of the Twentieth Century for the Twenty-First
    by Pierre-Olivier Gourinchas & Maurice Obstfeld

  • 2012 Tranching, CDS, and Asset Prices: How Financial Innovation Can Cause Bubbles and Crashes
    by Ana Fostel & John Geanakoplos

  • 2012 Contagious Adverse Selection
    by Stephen Morris & Hyun Song Shin

  • 2012 Self-Fulfilling Risk Panics
    by Philippe Bacchetta & Cédric Tille & Eric van Wincoop

  • 2012-13 Macroeconomic and financial vulnerability indicators in advanced economies Summary of the conference of 13-14 September 2012 organised by the Banque de France and the University of Strasbourg
    by C. BOUTHEVILLAIN. & V. BORGY. & G. DUFRENOT.

  • 2012,4th quarter update shadow banking: a review of the literature
    by Tobias Adrian & Adam B. Ashcraft

  • 2012,3rd quarter update Lehman Brothers bankruptcy, what lessons can be drawn?
    by Thomas J. Fitzpatrick IV & James B. Thomson

  • 2012(XXII) Changes In The Pattern Of Romania’S Foreign Trade Under The Global Crisis Impact
    by George GEORGESCU

  • 2011 The Violence of Financial Capitalism
    by Christian Marazzi

  • 2011 Financial Innovation and Transparency in Turbulent Times
    by Delimatsis, Panagiotis

  • 2011 A General Structural Approach For Credit Modeling Under Stochastic Volatility
    by Escobar, Marcos & Friederich, Tim & Seco, Luis & Zagst, Rudi

  • 2011 Systemic Risk Seen from the Perspective of Physics
    by Milkau, Udo

  • 2011 Revisiting the labor hoarding employment demand model: an economic order quantity approach
    by Platt, Harlan & Platt, Marjorie B. Platt

  • 2011 International Supply Chains as Real Transmission Channels of Financial Shocks
    by Escaith, Hubert & Gonguet, Fabien

  • 2011 The Global Financial Crisis and Resilience of the Thai Banking Sector
    by Nidhiprabha, Bhanupong

  • 2011 Poate contribui la stabilitatea financiară o bancă de importanţă sistemică având capital autohton?
    by Dănilă Nicolae

  • 2011 Preţurile de transfer într-o perioadă de recesiune economică – o abordare teoretică şi empirică
    by Birman Andrei, Chitic Olivia

  • 2011 Criza finanţelor publice în Europa
    by Rădulescu Andrei

  • 2011 The State, the Crisis and the Expectations Trap
    by Croitoru Lucian

  • 2011 Reconfigurarea sistemului bancar, ca metodă de rezolvare a tragediei comunelor
    by Mârşu Luciana

  • 2011 O “sociologie” a crizei actuale: de la social-democraţia “subprime”-lor, la conservatorismul tip “too big to fail”
    by Jora Octavian-Dragomir

  • 2011 The Equation of Exchange Revisited
    by Dirk Kaiser

  • 2011 Leverage Behavior of Turkish Banks: How Did They Escape The Global Crisis?
    by Ahmet ÇALIŞKAN

  • 2011 Stock Market Reaction to the Global Financial Crisis: testing for the Lehman Brothers'Event
    by Leonardo Becchetti & Rocco Ciciretti

  • 2011 Are you experienced? Survival and recovery of trade relations after banking crises
    by Beverelli, Cosimo & Kukenova, Madina & Rocha, Nadia

  • 2011 Exit Strategies
    by Winkler, Roland C. & Angeloni, Ignazio & Faia, Ester

  • 2011 How Did the US Housing Slump Begin? The Role of the 2005 Bankruptcy Reform
    by von Lilienfeld-Toal, Ulf & Mookherjee, Dilip

  • 2011 Volatility Patterns of CDS, Bond and Stock Markets Before and During the Financial Crisis – Evidence from Major Financial Institutions
    by Belke, Ansgar & Gokus, Christian

  • 2011 What Might Central Banks Lose or Gain in Case of Euro Adoption – A GARCH-Analysis of Money Market Rates for Sweden, Denmark and the UK
    by Buscher, Herbert S. & Gabrisch, Hubert

  • 2011 Evolvement of uniformity and volatility in the stressed global financial village
    by Kenett, Dror Y. & Raddant, Matthias & Lux, Thomas & Ben-Jacob, Eshel

  • 2011 Exit strategies
    by Angeloni, Ignazio & Faia, Ester & Winkler, Roland C.

  • 2011 Understanding the high profitability of Chinese banks
    by Löchel, Horst & Li, Helena Xiang

  • 2011 Default risk in an interconnected banking system with endogeneous asset markets
    by Bluhm, Marcel & Krahnen, Jan Pieter

  • 2011 Disclosure, transparency, and market discipline
    by Freixas, Xavier & Laux, Christian

  • 2011 Measuring confidence and uncertainty during the financial crisis: Evidence from the CFS survey
    by Entorf, Horst & Knoll, Christian & Sattarova, Liliya

  • 2011 Agent-based financial markets and New Keynesian macroeconomics: A synthesis
    by Lengnick, Matthias & Wohltmann, Hans-Werner

  • 2011 The effect of the interbank network structure on contagion and common shocks
    by Georg, Co-Pierre

  • 2011 Systemic risk contributions: a credit portfolio approach
    by Düllmann, Klaus & Puzanova, Natalia

  • 2011 Home-field advantage or a matter of ambiguity aversion? Local bias among German individual investors
    by Baltzer, Markus & Stolper, Oscar & Walter, Andreas

  • 2011 Crises, rescues, and policy transmission through international banks
    by Buch, Claudia M. & Koch, Cathérine Tahmee & Koetter, Michael

  • 2011 Zentrale Gegenparteien für den außerbörslichen Derivatehandel in der Praxis
    by Neuner, Stefan & Schäfer, Klaus

  • 2011 Ökonomische Analyse europäischer Bankenregulierung: Verbriefung und Interbankenmarkt im Fokus
    by Bobek, Andreas & Bohm, Thomas & Neuner, Stefan & Paintner, Sandra & Schmeußer, Stefanie & Waldvogel, Felix

  • 2011 Utjecaj financijske krize na globalno tržište rada
    by Alka Obadić

  • 2011 International Propagation of Financial Shocks in a Search and Matching Environment
    by Marlène Isoré

  • 2011 John Maynard Keynes: Is That you Knocking on the Door?
    by Tadeusz Kowalski & Yochanan Shachmurove

  • 2011 Recovery: Limp and Battered
    by Vasily Astrov & Vladimir Gligorov & Doris Hanzl-Weiss & Peter Havlik & Mario Holzner & Gabor Hunya & Sebastian Leitner & Zdenek Lukas & Anton Mihailov & Olga Pindyuk & Leon Podkaminer & Josef Pöschl & Sandor Richter & Hermine Vidovic

  • 2011 Recovery - in Low Gear across Tough Terrain
    by Vasily Astrov & Vladimir Gligorov & Peter Havlik & Mario Holzner & Gabor Hunya & Sebastian Leitner & Zdenek Lukas & Anton Mihailov & Olga Pindyuk & Leon Podkaminer & Josef Pöschl & Sandor Richter & Hermine Vidovic

  • 2011 THE DEPENDENCE OF CEECs ON FOREIGN BANK CLAIMS: DIRECT AND INDIRECT RISKS OF CAPITAL WITHDRAWAL
    by Sophie Brana & Delphine Lahet

  • 2011 Estimating Behavioural Heterogeneity Under Regime Switching
    by Carl Chiarella & Xue-Zhong He & Weihong Huang & Huanhuan Zheng

  • 2011 Russia's emerging multinational companies amidst the global economic crisis
    by Filippov, Sergey

  • 2011 Endogenous Credit Cycles
    by Chao Gu & Joseph Haslag

  • 2011 Prepayment Penalties: Efficieny and Predation
    by Morgan J. Rose

  • 2011 Speculation on Commodities Futures Markets and Destabilization Of Global Food Prices: Exploring the Connections
    by Jayati Ghosh & James Heintz & Robert Pollin

  • 2011 Financialization as a Theory of Crisis in a Historical Perspective: Nothing New under the Sun
    by Juan Pablo Mateo Tomé

  • 2011 The Rise and Fall of S&P500 Variance Futures
    by Chia-Lin Chang & Juan-Angel Jimenez-Martin & Michael McAleer & Teodosio Pérez-Amaral

  • 2011 Measuring Co-Movements of CDS Premia during the Greek Debt Crisis
    by Sergio Andenmatten & Felix Brill

  • 2011 BRIC and the U.S. Financial Crisis: An Empirical Investigation of Stocks and Bonds Markets
    by Marcelo Bianconi & Joe A. Yoshino & Mariana O. Machado de Sousa

  • 2011 Corporate Governance, Opaque Bank Activities, and Risk/Return Efficiency : Pre- and Post-Crisis Evidence from Turkey
    by De Jonghe, O.G. & Disli, M. & Schoors, K.

  • 2011 The Credit Crisis and The Moral Responsibility of Professionals in Finance
    by Graafland, J.J. & van de Ven, B.W.

  • 2011 Monetary Policy Rules, Adverse Selection and Long-Run Financial Risk
    by Blommestein, H.J. & Eijffinger, S.C.W. & Qian, Z.

  • 2011 CDOs and the Financial Crisis: Credit Ratings and Fair Premia
    by Marcin Wojtowicz

  • 2011 Collapse. The story of the international financial crisis, its causes and policy consequences
    by Stan du Plessis

  • 2011 Good Securitization, Bad Securitization
    by Guillaume Plantin

  • 2011 Executive Pay Regulation: What Regulators, Shareholders, and Managers Can Learn from Major Sports Leagues
    by Helmut Dietl & Tobias Duschl & Markus Lang

  • 2011 Interoperability between central counterparties
    by Jürg Mägerle & Thomas Nellen

  • 2011 Finance and Employment
    by Marco Pagano & Giovanni Pica

  • 2011 Global Financial Crises and Time-varying Volatility Comovement in World Equity Markets
    by Andrew Stuart Duncan & Alain Kabundi

  • 2011 Volatility Spillovers across South African Asset Classes during Domestic and Foreign
    by Andrew S. Duncan & Alain Kabundi

  • 2011 Volatility Patterns of CDS, Bond and Stock Markets Before and During the Financial Crisis – Evidence from Major Financial Institutions
    by Ansgar Belke & Christian Gokus

  • 2011 The Impact of the Financial Crisis on Insider Trading Profitability in Belgium
    by D. VAN GEYT & P. VAN CAUWENBERGE & H. VANDER BAUWHEDE

  • 2011 The microstructure of the money market before and after the financial crisis: a network perspective
    by Silvia Gabrieli

  • 2011 Global Imbalances, Declining Hegemony and the Need for a New Global Governance
    by Pasquale Tridico

  • 2011 Varieties of capitalism and responses to the Financial Crisis: the European social Model versus the US Model
    by Pasquale Tridico

  • 2011 From Housing Bust to Credit Crunch: Evidence from Small Business Loans
    by Huang, Haifang & Stephens, Eric

  • 2011 Impact of the Global Economic Crisis on Taipei,China’s Industrial Structure and Firm Activity
    by Hou, Jack W.

  • 2011 The Great Liquidity Freeze: What Does It Mean for International Banking?
    by Domanski, Dietrich & Turner, Philip

  • 2011 The Role of Macroprudential Policy for Financial Stability in East Asia’s Emerging Economies
    by Park, Yung Chul

  • 2011 Crisis, Imbalances, and India
    by Kumar, Rajiv & Vashisht, Pankaj

  • 2011 Emerging Contours of Financial Regulation: Challenges and Dynamics
    by Mohan, Rakesh

  • 2011 Market Failures and Regulatory Failures: Lessons from Past and Present Financial Crises
    by Acharya, Viral V. & Cooley, Thomas & Richardson, Matthew & Walter, Ingo

  • 2011 Principles Of The New Mercantilism And The Crisis Of Global Economy
    by Dimitri UZUNIDIS

  • 2011 Which market drives credit spreads in tranquil and crisis periods? An analysis of the contribution to price discovery of bonds, CDS, stocks and options
    by Davide Avino & Emese Lazar & Simone Varotto

  • 2011 Model Risk in Variance Swap Rates
    by Carol Alexander & Stamatis Leontsinis

  • 2011 Warrant Economics, Call-Put Policy Options and the Fallacies of Economic Theory
    by John Hatgioannides & Marika Karanassou

  • 2011 Dynamic Equilibrium Bunching
    by Tao Wang

  • 2011 A Market-based Approach to Sector Risk Determinants and Transmission in the Euro Area
    by Martín Saldías

  • 2011 Economic and Financial Crises in Fifteenth-Century Egypt: Lessons From the History
    by Islahi, Abdul Azim

  • 2011 The Impact of Short Selling on Intraday Volatility: Evidence from the Istanbul Stock Exchange
    by Çankaya, Serkan & Eken, Hasan/M. & Ulusoy, Veysel

  • 2011 Linkages between the stock prices and the exchange rates during the global crisis: the case of Romania
    by Stefanescu, Razvan & Dumitriu, Ramona

  • 2011 Stock market’s reactions to revelation of tax evasion: an empirical assessment
    by Andreas, Brunhart

  • 2011 Foreign investors’ influence towards small stock exchanges boom and bust: Macedonian stock exchange case
    by Lazarevski, Dimche

  • 2011 Volatility and causality study of the daily returns on the Bucharest Stock Exchange during 2007-2011
    by Panait, Iulian & Slavescu, Ecaterina Oana

  • 2011 Fiscal policy and the duration of financial crises
    by CRAIGWELL, ROLAND & Lorde, Troy & Moore, Winston

  • 2011 Assessing the Role of Trade in Transmission of Global Financial Crisis to the Indian Economy
    by Raj, Rajesh & Bordoloi, Sanjib & Bharti, Nalin

  • 2011 The Private Equity Secondaries Market During the Financial Crisis and the “Valuation Gap”
    by Hege, Ulrich & Nuti, Alessandro

  • 2011 Towards a new model for early warning signals for systemic financial fragility and near crises: an application to OECD countries
    by Casu, Barbara & Clare, Andrew & Saleh, Nashwa

  • 2011 Analysis of within – month effects on the Bucharest stock exchange
    by Dumitriu, Ramona & Stefanescu, Razvan & Nistor, Costel

  • 2011 Shocks on the Romanian foreign exchange market before and after the global crisis
    by Dumitriu, Ramona & Stefanescu, Razvan

  • 2011 Mainstream si keynesism: -două doctrine, două metode,aceleaşi idei-
    by Constantinescu, Radu

  • 2011 Mainstream si keynesism: -două doctrine, două metode,aceleaşi idei-
    by Constantinescu, Radu

  • 2011 Contagion between United States and european markets during the recent crises
    by Muñoz, Mª Pilar & Márquez, María Dolores & Sánchez, Josep A.

  • 2011 Reactions of stock market to monetary policy shocks during the global financial crisis: the Nigerian case
    by Aliyu, Shehu Usman Rano

  • 2011 Harmonising Basel III and the Dodd Frank Act
    by Ojo, Marianne

  • 2011 The Euro Area sovereign debt crisis: Some implications of its systemic dimension
    by Pessoa, Argentino

  • 2011 Financial crises, asymmetric information and argumentation
    by Estrada, Fernando

  • 2011 American and European Regulation of Over-the-Counter Derivative Securities
    by Janda, Karel & Rausser, Gordon

  • 2011 Küresel Kriz ve Finansal Aracılarda Risk Yönetimi: Beyaz Sayfa Mı?
    by Coskun, Yener & Kayacan, Murad

  • 2011 Game complete analysis for financial markets stabilization
    by Carfì, David & Musolino, Francesco

  • 2011 Financial Engineering and Engineering of Financial Regulation
    by Coskun, Yener

  • 2011 La crisi, le sue origini e il prossimo futuro
    by Russo, Alberto

  • 2011 Predicting failure in the commercial banking industry
    by Tatom, John

  • 2011 Counterparty credit risk management in industrial corporates
    by Langkamp, Christian

  • 2011 The risk-taking channel of monetary policy in the USA: Evidence from micro-level data
    by Delis, Manthos D & Hasan, Iftekhar & Mylonidis, Nikolaos

  • 2011 The need for revised resolution regimes and supervisory arrangements
    by Ojo, Marianne

  • 2011 O perspectiva entropica asupra crizelor economice
    by Lostun, Andreea-Maria

  • 2011 Get rid of banks and build up a modern financial world
    by Lenz, Rainer

  • 2011 All Things Considered: The Interaction of the Reasons for the Financial Crisis
    by Abdala Rioja, Yamile E

  • 2011 Oeconomicus vs. Academicus din perspectiva diacronică a relaţiei între ciclurile Kondratieff şi reformele structurale ale învăţământului superior
    by Hălăngescu, Constantin I.

  • 2011 Juridical and financial considerations on the public recapitalisation and rescue of financial institutions during periods of financial crises (Part II)
    by Ojo, Marianne

  • 2011 The reciprocal relationship between systemic risk and real economic activity
    by Garita, Gus

  • 2011 Basel III – responses to consultative documents, vital aspects of the consultative processes and the journey culminating in the present framework (Part 1)
    by Ojo, Marianne

  • 2011 Sovereign risk and debt sustainability: warning levels for Romania
    by Zaman, Gheorghe & Georgescu, George

  • 2011 La crise financière mondiale et la finance islamique: une revue de la litérature
    by DIAW, Abdou

  • 2011 How to end to the debt crisis in one month
    by Punabantu, Siize

  • 2011 Addressing risk challenges in a changing financial environment: the need for greater accountability in financial regulation and risk management
    by Ojo, Marianne

  • 2011 Financial liberalization, financial development and economic growth: An empirical analysis for Turkey
    by ince, meltem

  • 2011 Successfully implementing major financial stability regulatory reforms: the risk weighting based controversy (Basel v Dodd Frank) and the role of national supervisors
    by Ojo, Marianne

  • 2011 Comparing two financial crises: the case of Hong Kong real estate markets
    by LEUNG, K. Y. Charles & TANG, C. H. Edward

  • 2011 Financial stability, new macro prudential arrangements and shadow banking: regulatory arbitrage and stringent Basel III regulations
    by Ojo, Marianne

  • 2011 Turkey's response to the global economic crisis
    by Turhan, Ibrahim M. & Kilinc, Zubeyir

  • 2011 Embodied human capital unemployment
    by Kumaraku, Klajdi & Naqvi, Nadeem & Rexhepi, Sara

  • 2011 Benoit Mandelbrot (1924 - 2011 ) : A Greek among Romans
    by Estrada, Fernando

  • 2011 Financial Crises and Bilateral Foreign Direct Investment Flows
    by Abdelaal Mahmoud, Ashraf

  • 2011 Theory of financial risk
    by Estrada, Fernando

  • 2011 Fair value accounting and procyclicality: mitigating regulatory and accounting policy differences through regulatory structure reforms and Enforced Self Regulation
    by Ojo, Marianne

  • 2011 Implicații ale politicii monetare unice în susținerea integrării financiare europene
    by Avadanei, Andreea

  • 2011 The canonical econophysics approach to the flash crash of May 6, 2010
    by Mazzeu, Joao & Otuki, Thiago & Da Silva, Sergio

  • 2011 Benoit Mandelbrot (1924 - 2010): A Greek among Romans
    by Estrada, Fernando

  • 2011 Runda Doha: început fără sfârşit
    by Popa, Diana

  • 2011 Great expectations, predictable outcomes and the G20's response to the recent global financial crisis
    by Ojo, Marianne

  • 2011 Living with Macro-financial Linkages: Policy Perspectives and Challenges for SEACEN Countries
    by Siregar, Reza & Lim, Vincent C.S.

  • 2011 L’asset allocation dei fondi hedge durante la crisi finanziaria: un’analisi empirica
    by Piluso, Fabio & Amerise, Ilaria Lucrezia

  • 2011 A tale of three countries, dispersed ownership and greater risk taking levels by management: risk monitoring tools in bank regulation and supervision – developments since the collapse of Barings Plc (re – visited)
    by Ojo, Marianne

  • 2011 Managementul riscului de creditare: realizari actuale, analiza critica, sugestii
    by NUCU, Anca Elena

  • 2011 The Summarized Evaluation of The US and Latin America Corporate Governance Standards After Financial Crisis, Corporate Scandals and Manipulation
    by Tran Ngoc Huy, DInh

  • 2011 Defending Against Speculative Attacks: Reputation, Learning, and Coordination
    by Chong Huang

  • 2011 An Historical Walk Through Recent Financial Crises
    by Tadeusz Kowalski & Yochanan Shachmurove

  • 2011 Regulatory Medicine Against Financial Market Instability: What Helps And What Hurts?
    by Stefan Kerbl

  • 2011 Credit Risk in General Equilibrium
    by Jürgen Eichberger & Klaus Rheinberger & Martin Summer

  • 2011 Bank Bailouts, International Linkages and Cooperation
    by Friederike Niepmann & Tim Schmidt-Eisenlohr

  • 2011 Issues in Private-Sector Finance in Israel
    by Philip Hemmings

  • 2011 Overcoming the Banking Crisis in Ireland
    by Muge Adalet McGowan

  • 2011 Economic Imbalances: New Zealand's Structural Challenge
    by Jean-Pierre Andre

  • 2011 Predicting Failure in the Commercial Banking Industry
    by John A. Tatom & Reza Houston

  • 2011 Trichet Bonds To Resolve the European Sovereign Debt Problem
    by Nicholas Economides & Roy C. Smith

  • 2011 Resource Allocation within Firms and Financial Market Dislocation: Evidence from Diversified Conglomerates
    by Gregor Matvos & Amit Seru

  • 2011 The Future of the Government Sponsored Enterprises: The Role for Government in the U.S. Mortgage Market
    by Dwight Jaffee & John M. Quigley

  • 2011 A Transparency Standard for Derivatives
    by Viral V. Acharya

  • 2011 The Effects of Quantitative Easing on Interest Rates: Channels and Implications for Policy
    by Arvind Krishnamurthy & Annette Vissing-Jorgensen

  • 2011 Political Uncertainty and Risk Premia
    by Lubos Pastor & Pietro Veronesi

  • 2011 A Brief History of Regulations Regarding Financial Markets in the United States: 1789 to 2009
    by Alejandro Komai & Gary Richardson

  • 2011 Crashes and Collateralized Lending
    by Jakub W. Jurek & Erik Stafford

  • 2011 What is the Risk of European Sovereign Debt Defaults? Fiscal Space, CDS Spreads and Market Pricing of Risk
    by Joshua Aizenman & Michael M. Hutchison & Yothin Jinjarak

  • 2011 Who Should Supervise? The Structure of Bank Supervision and the Performance of the Financial System
    by Barry Eichengreen & Nergiz Dincer

  • 2011 On the International Transmission of Shocks: Micro-Evidence from Mutual Fund Portfolios
    by Claudio Raddatz & Sergio L. Schmukler

  • 2011 Rare Macroeconomic Disasters
    by Robert J. Barro & José F. Ursua

  • 2011 Implicit Guarantees and Risk Taking: Evidence from Money Market Funds
    by Marcin Kacperczyk & Philipp Schnabl

  • 2011 Complex Mortgages
    by Gene Amromin & Jennifer Huang & Clemens Sialm & Edward Zhong

  • 2011 Systemic Risk Exposures: A 10-by-10-by-10 Approach
    by Darrell Duffie

  • 2011 Why Did U.S. Banks Invest in Highly-Rated Securitization Tranches?
    by Isil Erel & Taylor D. Nadauld & René M. Stulz

  • 2011 Are All Ratings Created Equal? The Impact of Issuer Size on the Pricing of Mortgage-backed Securities
    by Jie (Jack) He & Jun 'QJ' Qian & Philip E. Strahan

  • 2011 Too-Systemic-To-Fail: What Option Markets Imply About Sector-wide Government Guarantees
    by Bryan T. Kelly & Hanno Lustig & Stijn Van Nieuwerburgh

  • 2011 Global Crises and Equity Market Contagion
    by Geert Bekaert & Michael Ehrmann & Marcel Fratzscher & Arnaud J. Mehl

  • 2011 A Model of Shadow Banking
    by Nicola Gennaioli & Andrei Shleifer & Robert W. Vishny

  • 2011 This Time Is the Same: Using Bank Performance in 1998 to Explain Bank Performance During the Recent Financial Crisis
    by Rüdiger Fahlenbrach & Robert Prilmeier & René M. Stulz

  • 2011 Household Debt and Saving During the 2007 Recession
    by Rajashri Chakrabarti & Donghoon Lee & Wilbert van der Klaauw & Basit Zafar

  • 2011 Global retail lending in the aftermath of the US financial crisis: Distinguishing between supply and demand effects
    by Manju Puri & Jörg Rocholl & Sascha Steffen

  • 2011 Household Leverage and the Recession
    by Thomas Philippon & Virgiliu Midrigan

  • 2011 Sovereign Default Risk and Bank Fragility in Financially Integrated Economies
    by Patrick Bolton & Olivier Jeanne

  • 2011 Dividends and Bank Capital in the Financial Crisis of 2007-2009
    by Viral V. Acharya & Irvind Gujral & Nirupama Kulkarni & Hyun Song Shin

  • 2011 Simple Variance Swaps
    by Ian Martin

  • 2011 Monetary Policy as Financial-Stability Regulation
    by Jeremy C. Stein

  • 2011 Monetary and Fiscal Stimuli, Ownership Structure, and China's Housing Market
    by Yongheng Deng & Randall Morck & Jing Wu & Bernard Yeung

  • 2011 Market Timing, Investment, and Risk Management
    by Patrick Bolton & Hui Chen & Neng Wang

  • 2011 Hedge Fund Leverage
    by Andrew Ang & Sergiy Gorovyy & Gregory B. van Inwegen

  • 2011 Safety-Net Benefits Conferred on Difficult-to-Fail-and-Unwind Banks in the US and EU Before and During the Great Recession
    by Santiago Carbo-Valverde & Edward J. Kane & Francisco Rodriguez-Fernandez

  • 2011 Speculators and Middlemen: The Strategy and Performance of Investors in the Housing Market
    by Patrick Bayer & Christopher Geissler & Kyle Mangum & James W. Roberts

  • 2011 Margin-Based Asset Pricing and Deviations from the Law of One Price
    by Nicolae Gârleanu & Lasse Heje Pedersen

  • 2011 Monetary Policy Strategy: Lessons from the Crisis
    by Frederic S. Mishkin

  • 2011 Informational Rents, Macroeconomic Rents, and Efficient Bailouts
    by Thomas Philippon & Philipp Schnabl

  • 2011 Stability periods between financial crises: The role of macroeconomic fundamentals and crises management policies
    by Zorobabel Bicaba & Daniel Kapp & Francesco Molteni

  • 2011 L'intermédiation financière dans l'analyse macroéconomique : le défi de la crise
    by Eleni Iliopulos & Thepthida Sopraseuth

  • 2011 Internal Corporate Governance and the Financial Crisis: Lessons for Banks,Regulators and Supervisors
    by Elisabetta Gualandri & Enzo Mangone & Aldo Stanziale

  • 2011 European exchange rates volatility and its asymmetrical components during the financial crisis
    by Daniel Stavarek

  • 2011 Can Tight and Centralized Financial Regulation Prevent Financial Crises? Czech Government Bond Seignorage in the Historical Perspective
    by Tomas Otahal & Vaclav Rybacek

  • 2011 Systematic and Liquidity Risk in Subprime-Mortgage Backed SecuritiesM
    by Thomas Flavin & Gerald P. Dwyer & Mardi Dungey

  • 2011 Assessing the Impact of the Global Financial and Economic Crisis in Developing Countries: the Case of Uruguay
    by Carmen Estrades & Cecilia Llambi

  • 2011 Is there Any Dependence Between Consumer Credit Line Utilization and Default Probability on a Term Loan? Evidence from Bank-Level Data
    by Anne-Sophie Bergerès & Philippe d'Astous & Georges Dionne

  • 2011 Determinants of Structured Finance Issuance - A Cross-Country Comparison
    by Sebastian A. Schuetz

  • 2011 Explaining the Twin Crises in Indonesia
    by Rahmatina A. Kasri

  • 2011 No Protectionist Policy Before and During the Great Recession
    by Hylke Vandenbussche & Christian Viegelahn

  • 2011 $29,000,000,000,000: A Detailed Look at the Fed's Bailout by Funding Facility and Recipient
    by James Felkerson

  • 2011 Lessons We Should Have Learned from the Global Financial Crisis but Didn't
    by L. Randall Wray

  • 2011 Institutional Prerequisites of Financial Fragility within Minsky's Financial Instability Hypothesis: A Proposal in Terms of 'Institutional Fragility'
    by Christine Sinapi

  • 2011 Minsky's Money Manager Capitalism and the Global Financial Crisis
    by L. Randall Wray

  • 2011 Minsky Crisis
    by L. Randall Wray

  • 2011 A Minskyan Road to Financial Reform
    by L. Randall Wray

  • 2011 Measuring Macroprudential Risk: Financial Fragility Indexes
    by Éric Tymoigne

  • 2011 Financial Keynesianism and Market Instability
    by L. Randall Wray

  • 2011 The Dismal State of Macroeconomics and the Opportunity for a New Beginning
    by L. Randall Wray

  • 2011 A Cost-Benefit Analysis of Basel III: Some Evidence from the UK
    by Meilan Yan & Maximilian J. B. Hall & Paul Turner

  • 2011 Corporate Leverage, the Cost of Capital,and the Financial Crisis in Latin America
    by Ricardo Bebczuk & Arturo Galindo

  • 2011 Foreign Banks and the Stability of Foreign and Domestic Credit in CEECs
    by Sophie Brana & Delphine Lahet

  • 2011 The Rise and Fall of S&P500 Variance Futures
    by Chia-Lin Chang & Juan-Ángel Jiménez-Martín & Michael McAleer & Teodosio Pérez-Amaral

  • 2011 The Safer, the Riskier:A Model of Bank Leverage and Financial Instability
    by Ryo Kato & Takayuki Tsuruga

  • 2011 Are SRI Funds More Resilient towards the Global Financial Crisis?
    by Miwa Nakai & Keiko Yamaguchi & Kenji Takeuchi

  • 2011 Credit Spead Interdependencies of European States and Banks during the Financial Crisis
    by Adrian Alter & Yves Stephan Schüler

  • 2011 Warrant Economics, Call-Put Policy Options and the Fallacies of Economic Theory
    by Hatgioannides, John & Karanassou, Marika

  • 2011 Warrant Economics, Call-Put Policy Options and the Fallacies of Economic Theory
    by Hatgioannides, John & Karanassou, Marika

  • 2011 Giving Up Job Search During a Recession: The Impact of the Global Financial Crisis on the South African Labour Market
    by Verick, Sher

  • 2011 Giving Up Job Search During a Recession: The Impact of the Global Financial Crisis on the South African Labour Market
    by Verick, Sher

  • 2011 What Might Central Banks Lose or Gain in Case of Euro Adoption – A GARCH-Analysis of Money Market Rates for Sweden, Denmark and the UK
    by Herbert S. Buscher & Hubert Gabrisch

  • 2011 The Banking Bailout of the Subprime Crisis: Big Commitments and Small Effects?
    by Michele Fratianni & Francesco Marchionne

  • 2011 Bank Overleverage and Macroeconomic Fragility
    by Ryo Kato & Takayuki Tsuruga

  • 2011 Financial Integration and Cooperation in East Asia: Assessment of Recent Developments and Their Implications
    by Hong Bum Jang

  • 2011 Good Securitization, Bad Securitization
    by Guillaume Plantin

  • 2011 Safe Haven Assets and Investor Behaviour Under Uncertainty
    by Dirk G. Baur & Thomas K.J. McDermott

  • 2011 Integrating Reform of Financial Regulation with Reform of the International Monetary System
    by Morris Goldstein

  • 2011 Too Big to Fail: The Transatlantic Debate
    by Morris Goldstein & Nicolas Veron

  • 2011 On Endogenous Risk, the Amplification Effects of Financial Systems and Macro Prudential Policies
    by Giovanni Majnoni & Andrew Powell

  • 2011 Financial Network Systemic Risk Contributions
    by Nikolaus Hautsch & Julia Schaumburg & Melanie Schienle

  • 2011 On the Continuation of the Great Moderation:New evidence from G7 Countries
    by Wenjuan Chen

  • 2011 Rollover risk, network structure and systemic financial crises
    by Kartik Anand & Prasanna Gai & Matteo Marsili

  • 2011 A Network Model of Financial System Resilience
    by Kartik Anand & Prasanna Gai & Sujit Kapadia & Simon Brennan & Matthew Willison

  • 2011 Basel III ans Systemic Risk Regulation - What Way Forward?
    by Co-Pierre Georg

  • 2011 The Fragility of Discretionary Liquidity Provision: Lessons from the Collapse of the Auction Rate Securities Market
    by Song Han & Dan Li

  • 2011 The Increased Importance of Asset Price Misalignments for Business Cycle Dynamics
    by Bask, Mikael & Madeira, João

  • 2011 A Model of Endogenous Extreme Events
    by Chollete, Loran

  • 2011 Monetary and Fiscal Stimuli, Ownership Structure, and China's Housing Market
    by Deng, Yongheng & Morck, Randall & Wu, Jing & Yeung, Bernard

  • 2011 Hidden in the Factors? The Effect of Credit Risk on the Cross-section of Equity Returns
    by Nielsen, Caren Yinxia

  • 2011 The Fundamentals of the Portuguese Crisis
    by João Sousa Andrade & Adelaide Duarte

  • 2011 The 2007-2008 financial crisis : Is there evidence of disaster myopia ?
    by Camille Cornand & Céline Gimet

  • 2011 Price stability and financial imbalances: rethinking the macrofinancial framework after the 2007-8 financial crisis
    by Panzera, Fabio S.

  • 2011 Encyclical Letter "Caritas in Veritate": An Economist's Reading
    by Dembinski, Paul H.

  • 2011 Early Warning Indicators of Crisis Incidence: Evidence from a Panel of 40 Developed Countries
    by Jan Babecký & Tomáš Havránek & Jakub Matìjù & Marek Rusnák & Kateøina Šmídková & Boøek Vašíèek

  • 2011 Value at Risk forecasting with the ARMA-GARCH family of models in times of increased volatility
    by Milan Rippel & Ivo Jánský

  • 2011 Dopady změn parametrů pojištění vkladů v roce 2008
    by veronika Holá & Petr Jakubík

  • 2011 The EMU sovereign-debt crisis: Fundamentals, expectations and contagion
    by Michael G. Arghyrou & Alexandros Kontonikas

  • 2011 Systematic and Liquidity Risk in Subprime-Mortgage Backed Securities
    by Mardi Dungey & Gerald P. Dwyer & Thomas Flavin

  • 2011 The impact of the global financial crisis on output performance across the European Union: vulnerability and resilience
    by Karin Kondor & Karsten Staehr

  • 2011 Asset Commonality, Debt Maturity and Systemic Risk
    by Allen, Franklin & Babus, Ana & Carletti, Elena

  • 2011 Systemic Risk Channel and TARP: Banking Relationship Spillover in the Credit Default Swap Market
    by Song, Wei-Ling & Uzmanoglu, Cihan

  • 2011 How Does Capital Affect Bank Performance during Financial Crises?
    by Berger, Allen N. & Bouwman, Christa H. S.

  • 2011 How Does Capital Affect Bank Performance during Financial Crises?
    by Berger, Allen N. & Bouwman, Christa H. S.

  • 2011 Bank Liquidity Creation, Monetary Policy, and Financial Crises
    by Berger, Allen N. & Bouwman, Christa H. S.

  • 2011 Bankruptcy, Finance Constraints and the Value of the Firm
    by Gale, Douglas & Gottardi, Piero

  • 2011 Proxy Advisory Firms and Stock Option Exchanges: The Case of Institutional Shareholder Services
    by Larcker, David F. & McCall, Allan L. & Ormazabal, Gaizka

  • 2011 This Time Is the Same: Using Bank Performance in 1998 to Explain Bank Performance during the Recent Financial Crisis
    by Fahlenbrach, Rudiger & Prilmeier, Robert & Stulz, Rene M.

  • 2011 Impact of the Global Economic Crisis on Taipei,China’s Industrial Structure and Firm Activity
    by Jack W. Hou

  • 2011 Impact of the Global Economic Crisis on Taipei,China’s Industrial Structure and Firm Activity
    by Jack W. Hou

  • 2011 Market Failures and Regulatory Failures : Lessons from Past and Present Financial Crises
    by Viral V. Acharya & Thomas Cooley & Matthew Richardson & Ingo Walter

  • 2011 Emerging Contours of Financial Regulation : Challenges and Dynamics
    by Rakesh Mohan

  • 2011 Crisis, Imbalances, and India
    by Rajiv Kumar & Pankaj Vashisht

  • 2011 The Role of Macroprudential Policy for Financial Stability in East Asia’s Emerging Economies
    by Yung Chul Park

  • 2011 The Great Liquidity Freeze : What Does It Mean for International Banking?
    by Dietrich Domanski & Philip Turner

  • 2011 Impact of the Global Economic Crisis on Taipei,China’s Industrial Structure and Firm Activity
    by Jack W. Hou

  • 2011 Market Failures and Regulatory Failures : Lessons from Past and Present Financial Crises
    by Viral V. Acharya & Thomas Cooley & Matthew Richardson & Ingo Walter

  • 2011 Emerging Contours of Financial Regulation : Challenges and Dynamics
    by Rakesh Mohan

  • 2011 The Role of Macroprudential Policy for Financial Stability in East Asia’s Emerging Economies
    by Yung Chul Park

  • 2011 Market Failures and Regulatory Failures : Lessons from Past and Present Financial Crises
    by Viral V. Acharya & Thomas Cooley & Matthew Richardson & Ingo Walter

  • 2011 Emerging Contours of Financial Regulation : Challenges and Dynamics
    by Rakesh Mohan

  • 2011 Crisis, Imbalances, and India
    by Rajiv Kumar & Pankaj Vashisht

  • 2011 The Role of Macroprudential Policy for Financial Stability in East Asia’s Emerging Economies
    by Yung Chul Park

  • 2011 The Great Liquidity Freeze : What Does It Mean for International Banking?
    by Dietrich Domanski & Philip Turner

  • 2011 Crisis, Imbalances, and India
    by Rajiv Kumar & Pankaj Vashisht

  • 2011 Bank Risk within and across Equilibria
    by Itai Agur

  • 2011 "Leaning Against the Wind" and the Timing of Monetary Pollicy
    by Itai Agur & Maria Demertzis

  • 2011 Procyclical Bank Risk-Taking and the Lender of Last Resort
    by Mark Mink

  • 2011 Transmission of the Financial and Sovereign Debt Crises to the EMU: Stock Prices, CDS Spreads and Exchange Rates
    by Theoharry Grammatikos & Robert Vermeulen

  • 2011 Monitoring the unsecured interbank money market using TARGET2 data
    by Ronald Heijmans & Richard Heuver & Daniëlle Walraven

  • 2011 Effects of the Global Financial and Economic Crisis on the Bolivian Economy: A CGE Approach
    by Martin Cicowiez & Carlos Gustavo Machicado

  • 2011 Monitoring Leverage
    by John Geanakoplos & Lasse H. Pedersen

  • 2011 Greek Debt and American Debt: Graduation Speech at the University of Athens Economics and Business School
    by John Geanakoplos

  • 2011 Tranching, CDS and Asset Prices: How Financial Innovation Can Cause Bubbles and Crashes
    by Ana Fostel & John Geanakoplos

  • 2011 Tranching, CDS and Asset Prices: How Financial Innovation Can Cause Bubbles and Crashes
    by Ana Fostel & John Geanakoplos

  • 2011 Endogenous Leverage: VaR and Beyond
    by Ana Fostel & John Geanakoplos

  • 2011 No Protectionist Surprises: EU Antidumping Policy Before and During the Great Recession
    by Hylke VANDENBUSSCHE & Christian VIEGELAHN

  • 2011 Stock Prices Of Domestic Banking Sector And External Shocks In East Asia
    by Masahiro Inoguchi

  • 2011 From the financial crisis to the economic crisis The impact of the financial trouble of 2007-2008 on the growth of seven advanced countries
    by J.-C. BRICONGNE & J.-M. FOURNIER & V. LAPÈGUE & O. MONSO

  • 2011 Are Banks Passive Liquidity Backstops? Deposit Rates and Flows during the 2007-2009 Crisis
    by Acharya, Viral V & Mora, Nada

  • 2011 A Model of Liquidity Hoarding and Term Premia in Inter-Bank Markets
    by Acharya, Viral V & Skeie, David

  • 2011 A Dynamic General Equilibrium Analysis of Monetary Policy Rules, Adverse Selection and Long-Run Financial Risk
    by Blommestein, Hans J. & Eijffinger, Sylvester C W & Qian, Zongxin

  • 2011 Gross Capital Flows: Dynamics and Crises
    by Broner, Fernando A & Didier, Tatiana & Erce, Aitor & Schmukler, Sergio

  • 2011 Asset Commonality, Debt Maturity and Systemic Risk
    by Allen, Franklin & Babus, Ana & Carletti, Elena

  • 2011 Bailout Uncertainty in a Microfounded General Equilibrium Model of the Financial System
    by Cukierman, Alex & Izhakian, Yehuda

  • 2011 Inequality, Tax Avoidance, and Financial Instability
    by Landier, Augustin & Plantin, Guillaume

  • 2011 Household Leverage and the Recession
    by Midrigan, Virgiliu & Philippon, Thomas

  • 2011 Where It All Began: Lending of Last Resort and the Bank of England during the Overend, Gurney Panic of 1866
    by Flandreau, Marc & Ugolini, Stefano

  • 2011 How do credit conditions shape economic recoveries?
    by Coricelli, Fabrizio & Roland, Isabelle

  • 2011 Liquidity shocks, roll-over risk and debt maturity
    by Segura, Anatoli & Suarez, Javier

  • 2011 Financial Black-Holes: The Interaction of Financial Regulation and Bailout Guarantees
    by Rancière, Romain & Tornell, Aaron

  • 2011 Informational Rents, Macroeconomic Rents, and Efficient Bailouts
    by Philippon, Thomas & Schnabl, Philipp

  • 2011 Inequality, Leverage and Crises
    by Kumhof, Michael & Rancière, Romain

  • 2011 Systemic risk across sectors; Are banks different?
    by Michiel Bijlsma & Sander Muns

  • 2011 Is economic recovery a myth? Robust estimation of impulse responses
    by Coen Teulings & Nick Zubanov

  • 2011 The contribution of us bond demand to the us bond yield conundrum of 2004 to 2007: an empirical investigation
    by Thomas Goda & Photis Lysandrou & Chris Stewart

  • 2011 The contribution of wealth concentration to the subprime crisis: a quantitative estimation
    by Thomas Goda & Photis Lysandrou

  • 2011 Do foreign portfolio flows increase risk in emerging stock markets? Evidence from six Latin American countries 1999 -2008
    by Diego Alonso Agudelo Rueda & Milena Castaño

  • 2011 Early Warning Indicators of Economic Crises: Evidence from a Panel of 40 Developed Countries
    by Jan Babecky & Tomas Havranek & Jakub Mateju & Marek Rusnak & Katerina Smidkova & Borek Vasicek

  • 2011 Financial Frictions, Bubbles, and Macroprudential Policies
    by Alexis Derviz

  • 2011 Credit Growth and Capital Buffers: Empirical Evidence from Central and Eastern European Countries
    by Adam Gersl & Jakub Seidler

  • 2011 Dynamic Maturity Transforation
    by Anatoli Segura & Javier Suarez

  • 2011 Why didn't the Global Financial Crisis hit Latin America?
    by Tjeerd M. Boonman & Jan P. A. M. Jacobs & Gerard H. Kuper

  • 2011 The “Forward Premium Puzzle” and the Sovereign Default Risk
    by Virginie Coudert & Valérie Mignon

  • 2011 The Interactions Between the Credit Default Swap and the Bond Markets in Financial Turmoil
    by Virginie Coudert & Mathieu Gex

  • 2011 Financial Frictions and Total Factor Productivity: Accounting for the Real Effects of Financial Crises
    by Sangeeta Pratap & Carlos Urrutia

  • 2011 The Effect of Restrictive Bank Lending on Innovation: Evidence from a Financial Crisis
    by Stefan Kipar

  • 2011 External Sovereign Debt in a Monetary Union: Bailouts and the Role of Corruption
    by Carolina Achury & Christos Koulovatianos & John D. Tsoukalas

  • 2011 Bank Bailouts, International Linkages and Cooperation
    by Friederike Niepmann & Tim Schmidt-Eisenlohr

  • 2011 The Rise and Fall of S&P500 Variance Futures
    by Chia-Lin Chang & Juan-Ángel Jiménez-Martín & Michael McAleer & Teodosio Pérez Amaral

  • 2011 The Good, The Bad and The Impaired - A Credit Risk Model of the Irish Mortgage Market
    by Kelly, Robert

  • 2011 The Irish Mortgage Market: Stylised Facts, Negative Equity and Arrears
    by Kennedy, Gerard & McIndoe Calder, Tara

  • 2011 Exploring the Steady-State Relationship between Credit and GDP for a Small Open Economy - The Case of Ireland
    by Kelly, Robert & McQuinn, Kieran & Stuart, Rebecca

  • 2011 Currency Crises, Exchange Rate Regimes, and Capital Account Liberalization: A Duration Analysis Approach
    by Mohammad Karimi & Marcel-Cristian Voia

  • 2011 Empirics of Currency Crises: A Duration Analysis Approach
    by Mohammad Karimi & Marcel-Cristian Voia

  • 2011 Identifying Extreme Values of Exchange Market Pressure
    by Mohammad Karimi & Marcel-Cristian Voia

  • 2011 Macro-financial vulnerabilities and future financial stress : Assessing systemic risks and predicting systemic events
    by Lo Luca, Marco & Peltonen, Tuomas

  • 2011 Financial Stability Paper No 10: Growing Fragilities? Balance Sheets in the Great Moderation
    by Barwell, Richard & Burrows, Oliver

  • 2011 Systemic capital requirements
    by Webber, Lewis & Willison, Matthew

  • 2011 How did the crisis in international funding markets affect bank lending? Balance sheet evidence from the United Kingdom
    by Aiyar, Shekhar

  • 2011 Macroprudential Financial Regulation: Why, What, How?
    by Peter Sinclair

  • 2011 Deficits, Debts and Defaults - Past, Present and Future
    by Peter Sinclair

  • 2011 The sovereign credit default swap market: price discovery, volumes and links with banks' risk premia
    by Alessandro Carboni

  • 2011 An unexpected crisis? Looking at pricing effectiveness of different banks
    by Valerio Vacca

  • 2011 Is there a role for funding in explaining recent US bank failures?
    by Pierluigi Bologna

  • 2011 Local versus aggregate lending channels: the effects of securitization on corporate credit supply
    by Gabriel Jiménez & Atif Mian & José-Luis Peydró & Jesús Saurina

  • 2011 Credit cycles: Evidence based on a non linear model for developed countries
    by Rebeca Anguren Martín

  • 2011 An MVAR Framework to Capture Extreme Events in Macroprudential Stress Tests
    by Paolo Guarda & Abdelaziz Rouabah & John Theal

  • 2011 Analyzing Default Risk and Liquidity Demand during a Financial Crisis: The Case of Canada
    by Jason Allen & Ali Hortaçsu & Jakub Kastl

  • 2011 Bank Loans for Private and Public Firms in a Credit Crunch
    by Jason Allen & Teodora Paligorova

  • 2011 What Matters in Determining Capital Surcharges for Systemically Important Financial Institutions?
    by Céline Gauthier & Toni Gravelle & Xuezhi Liu & Moez Souissi

  • 2011 Lessons from International Central Counterparties: Benchmarking and Analysis
    by Alexandre Lazarow

  • 2011 Interdependence of Liquidity Problems in the Financial Sector The paper analyses problems arising from the interdependence of liquidity provision in the financial system. Findings document, that liquidity shortage of minor financial players can translate into liquidity shortage for systemic relevant players, thereby putting the proper functioning of the overall financial system on the line. As contractual mechanisms to safeguard against this threat are absent in the wake of market frictions, prudent regulation and governmental provision of external liquidity is asked for in order to solve these problems
    by Sebastian Missio

  • 2011 Leveraged Network-Based Financial Accelerator
    by Luca RICCETTI & Alberto RUSSO & Mauro GALLEGATI

  • 2011 Global Crises, Fiscal Imbalances and Global Instability: Interests and Reactions of Asian Economies
    by Richard Pomfret

  • 2011 Fear and Closed-End Fund Discounts: Investor Sentiment Revisited
    by Seth Anderson & T. Randolph Beard & Hyeongwoo Kim & Liliana Stern

  • 2011 On the Time-Varying Relationship between Closed-End Fund Prices and Fundamentals: Bond vs. Equity Funds
    by Seth Anderson & T. Randolph Beard & Hyeongwoo Kim & Liliana Stern

  • 2011 VPIN and the Flash Crash
    by Torben G. Andersen & Oleg Bondarenko

  • 2011 Macroprudential Regulation, Financial Stability, And Capital Flows
    by José De Gregorio

  • 2011 Challenges For Macroprudential Supervision
    by Randall Kroszner

  • 2011 Beyond Regulatory Challenge: The New Public Policy Paradigm
    by Tarisa Wataganase

  • 2011 Macroprudential Regulatory Policies: The New Road To Financial Stability
    by William R. White

  • 2011 What Role, If Any, Can Market Discipline Play In Supporting Macroprudential Policy?
    by María J. Nieto

  • 2011 Curbing Risk On Wall Street
    by Oliver Hart & Luigi Zingales

  • 2011 Cycle-Proof Market Discipline And Macroprudential Regulation
    by Luc Laeven

  • 2011 Regulation And Competition In Eu Banking: Before, During, And After The Crisis
    by André Sapir

  • 2011 Cross-Border Crisis Management: Can Harmonization Create Harmony If The Orchestra Is Dissonant?
    by Grégory Nguyen & Peter Praet

  • 2011 The Last Frontier: Protecting Critical Functions Across Borders
    by Eva H. G. Hüpkes

  • 2011 Some Implications Of Systemic Risk And The Design Of Regulatory Architecture
    by Marco Espinosa-Vega & Juan Solé & Charles Kahn & Rafael Matta

  • 2011 On The Governance Of Macroprudential Policies
    by Erlend W. Nier

  • 2011 Working Macroprudential Tools
    by Jesús Saurina

  • 2011 Systemic Risk In Bankruptcy Exceptions, Natural Candidates For Liquidity Charges
    by Enrico Perotti

  • 2011 Measuring Systemic Risk
    by Viral V. Acharya

  • 2011 Commentary On Macroprudential And Other Policies
    by E. Philip Davis

  • 2011 Macroprudential Policy And Monetary Policy: Some Lessons From The Euro Area
    by Domenico Giannone & Michele Lenza & Huw Pill & Lucrezia Reichlin

  • 2011 Macroprudential Policy: Central Banking Reconsidered
    by Jean-Pierre Landau

  • 2011 Cross-Border Coordination Of Macroprudential Policies
    by Attila Csajbók & Júlia Király

  • 2011 Lessons From American Bank Supervision From The Nineteenth Century To The Great Depression
    by Eugene N. White

  • 2011 Macroprudential Regulation And Evolution: Looking At The Financial System Through Darwin'S Glasses
    by Charles Taylor

  • 2011 The Challenge Of Taking Macroprudential Decisions: Who Will Press Which Button(S)?
    by Jaime Caruana

  • 2011 Global Macroprudential Regulation
    by Tommaso Padoa-Schioppa

  • 2011 Protecting The Stability Of Global Financial Markets
    by Paul A. Volcker

  • 2011 India, Pakistan and Bangladesh: “Trilaterlism” in South Asia?
    by Iftekhar Ahmed Chowdhury

  • 2011 Prospects for Conflict Resolutions in South Asia
    by Dayan Jayatilleka

  • 2011 Religious Extremism and Terrorism in Pakistan: Challenges for National Security
    by Rasul Bakhsh Rais

  • 2011 The Major Powers and Conflicts in South Asia
    by T. V. Paul

  • 2011 Political Developments in South Asia: Issues and Outlook
    by Sartaj Aziz

  • 2011 Socio-Economic Developments in South Asia: Issues and Outlook
    by Mani Shankar Aiyar

  • 2011 Global Crisis, Financial Institutions and Reforms: An EME Perspective
    by Dilip M. Nachane

  • 2011 Introduction — South Asia: Beyond the Global Financial Crisis
    by K. Shanmugam

  • 2011 Public Finance:An International Perspective
    by Joshua E Greene

  • 2011 Macroprudential Regulatory Policies:The New Road to Financial Stability?
    by

  • 2011 SOUTH ASIA:Beyond the Global Financial Crisis
    by

  • 2011 The Global Great Recession
    by E Ray Canterbery

  • 2011 THE INTERNATIONAL FINANCIAL CRISIS:Have the Rules of Finance Changed?
    by

  • 2011 Monetary Policy after the Crisis
    by Marek Belka & Jens Thomsen & Kim Abildgren & Pietro Catte & Pietro Cova & Patrizio Pagano & Ignazio Visco & Petar Chobanov & Amine Lahiani & Nikolay Nenovsky & Cristina Badarau & Grégory Levieuge & Tomasz Lyziak & Jan Przystypa & Ewa Stanislawska & Ewa Wróbel & Urszula Szczerbowicz

  • 2011 Risque de crédit et volatilité des spreads sur le marché de la dette privée en euro
    by Sodjahin, Amos Aristide

  • 2011 The Fundamentals of the Portuguese Crisis
    by João Sousa Andrade & Adelaide Duarte

  • 2011 The Crisis and After: There Is No Alternative?
    by Timur Han Gür & Naci Canpolat & Hüseyin Özel

  • 2011 International Subprime Crisis and Recession: Emerging Macroprudential, Monetary, Fiscal and Global Governance
    by Phillip Anthony O’Hara

  • 2011 The Euro Crisis Or The Crisis Of The Euro Zone
    by Pop, Napoleon & Lupu, Iulia & Milea, Camelia & Criste, Adina & Iordache, Floarea & Alinca, Alina Georgeta

  • 2011 Possible Directions Of European Union Economic Governance During The Present Period
    by Ailinca, Alina Georgeta & Iordache, Floarea

  • 2011 Measures To Recalibrate The Macroeconomic Policies In The New Eu Member States That Are To Adopt The Single Currency
    by Pop, Napoleon & Milea, Camelia & Lupu, Iulia & Criste, Adina & Ailinca, Alina Georgeta & Iordache, Floarea & Rotaru, Alina

  • 2011 Towards Financial Stability: A European Perspective
    by Paul De Grauwe

  • 2011 The Global Financial Crisis and Its Ramifications
    by Robert Rubin

  • 2011 Managing the Leverage Cycle
    by John Geanakoplos

  • 2011 Means and Ends in the New Financial Regulation
    by Gaetano Presti

  • 2011 Policy Formation for Managing Inherently Failing Markets
    by Mordecai Kurz

  • 2011 The political economy of regional integration in the Western Balkans
    by Pantelis Sklias

  • 2011 Fair Redistribution In Financial Markets: A Game Theory Complete Analysis
    by David Carfi & Francesco Musolino

  • 2011 The Macroeconomic Variables And Stock Returns In Pakistan: The Case Of Kse100 Index
    by Nadeem SOHAIL & Hussain ZAKIR

  • 2011 An Approach Of Combining Empirical Mode Decomposition And Neural Network Learning For Currency Crisis Forecasting
    by Mustapha DJENNAS & Mohamed BENBOUZIANE & Meriem DJENNAS

  • 2011 The Financing of Public - Private Partnership (Ppp) Projects in Romania - An Evaluation of the Awareness and Know-How among Romanian Organizations
    by Doru-Cristian CORETCHI & Marian-Adrian GROSU

  • 2011 Will human action by Ludwig von Mises help understand what causes the 2008 economic crisis?
    by Dimitrios N.Koumparoulis

  • 2011 Risks of Foreign Financial Disbalances on Bulgarian Economy in the Conditions of Global Economic Crisis
    by Roumen Georgiev

  • 2011 Did the CDS Market Push up Risk Premia for Sovereign Credit?
    by Sergio Andenmatten & Felix Brill

  • 2011 Is Finance Research a "Normal Science"? A Bibliometric Study of the Structure and Development of Finance Research from 1988 to 2007
    by Utz Schäffer & Pascal Nevries & Christian Fikus & Matthias Meyer

  • 2011 Problem banki spekulacyjnej na rynku nieruchomosci w Stanach Zjednoczonych w swietle wybranych teorii przeinwestowania
    by Pawel Bochenek

  • 2011 Financial Investment Management: Testing the Market Model on the Romanian Capital Market during the Post Financial Crisis
    by Radu CIOBANU & Sebastian Madalin MUNTEANU & Irina-Eugenia IAMANDI

  • 2011 The Evaluation Of Bankruptcy Risk
    by CONSTANTIN BAGU & FLORICA BADEA & CRISTINA BOLCAS

  • 2011 The Economic And Financial Crisis. The Euro Area
    by CHIRIMBU, Sebastian & BURDA, Alexandru

  • 2011 Some Theoretical And Practical Lessons To Be Learnt From The Economic Crisis Challenges In Romania
    by ZAMAN, Gheorghe

  • 2011 Approaches Of The Competitiveness At The Macroeconomic Level
    by MIREA, Viorica & MIREA, Gabriel

  • 2011 Penser la crise et la sortie de crise. Les apports de André Orléan, et au-delà
    by Fumagalli, Andrea & Lucarelli, Stefano

  • 2011 Capitalism, advanced and “transitional”, unfolded during the financial crisis
    by Ivan Ribnikar

  • 2011 Sovereign debt in the European Union
    by Octavian Ciobănaşu

  • 2011 Correlation of International Stock Markets Before and During the Subprime Crisis
    by Ioana Moldovan & Claudia Medrega

  • 2011 Study of the Correlation between the Romanian Stock Market and S&P500 Index during 2007-2009
    by Iulian Panait

  • 2011 Indicadores tendenciales de inflación y su relevancia como variables indicativas de política monetaria
    by Armas, Adrián & Vallejos , Lucy & Vega, Marco

  • 2011 Domestic insurers in Poland and the global crisis
    by Marietta JANOWICZ-LOMOTT & Krzysztof LYSKAWA

  • 2011 Will restricting proprietary trading and stricter derivatives regulation make the US financial system more stable?
    by Jan Kregel

  • 2011 Introduction
    by Alessandro Roncaglia

  • 2011 Taking the moral hazard out of banking: the next fundamental step in financial reform
    by Rainer Masera

  • 2011 Introduction: the crisis of economies and economics
    by Carlo D'Ippoliti

  • 2011 The tax system and the financial crisis
    by Vieri Ceriani & Stefano Manestra & Giacomo Ricotti & Alessandra Sanelli & Ernesto Zangari

  • 2011 Resolving the US financial crisis: politics dominates economics in the New Political Economy
    by Jan Kregel

  • 2011 A multi-faceted financial crisis
    by Alessandro Roncaglia

  • 2011 Vecchi e nuovi problemi nell’impiego delle politiche di bilancio
    by Antonio Pedone

  • 2011 L'Italia: una crisi nella crisi
    by Carlo D'Ippoliti & Alessandro Roncaglia

  • 2011 Uscire dalla crisi finanziaria statunitense: la politica domina l’economia nella Nuova Economia Politica
    by Jan Kregel

  • 2011 Introduzione: la crisi economica e della scienza economica
    by Carlo D'Ippoliti

  • 2011 Ancora sulla crisi
    by Alessandro Roncaglia

  • 2011 Evropské systémy pojištění vkladů: důsledky změn z roku 2008
    by Veronika Holá & Petr Jakubík

  • 2011 Vliv cílování inflace na povahu peněžní nabídky a finanční nerovnováhy
    by Tomáš Munzi & Petr Hlaváč

  • 2011 Obchodování s deriváty a pokoutní bankéři - ohlédnutí za finančním trhem v meziválečném Československu
    by Jan Vlachý

  • 2011 Měnová politika: staré lekce, nové výzvy
    by Eva Zamrazilová

  • 2011 Comparing American and European Regulation of Over-the- Counter Derivative Securities
    by Karel Janda & Gordon Rausser

  • 2011 Regulatory Response to Financial Crisis - Some Questions
    by Petr Dvořák

  • 2011 Factors of Occurrence of Speculative Bubbles on the Financial Markets
    by Jitka Veselá

  • 2011 The Economic Crisis and the Development of Tourism in the Czech Republic
    by Luboš Smrčka & Markéta Arltová & Jaroslav Schönfeld

  • 2011 Impact of the Financial Crisis on Life Insurance in Romania
    by Ana Preda & Mirela Monea

  • 2011 The Role of the Management of Financial Institutions in Reducing the Effects of the Economic Crisis
    by Ioan Cucu

  • 2011 FDIs in Spain after its EU Accession. Spanish Investments in Romania and How can be used Spanish Experience for Romania’s Development
    by Magdalena Radulescu & Elena Jianu

  • 2011 Mitigation of the Crisis Effects in Public Authorities and Institutions from County Gorj
    by Constantin Căruntu & Mihaela Loredana Lăpăduși

  • 2011 Sovereign Risk Assessment under Economic Crisis Conditions
    by Gabriela Corina Slusariuc & Ilie Răscolean & Anca Jarmila Guță

  • 2011 Tendencies Of Real Estate Market Development In The Current Context (In Terms Of Poland And Ukraine)
    by JANUSZ RYBAK & VALENTINA SHAPOVAL

  • 2011 Causes And Effects Of Romania Deepening Financial Crisis. Short Term Means
    by TUDOR FLORIN &

  • 2011 The impact of the global economic crisis on working capital of real sector in Turkey
    by Iffet Gorkey Kesimli & Suleyman Gokhan Gunay

  • 2011 Growth effect of aid and its volatility: An individual country study in South Asian economies
    by Vesna Bucevska

  • 2011 The Increase of Competitiveness in the Romania SME’s on the Current Crisis
    by Oncioiu Ionica

  • 2011 The Impact of the Current Financial Crisis on Romania’ Budget
    by Mi?ac Mirela

  • 2011 Mutual Funds and the Impact of Financial Crises
    by Barna Flavia & Nachescu Miruna-Lucia & Mihart Liliana

  • 2011 Using Data Mining Techniques in Economic Crisis
    by Codreanu Diana Elena & Popa Ionela & Parpandel Denisa Elena

  • 2011 The Present Economic-Financial World Crisis – One of the Most Important Phenomena of the 21st Century
    by Todericiu Ramona & Dragomir (Fraticiu) Lucia Mariana & Popa Liliana

  • 2011 The Necessity of Central Bank’s Involvement in Ensuring the Financial Stability
    by Sâmbotin ªtefan & Bucur Iulia Andreea

  • 2011 From Financial Crisis to Euro Crisis or the Aftermath of a Prolonged Recession
    by Popovici Veronica

  • 2011 The Impact of International Financial Crisis on Bank Lending to Households. A VAR Approach
    by Popescu Iulian

  • 2011 Increase Global Competitiveness of Firms in the Economic Crises through Employees' Flexible Work
    by Popescu Dorin Vicentiu & Popescu Manoela & Cecilia Luminita Crenicean

  • 2011 From the Financial Crisis to the Sovereign Debt Crisis
    by Botescu Ion & Cîrnu Doru

  • 2011 Structural Policies, Monetary and Fiscal Crisis Recovery in Romania
    by Pepi Miticã

  • 2011 EU funds absorption in Romania through Sectorial Operational Program for Human Resources Development between 2007 and February 2011 – an analysis
    by Duhnea Cristina & Ghita Mitrescu Silvia

  • 2011 The Global Economic Crisis... Is This the Beginning of a Large Recession?
    by David Delia & Pojar Daniela

  • 2011 The Ways to Combat Tax Evasion in Romania in Conditions of the World Economic Crisis
    by Ciurlau Loredana

  • 2011 Present Issues of Global Economy
    by Vlad Costicã & Mitea Neluþa

  • 2011 Emphasizing the Role of Financial Audit by World Financial Crisis
    by Þugui Valentina

  • 2011 Implementation of International Standards on Auditing in the EU- Objective Necessity
    by Þugui Valentina

  • 2011 A Relationship between the Degree of Search and Evolution of Assets
    by Serban Florentin & Buºu Mihail

  • 2011 Financial Innovation and Its Effects on Financial Stability and Efficiency
    by ªargu Alina Camelia & Roman Angela

  • 2011 The Monetary Policy Transmission Mechanism under Financial Distress. An Overview
    by Roman Angela & Avadanei Andreea

  • 2011 International Trade Crisis
    by Popa Diana

  • 2011 The Stability of the Romanian Banking System: an Overview during the International Crisis of 2007
    by Nucu Anca Elena

  • 2011 Greek Economic Crisis
    by Niculescu Oana-Marilena

  • 2011 Derivatives Market in the Aftermath of the Lessons Learned from the Crises
    by Murgea Aurora

  • 2011 The Effects of the Present Crisis on the Romanian Banking System
    by Moise-Þiþei Adina & Miþac Mirela Claudia

  • 2011 The Evolution of Romania’ Balance of Payments Current Account and of Romania’ External Debt between 2007 and 2010
    by Moise-Þiþei Adina & Miþac Mirela Claudia

  • 2011 Specific Features of the Current Economic Recession in Japan and Ways of Managing It
    by Maºcu Simona & Marcean Dana-Elena

  • 2011 A Comparative Analysis of Corporate Governance Structures in Europe, USA and Latin America
    by Avadanei Anamaria

  • 2011 The Impact of the Economic Crisis on the Public Debt of Romania
    by Ispas Roxana & Simion Dalia & Patrutescu Monica

  • 2011 The Global Economic Crisis, Deglobalisation and Recovery
    by Ionescu (Eftene) Nicoleta & Mihai (Andreescu) Gabriela & Uta Tatiana

  • 2011 Financial and Macro-Economic Views of the Mondial Economic Crisis
    by Ionescu Ionel Eduard & Oprea Cristian Constantin

  • 2011 Modeling Romanian Exchange Rate Evolution With Garch, Tgarch, Garch- In Mean Models
    by Trenca Ioan & Cociuba Mihail Ioan

  • 2011 Stages Of Development Within The Romanian Financial Accounting System In Terms Of Labour Protection For The Employed Workers In Romania And In Other European Countries
    by DAVID DELIA & POJAR DANIELA

  • 2011 The Impact Of The Financial And Economic Global Crisis Over The Romanian Banking System
    by Ciobanu (Sireteanu) Elena

  • 2011 A Behavioral Approach To The Global Financial Crisis
    by DEDU Vasile & Turcan Ciprian Sebastian & Turcan Radu

  • 2011 Trends Of Employment In Informal Sector In Romania During Crisis;Economic And Social Effects
    by Vasile Valentina & Pisica Silvia

  • 2011 Economic Governance Reform and Financial Stabilization in the EU and in the Eurosystem – Treaty-Based and Intergovernmental Decisions
    by Sylvia Gloggnitzer & Isabella Lindner

  • 2011 OeNB Euro Survey: Growing Uncertainty, but Overall Euroization Not Affected
    by Elisabeth Beckmann & Sandra Dvorsky & Thomas Scheiber

  • 2011 How the Crisis Affected Foreign Currency Borrowing in CESEE: Microeconomic Evidence and Policy Implications
    by Elisabeth Beckmann & Thomas Scheiber & Helmut Stix

  • 2011 Experience in Developing Early Warning System for Financial Crises and the Forecast of Russian Banking Sector Dynamic in 2012
    by Solntsev, O. & Mamonov, M. & Pestova, A. & Magomedova, Z.

  • 2011 Central bank rates, market rates and retail bank rates in the euro area in the context of the recent crisis
    by N. Cordemans & M. de Sola Perea

  • 2011 Central bank rates, market rates and retail bank rates in the euro area in the context of the recent crisis
    by N. Cordemans & M. de Sola Perea

  • 2011 Structure of the Financial System and the Contagion Effect: A Network Approach
    by Mariko Fujii & Makoto Takaoka

  • 2011 Buborékok és legendák. Válságok és válságmagyarázatok - II/2. rész. A Déltengeri Társaság
    by Madarász, Aladár

  • 2011 Válság és hitelderivatívák. A szintetikus fedezett adósságkötelezettségek (CDO-k) árazása és kockázataik
    by Medvegyev, Péter & Gyarmati, Ákos

  • 2011 Buborékok és legendák. Válságok és válságmagyarázatok - II/1. rész. A Déltengeri Társaság
    by Madarász, Aladár

  • 2011 A fedezetlen bankközi forintpiac hálózati dinamikájának vizsgálata a likviditási válság előtt és után
    by Berlinger, Edina & Szenes, Márk & Michaletzky, Márton

  • 2011 Credit Risk Assessment In The Romanian Banking System. Evidence From The Recent Financial Crisis
    by Anamaria Avadanei

  • 2011 The Impact Of The Financial Crisis On European E-Government Development
    by Codrin-Marius Teiu

  • 2011 ¿Cómo afectó la crisis económica global al sector edificador en Colombia? un análisis de los canales de contagio
    by Ahcar-Olmos, Jaime Rafael. & Sierra-Suárez, Lya Paola. & Peláez-Soto, José Tomás.

  • 2011 FDIs and investment policy in some European countries after their EU accession. Challenges during the crisis
    by Magdalena RADULESCU & Elena Nolica DRUICA

  • 2011 Risky Mortgages in a DSGE Model
    by Chiara Forlati & Luisa Lambertini

  • 2011 Multi-Factor Approach For Pricing Basket Credit Linked Notes Under Issuer Default Risk
    by Po-Cheng Wu

  • 2011 A Road To Financial Stability
    by Uzma Ashraf & Irfan Munawar Gill & Douglas W. Arner

  • 2011 The Role Of Corporate Governance In The Events Leading Up To The Global Financial Crisis: Analysis Of Aggressive Risk-Taking
    by Hussein Tarraf

  • 2011 Eps Differences Using Different Earnings Measurement Methods Evidence From Spain
    by Francisco Sousa Fernandez & María Mercedes Carro Arana

  • 2011 Impact Of Financial Crises On Pakistan And China: A Comparative Study Of Six Decades
    by Muhammad Umar Draz

  • 2011 Sustainability of Russian Banks in 2007-2009
    by Sergey Drobyshevsky & Andrey Zubarev

  • 2011 Real Implications of Bursting Asset Price Bubbles in Economies with Bank Credit
    by Alexis Derviz

  • 2011 Economic and Financial Integration of CEECs: The Impact of Financial Instability
    by Claudiu T. Albulescu

  • 2011 The Effects of Global Crisis into Euro Region: A Case Study of Greek Crisis
    by Bora Selcuk & Naci Yilmaz

  • 2011 Alcune considerazioni sullo Shadow Banking System
    by Figuera Stefano

  • 2011 Crisi economica, criminalità e vincoli di liquidità delle imprese
    by Ilario Favaretto & Germana Giombini

  • 2011 Systemic Financial Crisis: A Cluster Analysis
    by Nicolae Dardac & Adriana Giba

  • 2011 Cause v. consequence-based regulation: Basel III v. the Eurocodes
    by Maximilian A. Vermorken & Alphons Th. Vermorken

  • 2011 International comparisons of bank regulation, liberalization, and banking crises
    by Puspa Amri & Apanard P. Angkinand & Clas Wihlborg

  • 2011 Corporate bond default risk: A 150-year perspective
    by Giesecke, Kay & Longstaff, Francis A. & Schaefer, Stephen & Strebulaev, Ilya

  • 2011 How to grow a bubble: A model of myopic adapting agents
    by Harras, Georges & Sornette, Didier

  • 2011 The effect of information quality on liquidity risk
    by Ng, Jeffrey

  • 2011 Transparency and liquidity uncertainty in crisis periods
    by Lang, Mark & Maffett, Mark

  • 2011 Stock market interdependence, contagion, and the U.S. financial crisis: The case of emerging and frontier markets
    by Samarakoon, Lalith P.

  • 2011 Danger on the exchange: How counterparty risk was managed on the Paris exchange in the nineteenth century
    by Riva, Angelo & White, Eugene N.

  • 2011 The effect of raising deposit insurance coverage in times of financial crisis – Evidence from Croatian microdata
    by Prean, Nora & Stix, Helmut

  • 2011 About the soundness of the US-cay indicator for predicting international banking crises
    by Nitschka, Thomas

  • 2011 Debunking Macroeconomics
    by Steve Keen

  • 2011 Wage Tendency in Albania; The Reaction to the Global Economic and Financial Crisis
    by Imelda Sejdini

  • 2011 Fishing in Troubled Waters: The Lull Before the Storm
    by Sílvia Bou Ysàs & Magda Cayón Costa

  • 2011 Interactions between the Exchange Rates and the Differential of the Stock Returns between Romania and US during the Global Crisis
    by Razvan STEFANESCU & Ramona DUMITRIU

  • 2011 A Macroeconomic Perspective on Crisis Recovery
    by Ioana-Veronica ALEXA & Gabriel-Iulian DAJBOG & Costel NISTOR

  • 2011 Romanian Public Expenditures Policy during the Economic Crisis
    by Anca-Stefania SAVA

  • 2011 La gran crisis financiera de 2007-2009
    by Vittorio, Corbo & Jorge, Desormeaux M. & Klaus, Schmidt-Hebbel

  • 2011 Las agencias de rating y la crisis fi nanciera de 2008: ¿El fi n de un poder sin control?
    by María Concepción Verona Martel & José Juan Déniz Mayor

  • 2011 La crisis colombiana de finales del siglo XX: ¿Un choque real o financiero?
    by Torres G., Alejandro

  • 2011 A Proposal on Macro-prudential Regulation
    by Carolina Osorio

  • 2011 Fragilidad financiera y tasa de cambio
    by Juan Carlos Castro Fernández

  • 2011 How viable are spanish credit cooperatives after recent bank capitalization and restructuring regulations?
    by Gemma Fajardo García

  • 2011 US-Schuldenkrise: Droht den USA ein Vertrauensverlust?
    by Harm Bandholz & Michael Menhart & Josef Braml & Bernd Weidensteiner & Eckhard Janeba

  • 2011 Rechtliche Vorgaben vs. wirtschaftliche Gesetzmäßigkeiten am Beispiel der europäischen Schuldenkrise
    by Joachim Weeber

  • 2011 Bericht zur Lage der europäischen Wirtschaft: Ein neuer Krisenmechanismus für die Eurozone
    by European Economic Advisory Group (EEAG)

  • 2011 Two Suggestions for the Future of the Eurozone
    by Riccardo Rovelli

  • 2011 The Employment and Fiscal Crisis
    by Torben M. Andersen

  • 2011 The Future of the Eurozone
    by Kai A. Konrad & Holger Zschäpitz

  • 2011 Will the Reform of the Institutional Framework Restore Fiscal Stability in the Eurozone?
    by Clemens Fuest

  • 2011 To Default or Not to Default?
    by Gros Daniel & Thomas Mayer

  • 2011 On the Macroeconomics of European Divergence
    by Oliver Landmann

  • 2011 Policymaking in the Eurozone and the Core vs Periphery Problem
    by Stergios Skaperdas

  • 2011 Balancing Imbalances: Improving Economic Governance in the EU after the Crisis
    by Marco Buti

  • 2011 Le secteur bancaire français : un levier de croissance et d'emplois
    by Baudouin Prot

  • 2011 La nouvelle régulation bancaire microprudentielle : principes, incidences et limites
    by Jean Paul Pollin

  • 2011 La BCE : quel(s) scénario(s) de sortie de crise ?
    by Christian Bordes & Laurent Clerc

  • 2011 La crise : quelles conséquences durables sur la croissance, l'emploi et les finances publiques ?
    by Étienne Debauche & Éric Dubois & Pierre Leblanc

  • 2011 Quelques éléments empiriques sur la crise financière récente
    by Virginie Coudert & Valérie Mignon

  • 2011 Les pays émergents dans l'après-crise : L'intégration financière en question ?
    by François-Xavier Bellocq & Yves Zlotowski

  • 2011 Organiser la résolution des crises bancaires transfrontières
    by Nadège Jassaud & Ceyla Pazarbasioglu

  • 2011 Assurance, stabilité financière et risque systémique
    by Philippe Trainar

  • 2011 Quel champ pour la régulation bancaire et financière ?
    by Pierre-Henri Cassou

  • 2011 Les effets de la crise des subprimes sur le marché financier mexicain
    by Gilles Dufrénot & Valérie Mignon & Anne Péguin-Feissolle

  • 2011 After the collapse, the reshaping of international trade Summary of the Banque de France/PSE/CEPII conference of 25 and 26 May 2011
    by P. Bourgeon. & J. C. Bricongne. & G. Gaulier.

  • 2011 Companies after the crisis – Banque de France seminar, 28 June 2011
    by .

  • 2011 Après la chute, la recomposition du commerce international. Synthèse de la conférence Banque de France/PSE/CEPII des 25 et 26 mai 2011
    by BOURGEON, P. & BRICONGNE, J-C. & GAULIER, G.

  • 2011 Les entreprises après la crise – colloque Banque de France, 28 juin 2011
    by .

  • 2011 Les modèles fractals en finance
    by IDIER, J.

  • 2011 The Impact of the Global Financial Crisis on the Structure of Investment Portfolios of Insurance Companies
    by Jelena Kocovic & Tatjana Rakonjac Antic & Marija Jovovic

  • 2011 A Proposal on Macro-prudential Regulation
    by Carolina Osorio

  • 2011 Bank Managers Perception of Ethical and Legal Conduct in Emerging Markets During the Post-Crises Period: Evidence From Turkish Banking Sector
    by E.Nur OZKAN GUNAY & Ayfer HORTACSU

  • 2011 The World in Balance Sheet Recession
    by Richard Koo

  • 2011 How Well Has Latin America Fared During the Global Financial Crisis?
    by José Antonio Ocampo

  • 2011 Financial Reforms and Financial Instability
    by Pablo Gluzmann & Martín Guzman

  • 2011 The Euro Zone Debt Crisis and the Situation of the European Banks
    by José Manuel Duarte Inchausti

  • 2011 Imf’S And Governments’ Support To Financial System In The European Countries During The Crisis
    by MAGDALENA RADULESCU

  • 2011 Public Finances Crises Within The Countries Of Piigs Group
    by GRZEGORZ GÓRNIEWICZ

  • 2011 Early Warning Indicators for Asset Price Booms
    by Dieter Gerdesmeier & Hans-Eggert Reimers & Barbara Roffia

  • 2011 Are Cds spreads a good proxy of bank risk? Evidence from the recent financial crisis
    by Barbara Casu & Laura Chiaramonte

  • 2011 Capital levels, controls and governance.Towards a new balanced risk management
    by Marco Berlanda

  • 2011 Banks’ capital and liquidity in the Basel 3 framework
    by Andrea Resti

  • 2011 Italian banks, a challenge in Europe
    by Federico Ghizzoni

  • 2011 Italian banks and the economy at stake
    by Giovanni Bazoli

  • 2011 Financial crisis and prudential regulation in Europe
    by Michele Lanotte

  • 2011 Securitization retention as a tool for incentives’ alignment
    by Samuel Faccenda & Giacomo Manzelli

  • 2011 The decline of Italian household savings
    by Paolo Savona

  • 2011 The contradictory analyses of Us Crisis Commission
    by Giorgio Szego

  • 2011 Internal controls and Risk Management after the crisis: the Pillar 2 implications
    by Elisabetta Gualandri

  • 2011 A turnaround in banking globalization?
    by Pierpaolo Ferrari & Roberto Ruozi

  • 2011 Lending policies in Italian banks during the financial crisis
    by Maria Luisa Di Battista & Laura Nieri

  • 2011 Two great crises, teachings from the Thirties
    by Francesco Cesarini

  • 2011 Compliance Function and Internal Auditing: the options of Service Agreements
    by Gruppo di Lavoro ABI sulla Funzione Compliance

  • 2011 Bank credit to medium-sized enterprises in Italy: the trends before and during the crisis
    by Ivan Lorenzon & Marcella Lucchetta & Loriana Pelizzon

  • 2011 A new round of cost cutting in European banks after the crisis
    by Giancarlo Durante & Luigi Prosperetti

  • 2011 The risks of a prolonged period of very low interest rates
    by Leonardo Gambacorta

  • 2011 Housing Bubbles: A Survey
    by Christopher Mayer

  • 2011 The Economics of Credit Default Swaps
    by Robert A. Jarrow

  • 2011 2008 Global Economic Crisis And The Construction Sector: A Field Research From Marketing Perspective
    by Erkan Ozdemir & Serkan Kilic

  • 2011 Effects of the Financial and Economic Crisis on the Rural Landscape as well as the Agri-food Sector in Europe and Central Asia
    by Csaba Csáki & Gertrud Buchenrieder

  • 2011 Investment decisions in crises — A study of private pension fund investments
    by E. Kovács & B. Dömötör & H. Naffa

  • 2011 The Impact Of The Economic And Financial Crisis On Pension Systems In The European Union
    by Daniel Nicolae Militaru

  • 2011 The Impact Of The Economic And Financial Crisis On Pension Systems In The European Union
    by Daniel Nicolae Militaru

  • 2011 Evaluating The Impact Of The Economic Crisis On Greek Tourism: Public Perceptions Among Romanians
    by Ana Maria Tuluc

  • 2011 The Influence Of The Macroeconmic Situation In The Value Of The Sytematic Credit Risk In Albania. An Statistical Analysis
    by Anila Mançka

  • 2011 Study Regarding the Efficiency Measure of Construction Firms from Western Europe
    by Bianca MOGOSEANU

  • 2011 The Evolution Of The Behaviour Of Investors On The Capital Market
    by Radu Sorin Claudiu Ph. D Student

  • 2011 Theunit-Linkedinsurance- A Formof Long Termeconomizing In Thecontext Of Globalcrisis
    by Ec. Ana Preda, Ph. D Student, Lect. Mirela Monea Ph. D

  • 2011 The Effects Of Financial Crisis On The Regulatory And Prudential Supervisory Framework Of The Credit Institutions At The European Level
    by Ph. D Gheorghe Chitan

  • 2011 Investment For The Green Economy– A Solution For Sustainable Development And For Getting Out Of Current Economic Crisis
    by Prof. Ana Popa Ph. D

  • 2011 The Performance And Risks Of Private Pension Funds - Implications For Financial Stability
    by Ph. D Student Daniel Nicolae Militaru, Student Adriana Iuliana Spînu

  • 2011 The Change Concept And The Need For Change In The Romanian Banking System, In The Aftermath Of The Actual Crisis
    by Ramona (Mihai) Petrescu Ph. D Student

  • 2011 The Quality Of Employment, Factor Of Economic Growth
    by Alin Ionut Ciurlau

  • 2011 The Regulation Framework for the Banking Sector: The EMU, European Banks and Rating Agencies before and during the Recent Financial and Debt Crisis
    by Eleftherios Thalassinos & Konstantinos Liapis & John E. Thalassinos

  • 2011 Possible Means And Solutions For Avoiding Currency Wars
    by Mihai Dragu

  • 2011 The social protection system having in mind the economic-financial crisis
    by Claudiu Mihaita Urseanu phd. student

  • 2011 New Trends In Banking Due To The International Financial Crisis
    by Prof. Marin Oprițescu Ph. D, Assist. Alina Manta Ph. D

  • 2011 Study On The Evolution Of Profitability Of Romaniancompanies Listed On Bucharest Stock Exchangeduring The Economic And Financial Crisis
    by Prof. Marian Siminica Ph. D, Ec.Iulia Oana Stefan

  • 2011 Financial Analysis Of The Profitability And Risk Of Drug Manufacturers In Romania Under The Influence Of Economic Crisis
    by Ph. D. Silviu-Valentin Carstina

  • 2011 Globalization And Fiscal Problems
    by Prof. Gheorghe Matei Ph.D, Ionuţ-Cătălin Croitoru Ph.D Student

  • 2011 Empirical Study Regarding The Influence Of The Gdp And Interest Rate On The Non-Government Credit. Study Case For Romania
    by Alina Georgiana Manta Ph. D

  • 2011 Foreign Direct Investment and Financial Resilience: Case of the Mediterranean Countries
    by Semia RACHID

  • 2011 Banking Deregulation and Financial Stability in Emerging Market Economies
    by Adnen CHOCKRI & Zied AKROUT

  • 2011 Econometric Models Used For Managing The Market Risk In The Romanian Banking System
    by Ioan Trenca & Simona Mutu & Nicolae Petria

  • 2011 The Access To Financing Of Small And Medium Enterprises In Romania And Implications Of Current Crisis
    by Angela Roman

  • 2011 The Impact Of Recession On Social Marketing Activities : An Analysis Of Non-Profit Organizations Performance In The Context Of A Fluctuating European Economy
    by Corina SERBAN

  • 2011 Early Warning Systems For Systemic Crises
    by Adriana GIBA

  • 2011 The Role Of The Public-Private Partnership Under Economic Crisis At Eu Level And Its Challenges On The Romanian Market
    by Doru-Cristian CORETCHI

  • 2011 A Year of Living Dangerously: The Management of the Financial Crisis in 2008
    by Vincent Reinhart

  • 2011 Over the Cliff: From the Subprime to the Global Financial Crisis
    by Frederic S. Mishkin

  • 2011 Fire Sales in Finance and Macroeconomics
    by Andrei Shleifer & Robert Vishny

  • 2011 European Integration at the Crossroads: A Review Essay on the 50th Anniversary of Bela Balassa's Theory of Economic Integration
    by André Sapir

  • 2011 Illiquidity and All Its Friends
    by Jean Tirole

  • 2011 Financial Regulation: Lessons from the Recent Financial Crises
    by Takeo Hoshi

  • 2011 The Squam Lake Report : Commentary
    by Charles A. E. Goodhart

  • 2011 Did Bankruptcy Reform Cause Mortgage Defaults to Rise?
    by Wenli Li & Michelle J. White & Ning Zhu

  • 2011 Learning about Risk and Return: A Simple Model of Bubbles and Crashes
    by William A. Branch & George W. Evans

  • 2011-2012 The National Bank of Romania monetary policy characteristics in addition to the current financial crisis
    by Stefan Sambotin & Iulia Andreea Bucur

  • 2011-2012 Micro-prudentiality and financial stability
    by Cristian Ionescu

  • 2011-2012 Macro-prudentiality and financial stability
    by Cristian Ionescu

  • 2011, 2nd quarter update Minsky crisis
    by L. Randall Wray

  • 2010 The Financial Crisis and Intraday Volatility: Comparative Analysis on China, Japan and the US Stock Markets
    by Yusaku Nishimura & Yoshiro Tsutsui & Kenjiro Hirayama

  • 2010 Crisis in the Global Economy: Financial Markets, Social Struggles, and New Political Scenarios
    by

  • 2010 The Violence of Financial Capitalism
    by Christian Marazzi

  • 2010 The Contagion between Corporate and Personal Bankruptcy
    by Platt, Harlan & Demirkan, Sebhattan

  • 2010 Bringing Islamic Banking into the Mainstream is not an Alternative to Conventional Finance
    by Karwowski, Ewa

  • 2010 Constraints to Improving Financial Sector Regulation
    by Ciuriak, Dan

  • 2010 Reframing Financial Regulation
    by Whitehead, Charles

  • 2010 Uncertainty and the financial crisis
    by Pacces, Alessio M.

  • 2010 Lessons from the Global Financial Meltdown of 2008
    by Friedman, Hershey & Friedman, Linda

  • 2010 Risk Management after the Great Crash
    by Blommestein, Hans

  • 2010 Vickrey, Keynes and Kalecki. Three approaches for a Post-Keynesian Perspective on Crisis and Capitalism
    by Ayati, Carime

  • 2010 Keynes's Lost Distinction Between Industrial and Financial Circulation of Money
    by Jespersen, Jesper

  • 2010 The Origins of the 2007-2009 Economic and Financial Crisis
    by Figuera, Stefano

  • 2010 From over-investment to Households' Over-Indebtedness
    by Bailly, Jean-Luc

  • 2010 Home Equity Extraction, Growth, and the Subprime Crisis within the Theory of the Monetary Circuit
    by Stellian, Rémi

  • 2010 Impact of the Economic Crisis on the Countries in Eastern Europe (III) Literature Review, Theory and Empirical Evidence
    by Dobra Iulian

  • 2010 Criza economică globală şi modelele de impact a acesteia asupra mediului de afaceri din România
    by Voevozeanu (Spiridon) Alina-Cristina

  • 2010 Impact of the Economic Crisis on the Countries in Eastern Europe (II)
    by Dobra Iulian

  • 2010 Impact of the Economic Crisis on the Countries in Eastern Europe (I - Literature Review, Theory and Empirical Evidence)
    by Dobra Iulian

  • 2010 Criza şi reglementările financiare
    by Cerna Silviu

  • 2010 Sfârşitul economiei iluziei. Miturile pieţei eficiente şi rolul statului în depăşirea crizei economice
    by Voinea Liviu

  • 2010 Return to Common Sense Is Needed
    by Dăianu Daniel

  • 2010 Impact of financial crises on the value relevance of earnings and book value: 1994 and 2001 crises in Turkey
    by Serdar ÖZKAN & Çağnur KAYTMAZ BALSARI

  • 2010 Reducing systemic relevance: A proposal
    by Doluca, Hasan & Klüh, Ulrich & Wagner, Marco & Weder di Mauro, Beatrice

  • 2010 Efficiency and stability in complex financial markets
    by Caccioli, Fabio & Marsili, Matteo

  • 2010 From boom to bust: how different has microfinance been from traditional banking?
    by Wagner, Charlotte

  • 2010 Ratingmodell zur Quantifizierung des Ausfallrisikos von LBO-Finanzierungen
    by Lang, Michael & Cremers, Heinz & Hentze, Rainald

  • 2010 The euro area interbank market and the liquidity management of the eurosystem in the financial crisis
    by Hauck, Achim & Neyer, Ulrike

  • 2010 Exit strategies
    by Angeloni, Ignazio & Faia, Ester & Winkler, Roland C.

  • 2010 The economic crisis and medical care usage
    by Lusardi, Annamaria & Schneider, Daniel & Tufano, Peter

  • 2010 The determinants of cross-border bank flows to emerging markets: New empirical evidence on the spread of financial crises
    by Herrmann, Sabine & Mihaljek, Dubravko

  • 2010 Changing Perceptions of Maturity Mismatch in the US Banking System: Evidence from Equity Markets
    by Andrew T. Young & Travis Wiseman & Thomas L. Hogan

  • 2010 Financial Development, Financial Openness and Trade Openness: New evidence
    by Pham Thi Hong Hanh

  • 2010 Financial Instability and Optimal Monetary Policy Rule
    by Hossein Sedghi-Khorasgani

  • 2010 Will Exports Prevail over Austerity?
    by Vasily Astrov & Vladimir Gligorov & Peter Havlik & Mario Holzner & Gabor Hunya & Kazimierz Laski & Sebastian Leitner & Zdenek Lukas & Anton Mihailov & Olga Pindyuk & Leon Podkaminer & Josef Pöschl & Sandor Richter & Waltraut Urban & Hermine Vidovic

  • 2010 Crisis Is Over, but Problems Loom Ahead
    by Vasily Astrov & Vladimir Gligorov & Peter Havlik & Mario Holzner & Gabor Hunya & Michael Landesmann & Sebastian Leitner & Zdenek Lukas & Anton Mihailov & Olga Pindyuk & Leon Podkaminer & Josef Pöschl & Sandor Richter & Waltraut Urban & Hermine Vidovic

  • 2010 Resilience of the Interbank Network to Shocks and Optimal Bail-Out Strategy: Advantages of "Tiered" Banking Systems
    by Mariya Teteryatnikova

  • 2010 Why Should Naive Investors Avoid Stock Markets ?
    by Michael Donadelli & Federico Silvestri

  • 2010 Understanding the Global Demand Collapse: Empirical Analysis and Optimal Policy Response
    by Guido Cazzavillan & Michael Donadelli

  • 2010 The Persistent Negative Cds-Bond Basis during the 2007/08 Financial Crisis
    by Alessandro Fontana

  • 2010 Financialization, Crisis and Commodity Correlation Dynamics
    by Annastiina Silvennoinen & Susan Thorp

  • 2010 Asset Price Regulators Unite: You Have Macroeconomic Stability to Win and the Microeconomic Losses are Second-order
    by Ron Bird & Gordon Menzies & Peter Dixon & Maureen Rimmer

  • 2010 Heterogeneous expectations and strong uncertainty in a Minskyian model of financial fluctuations
    by Serena Sordi & Alessandro Vercelli

  • 2010 Economy and economics: the twin crises
    by Alessandro Vercelli

  • 2010 Gross capital flows: Dynamics and crises
    by Fernando Broner & Tatiana Didier & Aitor Erce & Sergio L. Schmukler

  • 2010 Theoretical notes on bubbles and the current crisis
    by Alberto Martin & Jaume Ventura

  • 2010 An Empirical Analysis of International Stock Market Volatility Transmission
    by Indika Karunanayake & Valadkhani, Abbas & O'Brien, Martin

  • 2010 The Impact of the Credit Crisis on Poor Developing Countries and the Role of China in Pulling and Crowding Us Out
    by Ziesemer, Thomas

  • 2010 Origination Channel, Prepayment Penalties, and Default
    by Morgan J. Rose

  • 2010 Financial Economists, Financial Interests and Dark Corners of the Meltdown: It’s Time to Set Ethical Standards for the Economics Profession
    by Gerald Epstein & Jessica Carrick-Hagenbarth

  • 2010 The Bonus-Driven “Rainmaker” Financial Firm: How These Firms Enrich Top Employees, Destroy Shareholder Value and Create Systemic Financial Instability (revised)
    by James Crotty

  • 2010 Class action and financial markets: Insights from law and economics
    by Ramello, Giovanni B. & Porrini, Donatella

  • 2010 Monetary and exchange rate policy issues in Pacific Island countries
    by Richard Wood

  • 2010 Monetary Policy and Excessive Bank Risk Taking
    by Agur, I. & Demertzis, M.

  • 2010 Financial Connections and Systemic Risk
    by Allen, F. & Babus, A. & Carletti, E.

  • 2010 Financial Expertise as an Arms Race
    by Glode, V. & Green, R.C. & Lowery, R.

  • 2010 MBS Ratings and the Mortgage Credit Boom
    by Ashcraft, A. & Goldsmith-Pinkham, P. & Vickery, J.

  • 2010 Short-Selling Bans around the World: Evidence from the 2007-09 Crisis
    by Alessandro Beber & Marco Pagano

  • 2010 Is Economic Recovery a Myth? Robust Estimation of Impulse Responses
    by Coen N. Teulings & Nick Zubanov

  • 2010 Modeling Financial Crises: A Schematic Approach
    by John Harvey

  • 2010 Detecting Contagion with Correlation: Volatility and Timing Matter
    by Dungey, Mardi & Yalama, Abdullah

  • 2010 The impact of the international economic crisis on child poverty in South Africa
    by Margaret Chitiga & Bernard Decaluwé & Ramos Mabugu & Hélène Maisonnave & Véronique Robichaud & Debra Shepherd & Servaas van der Berg & Dieter von Fintel

  • 2010 Limits to arbitrage during the crisis: funding liquidity constraints and covered interest parity
    by Tommaso Mancini Griffoli & Angelo Ranaldo

  • 2010 Liquidity in the Foreign Exchange Market: Measurement, Commonality, and Risk Premiums
    by Loriano Mancini & Angelo Ranaldo & Jan Wrampelmeyer

  • 2010 Off the Cliff and Back? Credit Conditions and International Trade during the Global Financial Crisis
    by Davin Chor & Kalina Manova

  • 2010 Does the Crisis Experience Call for a New Paradigm in Monetary Policy?
    by John B. Taylor

  • 2010 The functioning of the European interbank market during the 2007-08 financial crisis
    by Silvia Gabrieli

  • 2010 Executive Pay Regulation: What Regulators, Shareholders, and Managers Can Learn from Major Sports Leagues
    by Helmut Dietl & Tobias Duschl & Markus Lang

  • 2010 Responding to the Global Financial and Economic Crisis: Meeting the Challenges in Asia
    by Arner, Douglas & Schou-Zibell, Lotte

  • 2010 Financial Development: A Broader Perspective
    by Reid, Richard

  • 2010 Asia's Post-Global Financial Crisis Adjustment: A Model-Based Dynamic Scenario Analysis
    by Kawai, Masahiro & Zhai, Fan

  • 2010 The Role of the State in Managing and Forestalling Systemic Financial Crises: Some Issues and Perspectives
    by Adams, Charles

  • 2010 Lessons from Japan's Banking Crisis, 1991–2005
    by Fujii, Mariko & Kawai, Masahiro

  • 2010 The Euro After Its First Decade: Weathering the Financial Storm and Enlarging the Euro Area
    by Regling, Klaus & Deroose, Servaas & Felke, Reinhard & Kutos, Paul

  • 2010 Securitized Products, Financial Regulation, and Systemic Risk
    by Fujii, Mariko

  • 2010 The Role of State Intervention in the Financial Sector: Crisis Prevention, Containment, and Resolution
    by Cho, Yoon Je

  • 2010 Regulating Systemic Risk
    by Kawai, Masahiro & Pomerleano, Michael

  • 2010 The Financial Crisis and the Regulation of Credit Rating Agencies: A European Banking Perspective
    by Utzig, Siegfried

  • 2010 Financial Crisis, Trade Finance, and SMEs: Case of Central Asia
    by Pasadilla, Gloria O.

  • 2010 Dating and Exploration of the Business Cycle in Iceland
    by Wolfgang Polasek

  • 2010 How Risky Is the Value at Risk?
    by Roxana Chiriac & Winfried Pohlmeier

  • 2010 la situation des salaries en France stress, chômage, précarité (The status of employees in France stress, unemployment, precariousness)
    by Denis LANGLET

  • 2010 de la dictature des marchés à la nouvelle phase de la crise
    by Denis LANGLET

  • 2010 Contagious Adverse Selection - Revised November, 2010
    by Stephen Morris & Hyun Song Shin

  • 2010 Teaching Macro Principles after the Financial Crisis
    by Alan S. Blinder

  • 2010 Quantitative Easing: Entrance and Exit Strategies
    by Alan S. Blinder

  • 2010 The impact of the international economic crisis on child poverty in South Africa
    by Margaret Chitiga & Bernard Decaluwe & Ramos Mabugu & Helene Maisonnave & Veronique Robichaud & Debra Shepherd & Servaas van der Berg & Dieter von Fintel

  • 2010 The Impact of the Global Economic Crisis on Sub-National Government – Lessons from the Free State Province in South Africa
    by Helene Maisonnave & Jugal Mahabir & Ramos Mabugu & Margaret Chitiga

  • 2010 Perú: Lecciones de la recesión de 2008-2009
    by Dancourt, Óscar & Jiménez Sotelo, Renzo

  • 2010 Choques Externos, Regulación y Crisis Bancarias en el Perú: Una revisión para el periodo 1990-2009
    by Jiménez Sotelo, Renzo

  • 2010 Juridical and financial considerations on the public re capitalisation and rescue of financial institutions during periods of financial crises (Part I)
    by Ojo, Marianne & Rodríguez-Miguez, Jose

  • 2010 Volatility Spillover in India, USA and Japan Investigation of Recession Effects
    by Sinha, Pankaj & Sinha, Gyanesh

  • 2010 Permanent Effects of Economic Crises on Household Welfare: Evidence and Projections from Argentina’s Downturns
    by Cruces, Guillermo & Gluzmann, Pablo & Lopez-Calva, Luis Felipe

  • 2010 Changes in the DOW effects in the Romanian foreign exchange market
    by Dumitriu, Ramona & Stefanescu, Razvan

  • 2010 Financial crises and economic growth in Pakistan: a time series analysis
    by Azam, Rauf i & Batool, Iram & Imran, Rabia & Chani, Muhammad Irfan & Hunjra, Ahmed Imran & Jasra, Javed Mahmood

  • 2010 In the eye of the storm: challenging the reform of financial system
    by Tchipev, Plamen D

  • 2010 The impact of the global economic crisis on non-oil operations of ports in Iran
    by Ahmadzadeh Mashinchi, Sina

  • 2010 Lessons and consequences of the evolving 2007-? Credit Crunch
    by Corneil, Bruce L. & McNamara, Sue

  • 2010 The Aftermath
    by Requeijo, Jaime

  • 2010 A behavioral model of bubbles and crashes
    by Kaizoji, Taisei (kaizoji@icu.ac.jp)

  • 2010 Shaky emerging economies in view of the global financial crisis: the Turkish economy after three decades of liberal reforms
    by Ulgen, Faruk

  • 2010 Crise systémique et régulation financière
    by ULGEN, Faruk

  • 2010 2008 SEC short selling ban: impacts on the credit default swap market
    by Courtney, Samuel

  • 2010 2008 SEC short selling ban: impacts on the credit default swap market
    by Courtney, Samuel

  • 2010 Global Financial Crisis and Mortgage Finance and Valuation Problems: An Assesment of the US and Turkish Mortgage Systems
    by Coskun, Yener

  • 2010 Money, credit and finance in The Arcades Project
    by Estrada, Fernando

  • 2010 Global Financial Crisis, Problems in Official Discipline and Designing Optimal Official Discipline Framework (Küresel Kriz, Resmi Disiplin Sorunları ve Optimal Resmi Disiplin Sisteminin Tasarımı)
    by Coskun, Yener

  • 2010 BASEL III: responses to consultative documents, vital aspects of the consultative processes and the journey culminating in the present framework (Part 1)
    by Ojo, Marianne

  • 2010 Preparing for Basel IV (whilst commending Basel III) : why liquidity risks still present a challenge to regulators in prudential supervision ( Part II)
    by Ojo, Marianne

  • 2010 Financial intermediation, investment dynamics and business cycle fluctuations
    by Ajello, Andrea

  • 2010 Crises and the recent recession
    by Tatom, John

  • 2010 Preparing for Basel IV (whilst commending Basel III) : why liquidity risks still present a challenge to regulators in prudential supervision ( Part II)
    by Ojo, Marianne

  • 2010 The rise of emerging markets' financial market architecture: constituting new roles in the global financial goverancen
    by Metzger, Martina & Taube, Günther

  • 2010 Dinamica integrarii pietelor europene de obligatiuni
    by Avadanei, Andreea

  • 2010 Analiza efectelor Zonei Unice de Plati in Euro in contextul crizei financiare internationale
    by Avadanei, Andreea

  • 2010 Beyond the global financial crisis: central banking in a new global financial system
    by Turhan, Ibrahim M.

  • 2010 Practical approach to estimating cost of capital
    by Skardziukas, Domantas

  • 2010 Сучасні Моделі Фінансових Криз
    by Petrushchak, Bohdan

  • 2010 Iceland's Economic and Financial Crisis: Causes, Consequences and Implications
    by Spruk, Rok

  • 2010 Analysis of Non-Fund Based Financial Services: Some Insights From Inida
    by Kainth, Dr Gursharan Singh

  • 2010 Evaluating and managing systemic risk in the European Union
    by Avadanei, Anamaria & Ghiba, Nicolae

  • 2010 Perspectives on Single Euro Payments Area adoption in the light of the financial crisis
    by Avadanei, Andreea

  • 2010 Noi provocări pentru stabilitatea financiară în contextul crizei internaționale
    by Avadanei, Anamaria

  • 2010 Surse ale instabilitatii financiare in contextul crizei internationale. A Literature Review
    by Avadanei, Anamaria

  • 2010 Валютна Криза В Україні В Контексті Сучасних Моделей Фінансових Криз
    by Petrushchak, Bohdan

  • 2010 Preparing for Basel IV : why liquidity risks still present a challenge to regulators in prudential supervision (II)
    by Ojo, Marianne

  • 2010 Preparing for Basel IV: why liquidity risks still present a challenge to regulators in prudential supervision
    by Ojo, Marianne

  • 2010 Business cycle effects on portfolio credit risk: A simple FX Adjustment for a factor model
    by Sokolov, Yuri

  • 2010 The Current Financial and Economic Crisis: Empirical and Methodological Issues
    by Strachman, Eduardo & Fucidji, José Ricardo

  • 2010 The role of monetary policy in matters relating to financial stability: Monetary policy responses adopted during the most recent Financial Crisis
    by Ojo, Marianne

  • 2010 On the expansion of finance and financialisation
    by Russo, Alberto & Zanini, Adelino

  • 2010 Analyzing Systemic Risk with Financial Networks An Application During a Financial Crash
    by Saltoglu, Burak & Yenilmez, Taylan

  • 2010 Central banks and different policies implemented in response to the recent Financial Crisis
    by Ojo, Marianne

  • 2010 Macro Financial Determinants of the Great Financial Crisis: Implications for Financial Regulation
    by Caprio, Gerard Jr. & D'Apice, Vincenzo & Ferri, Giovanni & Puopolo, Giovanni Walter

  • 2010 BASEL III – Responses to consultative documents, vital aspects of the consultative processes and the journey culminating in the present framework
    by Ojo, Marianne

  • 2010 Redefining a role for central banks: The increased importance of central banks’ roles in the management of liquidity risks and macro prudential supervision in the aftermath of the Financial Crisis
    by Ojo, Marianne

  • 2010 Juridical and financial considerations on the public re capitalisation and rescue of financial institutions during periods of financial crises
    by Ojo, Marianne & Rodriguez-Miguez, Jose

  • 2010 India’s Increased International Integration and the Financial Crisis: Has India Become More Prone to External Shocks?
    by Sircar, Jyotirmoy

  • 2010 Market Myths in Contemporary Economics
    by Punabantu, Siize

  • 2010 Basel III and responding to the recent Financial Crisis: progress made by the Basel Committee in relation to the need for increased bank capital and increased quality of loss absorbing capital
    by Ojo, Marianne

  • 2010 The chicken or the egg? A note on the dynamic interrelation between government bond spreads and credit default swaps
    by Delis, Manthos D & Mylonidis, Nikolaos

  • 2010 The contagion effect: evidences from former Soviet Economies in Eastern Europe
    by Insel, Aysu & Korkmaz, Abdurrahman

  • 2010 The Irish Banking Crisis: Regulatory and Financial Stability Policy
    by Honohan, Patrick & Donovan, Donal & Gorecki, Paul & Mottiar, Rafique

  • 2010 Measures aimed at enhancing the loss absorbency of regulatory capital at the point of non viability
    by Ojo, Marianne

  • 2010 Assessing EU-10 Banking Sector's Resilience to Credit Losses
    by Piatkowski, Marcin & Zalduendo, Juan

  • 2010 Measures aimed at mitigating pro cyclical effects of the Capital Requirements Framework: counter cyclical capital buffer proposals
    by Ojo, Marianne

  • 2010 Government interventions in banking crises: Assessing alternative schemes in a banking model of debt overhang
    by Dietrich, Diemo & Hauck, Achim

  • 2010 Juridical and financial considerations on the public re capitalisation and rescue of financial institutions during periods of financial crises (Part I)
    by Ojo, Marianne & Rodríguez-Miguez, Jose

  • 2010 Austeria
    by Shipman, Arthur F.

  • 2010 Social rights and economic objectives: The importance of competition at supra national level
    by Ojo, Marianne

  • 2010 The Problem of Money Illusion in Economics
    by Erber, Georg

  • 2010 Social rights and economic objectives: The importance of competition at supra national level
    by Ojo, Marianne

  • 2010 Opacity of Banks and Runs with Solvency
    by D'Avino, Carmela & Lucchetta, Marcella

  • 2010 Procyclical Effects of the banking System during the financial and economic Crisis 2007-2009: the Case of Europe
    by Nikolov, Pavel

  • 2010 Juridical and financial considerations on the public re capitalisation and rescue of financial institutions during periods of financial crises (Part I)
    by Ojo, Marianne & Rodríguez-Miguez, Jose

  • 2010 Procyclical Effects of the banking System during the financial and economic Crisis 2007-2009: the Case of Europe
    by Nikolov, Pavel

  • 2010 The ineffectiveness of state as a controller and owner
    by Bojańczyk, Mirosław

  • 2010 Theory of argumentation in financial markets
    by Estrada, Fernando

  • 2010 Robot traders can prevent extreme events in complex stock markets
    by Suhadolnik, Nicolas & Galimberti, Jaqueson & Da Silva, Sergio

  • 2010 Systemic Stability of Housing and Mortgage Market: From the observable to the unobservable
    by Xiao, Qin

  • 2010 The role of central banks and competition policies in the rescue and recapitalisation of financial institutions during (and in the aftermath of) the Financial Crisis
    by Ojo, Marianne

  • 2010 Structured Finance Influence on Financial Market Stability – Evaluation of Current Regulatory Developments
    by Schuetz, Sebastian Alexander

  • 2010 Exploring the finance-real economy link in U.S.: Empirical evidence from Panel Unit Root and Cointegration Analysis
    by Niang, Abdou-Aziz & Diagne, Abdoulaye & Pichery, Marie-Claude

  • 2010 Liquidity assistance and the provision of state aid to financial institutions
    by Ojo, Marianne

  • 2010 Qu’attend-on de la finance mondiale après la crise ? Les quatre commandements oubliés
    by Brack, Estelle & Saidane, Dhafer

  • 2010 Post crisis blues
    by Beja, Edsel Jr.

  • 2010 Globalización, ciclos económicos y crisis global, 2007-2010
    by Ruiz-Porras, Antonio

  • 2010 Asymmetric information: the multiplier effect of financial instability
    by Skardziukas, Domantas

  • 2010 Fragments on black swan: money, credit and finance in The Arcades Project of Walter Benjamin
    by Estrada, Fernando

  • 2010 Risk monitoring tools in bank regulation and supervision – developments since the collapse of Barings Plc
    by Ojo, Marianne

  • 2010 Banking Crises and Short and Medium Term Output Losses in Developing Countries: The Role of Structural and Policy Variables
    by Davide, Furceri & Aleksandra, Zdzienicka

  • 2010 Volatility Spillover in India, USA and Japan Investigation of Recession Effects
    by Sinha, Pankaj & Sinha, Gyanesh

  • 2010 Leveraging the British Railway Mania: Derivatives for the Individual Investor
    by Campbell, Gareth

  • 2010 Cross-Section of a ‘Bubble’: Stock Prices and Dividends during the British Railway Mania
    by Campbell, Gareth

  • 2010 ‘The Greatest Bubble in History’: Stock Prices during the British Railway Mania
    by Campbell, Gareth & Turner, John

  • 2010 Elementi di novità, meccanismi noti e cause di fondo della recente crisi
    by Russo, Alberto

  • 2010 Un nuevo enfoque para el análisis y calificación del Sistema Cooperativo Ecuatoriano
    by Freire González, Paulo Alejandro & Vivar Aguilar, Mayra Isabel & Maldonado, Diego

  • 2010 Carry Trade, Forward Premium Puzzle and Currency Crisis
    by Kaizoji, Taisei

  • 2010 Islamic finance: what does it change, what it does not - the structure - objectives mismatch and its consequences
    by Hasan, Zubair

  • 2010 Breve guia temático e bibliográfico sobre o estudo da actual crise financeira e económica
    by Costa Cabral, Nazare

  • 2010 International economic theory and politics: world structure before, during and after the early 21st Century Crisis
    by Naqvi, Nadeem

  • 2010 Zur Vertrauensökonomik: Der Interbankenmarkt in der Krise von 2007-2009
    by De La Motte, Laura & Czernomoriez, Janna & Clemens, Marius

  • 2010 A Behavioral Model of Bubbles and Crashes
    by Kaizoji, Taisei (kaizoji@icu.ac.jp)

  • 2010 The role of the IASB and auditing standards in the aftermath of the 2008/2009 Financial Crisis
    by Ojo, Marianne

  • 2010 Extending the scope of prudential supervision: Regulatory developments during and beyond the “effective” periods of the Post BCCI and the Capital Requirements directives
    by Ojo, Marianne

  • 2010 The Impact of Financial Crises on Youth Unemployment Rate
    by Misbah Tanveer Choudhry & Enrico Marelli & Marcello Signorelli

  • 2010 The Impact of Crises on Youth Unemployment of Russian Regions: An Empirical Analysis
    by Olga Demidova & Marcello Signorelli

  • 2010 Indonesian Growth Dynamics
    by M Chatib Basri & Hal Hill

  • 2010 La economía peruana en la última década: Mejor desempeño y mayor resiliencia a las crisis
    by Gustavo Yamada & Juan Castro

  • 2010 How do banks respond to increased funding uncertainty?
    by Robert A. Ritz

  • 2010 The Financial Crisis and Intraday Volatility: Comparative Analysis on China, Japan and the US Stock Markets
    by Yusaku Nishimura & Yoshiro Tsutsui & Kenjiro Hirayama

  • 2010 Minimising Risks from Imbalances in European Banking
    by Sebastian Barnes & Philip R. Lane & Artur Radziwill

  • 2010 The German Banking System: Lessons from the Financial Crisis
    by Felix Hüfner

  • 2010 Enhancing Financial Stability Through Better Regulation in Hungary
    by Margit Molnar

  • 2010 The Impact of the Financial Crisis on Defined Benefit Plans and the Need for Counter-Cyclical Funding Regulations
    by Juan Yermo & Clara Severinson

  • 2010 The Financial Turmoil of 2007-09: Sinners and Their Sins
    by George G. Kaufman

  • 2010 Fire Sales in Finance and Macroeconomics
    by Andrei Shleifer & Robert W. Vishny

  • 2010 Over The Cliff: From the Subprime to the Global Financial Crisis
    by Frederic S. Mishkin

  • 2010 Local Versus Aggregate Lending Channels: The Effects Of Securitization On Corporate Credit Supply In Spain
    by Gabriel Jiménez & Atif R. Mian & José-Luis Peydró & Jesús Saurina

  • 2010 The Global Financial Crisis of 2007-08: Is it Unprecedented?
    by Michael D. Bordo & John S. Landon-Lane

  • 2010 Crisis "Shock Factors" and the Cross-Section of Global Equity Returns
    by Charles W. Calomiris & Inessa Love & Maria Soledad Martinez Peria

  • 2010 Size Anomalies in U.S. Bank Stock Returns: A Fiscal Explanation
    by Priyank Gandhi & Hanno Lustig

  • 2010 Macroeconomics after the Crisis: Time to Deal with the Pretense-of-Knowledge Syndrome
    by Ricardo J. Caballero

  • 2010 Theoretical Notes on Bubbles and the Current Crisis
    by Alberto Martin & Jaume Ventura

  • 2010 Two Monetary Tools: Interest Rates and Haircuts
    by Adam Ashcraft & Nicolae Gârleanu & Lasse Heje Pedersen

  • 2010 Emerging Local Currency Bond Markets
    by John D. Burger & Francis E. Warnock & Veronica Cacdac Warnock

  • 2010 Repairing a Mortgage Crisis: HOLC Lending and its Impact on Local Housing Markets
    by Charles Courtemanche & Kenneth A. Snowden

  • 2010 The Anatomy of a Residential Mortgage Crisis: A Look Back to the 1930s
    by Kenneth A. Snowden

  • 2010 CMBS Subordination, Ratings Inflation, and the Crisis of 2007-2009
    by Richard Stanton & Nancy Wallace

  • 2010 Credit Traps
    by Efraim Benmelech & Nittai K. Bergman

  • 2010 The Behavior of Intoxicated Investors: The role of institutional investors in propagating the crisis of 2007-2008
    by Alberto Manconi & Massimo Massa & Ayako Yasuda

  • 2010 Stronger Risk Controls, Lower Risk: Evidence from U.S. Bank Holding Companies
    by Andrew Ellul & Vijay Yerramilli

  • 2010 Financial Connections and Systemic Risk
    by Franklin Allen & Ana Babus & Elena Carletti

  • 2010 Yesterday's Heroes: Compensation and Creative Risk-Taking
    by Ing-Haw Cheng & Harrison Hong & Jose A. Scheinkman

  • 2010 Off the Cliff and Back? Credit Conditions and International Trade during the Global Financial Crisis
    by Davin Chor & Kalina Manova

  • 2010 Self-Fulfilling Risk Panics
    by Philippe Bacchetta & Cédric Tille & Eric van Wincoop

  • 2010 Managing Markets for Toxic Assets
    by Christopher L. House & Yusufcan Masatlioglu

  • 2010 Uncertainty about Government Policy and Stock Prices
    by Lubos Pastor & Pietro Veronesi

  • 2010 Adverse Selection, Reputation and Sudden Collapses in Secondary Loan Markets
    by V.V. Chari & Ali Shourideh & Ariel Zetlin-Jones

  • 2010 Neglected Risks, Financial Innovation, and Financial Fragility
    by Nicola Gennaioli & Andrei Shleifer & Robert W. Vishny

  • 2010 Chasing Noise
    by Brock Mendel & Andrei Shleifer

  • 2010 Global shocks, economic growth and financial crises: 120 years of New Zealand experience
    by Michael D. Bordo & David Hargreaves & Mizuho Kida

  • 2010 Global Banks and International Shock Transmission: Evidence from the Crisis
    by Nicola Cetorelli & Linda S. Goldberg

  • 2010 An Autopsy of the U.S. Financial System
    by Ross Levine

  • 2010 Excessive Volatility in Capital Flows: A Pigouvian Taxation Approach
    by Olivier Jeanne & Anton Korinek

  • 2010 Balance Sheet Adjustments in the 2008 Crisis
    by Zhiguo He & In Gu Khang & Arvind Krishnamurthy

  • 2010 Household Leverage and the Recession of 2007 to 2009
    by Atif R. Mian & Amir Sufi

  • 2010 How University Endowments Respond to Financial Market Shocks: Evidence and Implications
    by Jeffrey Brown & Stephen G. Dimmock & Jun-Koo Kang & Scott Weisbenner

  • 2010 Modeling Financial Contagion Using Mutually Exciting Jump Processes
    by Yacine Aït-Sahalia & Julio Cacho-Diaz & Roger J.A. Laeven

  • 2010 The economic crisis and medical care usage
    by Annamaria Lusardi & Daniel J. Schneider & Peter Tufano

  • 2010 Market Response to Policy Initiatives during the Global Financial Crisis
    by Yacine Aït-Sahalia & Jochen Andritzky & Andreas Jobst & Sylwia Nowak & Natalia Tamirisa

  • 2010 Stressed not Frozen: The Fed Funds Market in the Financial Crisis
    by Gara Afonso & Anna Kovner & Antoinette Schoar

  • 2010 Questions and Answers about the Financial Crisis
    by Gary B. Gorton

  • 2010 Optimal Interventions in Markets with Adverse Selection
    by Thomas Philippon & Vasiliki Skreta

  • 2010 Capital Flows, Consumption Booms and Asset Bubbles: A Behavioural Alternative to the Savings Glut Hypothesis
    by David Laibson & Johanna Mollerstrom

  • 2010 Securitization without risk transfer
    by Viral V. Acharya & Philipp Schnabl & Gustavo Suarez

  • 2010 Bankruptcy and the Collateral Channel
    by Efraim Benmelech & Nittai K. Bergman

  • 2010 Rollover Risk and Credit Risk
    by Zhiguo He & Wei Xiong

  • 2010 The "Other" Imbalance and the Financial Crisis
    by Ricardo J. Caballero

  • 2010 Danger on the Exchange: How Counterparty Risk Was Managed on the Paris Bourse in the Nineteenth Century
    by Angelo Riva & Eugene N. White

  • 2010 What determines euro area bank CDS spreads ?
    by Jan Annaert & Marc De Ceuster & Patrick Van Roy & Cristina Vespro

  • 2010 What determines euro area bank CDS spreads ?
    by Jan Annaert & Marc De Ceuster & Patrick Van Roy & Cristina Vespro

  • 2010 What determines euro area bank CDS spreads ?
    by Jan Annaert & Marc De Ceuster & Patrick Van Roy & Cristina Vespro

  • 2010 What determines euro area bank CDS spreads ?
    by Jan Annaert & Marc De Ceuster & Patrick Van Roy & Cristina Vespro

  • 2010 Self-fulfilling liquidity dry-ups
    by Frédéric Malherbe

  • 2010 Self-fulfilling liquidity dry-ups
    by Frédéric Malherbe

  • 2010 Self-fulfilling liquidity dry-ups
    by Frédéric Malherbe

  • 2010 Self-fulfilling liquidity dry-ups
    by Frédéric Malherbe

  • 2010 Market efficiencies and market risks
    by Pierre-André Maugis

  • 2010 Credit and recessions
    by Fabrizio Coricelli & Isabelle Roland

  • 2010 On the Existence and Prevention of Asset Price Bubbles
    by Hendrik Hakenes & Zeno Enders

  • 2010 Capital Regulation after the Crisis: Business as Usual?
    by Martin Hellwig

  • 2010 Politica monetaria, finanza strutturata e mercati finanziari
    by Giorgio PIZZUTTO

  • 2010 Crisi finanziaria in corso e insegnamenti che si possono trarre
    by Arnaldo MAURI & Claudia Gabriela BAICU

  • 2010 Le istituzioni finanziarie della Romania nel periodo infrabellico (Financial institutions in interwar Romania)
    by Arnaldo MAURI & Claudia Gabriela BAICU

  • 2010 Verbreitung der Riester-Rente - Hat die Finanz- und Wirtschaftskrise Spuren hinterlassen?
    by Gasche, Martin & Ziegelmeyer, Michael

  • 2010 Zur Sinnhaftigkeit der Riester-Rente
    by Börsch-Supan, Axel & Gasche, Martin

  • 2010 Structured Finance Influence on Financial Market Stability – Evaluation of Current Regulatory Developments
    by Sebastian A. Schuetz

  • 2010 The Appeal of Risky Assets
    by Stolper, Anno

  • 2010 Detecting Ponzi Finance: An Evolutionary Approach to the Measure of Financial Fragility
    by Eric Tymoigne

  • 2010 Self-Fulfilling Risk Panics
    by Philippe Bacchetta & Cédric Tille & Eric van Wincoop

  • 2010 Microfinance and Poverty -A Macro Perspective
    by Katsushi S. Imai & Raghav Gaiha & Ganesh Thapa & Samuel Kobina Annim

  • 2010 Zur Finanzmarktkrise: Die Rolle der Immobilienbewertung
    by Oliver Arentz & Johann Eekhoff & Christine Arentz

  • 2010 Systemic risk in a network model of interbank markets with central bank activity
    by Co-Pierre Georg & Jenny Poschmann

  • 2010 The Great Recession of 2008-2009: Causes, Consequences and Policy Responses
    by Verick, Sher & Islam, Iyanatul

  • 2010 The Great Recession of 2008-2009: Causes, Consequences and Policy Responses
    by Verick, Sher & Islam, Iyanatul

  • 2010 Banks’ Great Bailout of 2008-2009
    by Michele Fratianni & Francesco Marchionne

  • 2010 Executive Pay Regulation: What Regulators, Shareholders, and Managers Can Learn from Major Sports Leagues
    by Helmut Dietl & Tobias Duschl & Markus Lang

  • 2010 Contagion in Banking Crises: A Spatial Probit Model
    by Andrea Amaral & Margarida Abreu & Victor Mendes

  • 2010 Doing R&D or not, that is the question (in a crisis…)
    by Michele Cincera & Claudio Cozza & Alexander Tübke & Peter Voigt

  • 2010 Financial Regulation Going Forward
    by Franklin Allen & Elena Carletti

  • 2010 Global Funding Liquidity, Equity Returns and Crash Risk: Implications for Monetary Policy
    by Aidan Corcoran

  • 2010 Excessive Volatility in Capital Flows: A Pigouvian Taxation Approach
    by Olivier Jeanne & Anton Korinek

  • 2010 Elementos de sostenibilidad fiscal en países ricos en hidrocarburos: El caso de Bolivia
    by Omar Zambrano & Gabriela Aguilera-Lizarazu

  • 2010 Financial Integration and Foreign Banks in Latin America: How Do They Impact the Transmission of External Financial Shocks?
    by Arturo Galindo & Alejandro Izquierdo & Liliana Rojas-Suárez

  • 2010 The Central Bank as Crisis-Manager in Croatia – A Counterfactual Analysis
    by Tomislav Galac

  • 2010 The effect of the interbank network structure on contagion and financial stability
    by Co-Pierre Georg

  • 2010 Dynamic Correlation Analysis of Financial Spillover to Asian and Latin American Markets in Global Financial Turmoil
    by Matthew S. Yiu & Wai-Yip Alex Ho & Lu Jin

  • 2010 Measuring the Stability of a Dynamic System: The Case of the Stock Market Turmoil 2007-2008
    by Bask, Mikael & Widerberg, Anna

  • 2010 Asymmetric Dependence in US Financial Risk Factors?
    by Chollete, Loran & Ning, Cathy

  • 2010 Identifying VARs through Heterogeneity: An Application to Bank Runs
    by De Graeve, Ferre & Karas, Alexei

  • 2010 The CFO’s Information Challenge in Managing Macroeconomic Risk
    by Oxelheim, Lars & Wihlborg, Clas & Thorsheim, Marcus

  • 2010 Why does Bad News Increase Volatility and Decrease Leverage?
    by Ana Fostel & John Geanakoplos

  • 2010 The EMU sovereign-debt crisis: Fundamentals, expectations and contagion
    by Michael G. Arghyrou & Alexandros Kontonikas

  • 2010 Testing for “contagion” of the subprime crisis on the Middle East and North African stock markets : A Markov Switching EGARCH approach
    by Wajih Khallouli & Modibo René Sandretto

  • 2010 Monetary Policy in the Crisis Period
    by Pavel Trunin

  • 2010 Government Intervention and the CDS Market: A Look at the Market's Response to Policy Announcements During the 2007-2009 Financial Crisis
    by Caitlin Ann Greatrex & Erick W. Rengifo

  • 2010 Disentangling Systematic and Idiosyncratic Risk for Large Panels of Assets
    by Matteo Barigozzi & Christian T. Brownlees & Giampiero M. Gallo & David Veredas

  • 2010 Mean-Variance & Mean-VaR Portfolio Selection: A Simulation Based Comparison in the Czech Crisis Environment
    by Radovan Parrák & Jakub Seidler

  • 2010 Main Flaws of The Collateralized Debt Obligation‘s: Valuation Before And During The 2008/2009 Global Turmoil
    by Petra Benešová & Petr Teply

  • 2010 Bank Bail-Outs, International Linkages and Cooperation
    by Friederike Niepmann & Tim Schmidt-Eisenlohr

  • 2010 Proliferation of risk and policy responses in the EU financial markets
    by Lucjan T. Orlowski

  • 2010 Market concentration and the likelihood of financial crises
    by Lucas Bretschger & Vivien Kappel

  • 2010 Notas sobre la primera crisis global del siglo XXI
    by Alejandro Villagómez

  • 2010 Política fiscal contracíclica en México durante la crisis reciente: Un análisis preliminar
    by Alejandro Villagómez & Luis Navarro

  • 2010 Financial Contagion and the Real Economy
    by Dirk G. Baur

  • 2010 The Mortgage Financial Crises: The Role of Credit Risk Management and Corporate Governance
    by Lang, William W. & Jagtiani, Julapa

  • 2010 Policy Perspectives on OTC Derivatives Market Infrastructure
    by Duffie, Darrell & Li, Ada & Lubke, Theo

  • 2010 International and Regional Cooperation : Asia's Role and Responsibilities
    by Peter Drysdale & Shiro Armstrong

  • 2010 Asia’s Post-Global Financial Crisis Adjustment : A Model-Based Dynamic Scenario Analysis
    by Masahiro Kawai & Fan Zhai

  • 2010 Financial Development : A Broader Perspective
    by Richard Reid

  • 2010 The Role of the State in Managing and Forestalling Systemic Financial Crises : Some Issues and Perspectives
    by Charles Adams

  • 2010 Asia’s Post-Global Financial Crisis Adjustment : A Model-Based Dynamic Scenario Analysis
    by Masahiro Kawai & Fan Zhai

  • 2010 The Euro After Its First Decade : Weathering the Financial Storm and Enlarging the Euro Area
    by Klaus Regling & Servaas Deroose & Reinhard Felke & Paul Kutos

  • 2010 Asia’s Post-Global Financial Crisis Adjustment : A Model-Based Dynamic Scenario Analysis
    by Masahiro Kawai & Fan Zhai

  • 2010 Financial Development : A Broader Perspective
    by Richard Reid

  • 2010 Financial Development : A Broader Perspective
    by Richard Reid

  • 2010 Political Economy of the Financial Crises in Japan & the United States : A Comparative Study on the Bailout of Financial Institutions
    by Hirofumi Takinami

  • 2010 Asia’s Post-Global Financial Crisis Adjustment : A Model-Based Dynamic Scenario Analysis
    by Masahiro Kawai & Fan Zhai

  • 2010 Regulating Systemic Risk
    by Masahiro Kawai & Michael Pomerleano

  • 2010 The Role of State Intervention in the Financial Sector : Crisis Prevention, Containment, and Resolution
    by Yoon Je Cho

  • 2010 Securitized Products, Financial Regulation, and Systemic Risk
    by Mariko Fujii

  • 2010 Why India choked when Lehman broke
    by Ila Patnaik & Ajay Shah

  • 2010 Financial Crisis, Trade Finance, and SMEs : Case of Central Asia
    by Gloria O. Pasadilla

  • 2010 The Financial Crisis and the Regulation of Credit Rating Agencies : A European Banking Perspective
    by Siegfried Utzig

  • 2010 Financial Development : A Broader Perspective
    by Richard Reid

  • 2010 Financial safety nets, bailouts and moral hazard
    by Jaime Hurtubia Torres & Claudio Sardoni

  • 2010 Case Study of Three German Banks Stuck in the Subprime Crisis
    by Peixin Zhang

  • 2010 Global Financial Crisis, Extreme Interdependences, and Contagion E§ects: The Role of Economic Structure
    by Riadh Aloui & Mohamed Safouane Ben Aissa & Khuong Nguyen Duc

  • 2010 Do Financial Markets Expect Bank Defaults to be Contagious?
    by Mark Mink

  • 2010 Monetary Policy and Excessive Bank Risk Taking
    by Itai Agur & Maria Demertzis

  • 2010 The Private Credit Insurance Effect on Trade
    by Koen van der Veer

  • 2010 Why the micro-prudential regulation fails? The impact on systemic risk by imposing a capital requirement
    by Chen Zhou

  • 2010 Financial Fragility and Currency Crisis: a Macrodynamical Revisitation of the Argentina’s Experience
    by Bernardo Maggi & Eleonora Cavallaro & Marcella Mulino

  • 2010 A Double-edged Sword: High Interest Rates in Capital-control Regimes
    by Gylfi Zoega

  • 2010 Why Does Bad News Increase Volatility and Decrease Leverage?
    by Ana Fostel & John Geanakoplos

  • 2010 Why Does Bad News Increase Volatility and Decrease Leverage?
    by Ana Fostel & John Geanakoplos

  • 2010 Why Does Bad News Increase Volatility and Decrease Leverage?
    by Ana Fostel & John Geanakoplos

  • 2010 Solving the Present Crisis and Managing the Leverage Cycle
    by John Geanakoplos

  • 2010 Leverage Causes Fat Tails and Clustered Volatility
    by Stefan Thurner & J. Doyne Farmer & John Geanakoplos

  • 2010 Leverage Causes Fat Tails and Clustered Volatility
    by Stefan Thurner & J. Doyne Farmer & John Geanakoplos

  • 2010 Financial crises and financial reforms in Spain : what have we learned?
    by Pons, Ángeles & Martín-Aceña, Pablo & Betrán, Concepción

  • 2010 Systemic risk measures: the simpler the better
    by Peña Sánchez de Rivera, Juan Ignacio & Rodríguez-Moreno, María

  • 2010 Multinational Banking in Europe: Financial Stability and Regulatory Implications. Lessons from the Financial Crisis
    by Giorgio Barba Navaretti & Giacomo Calzolari & Alberto Franco Pozzolo & Micol Levi

  • 2010 What medium-term growth rates after the crisis?
    by P.Y. CABANNES & V. LAPÈGUE & E. POULIQUEN & M. BEFFY & M. GAINI

  • 2010 Transmission of the Financial and Sovereign Debt Crises to the EMU: Stock Prices, CDS Spreads and Exchange Rates
    by Theoharry Grammatikos & Robert Vermeulen

  • 2010 Theoretical Notes on Bubbles and the Current Crisis
    by Martin, Alberto & Ventura, Jaume

  • 2010 Contingent Capital: The Case for COERCs
    by Pennacchi, George G. & Vermaelen, Theo & Wolff, Christian C

  • 2010 Two Monetary Tools: Interest Rates and Haircuts
    by Ashcraft, Adam & Garleanu, Nicolae Bogdan & Pedersen, Lasse Heje

  • 2010 Bank Bailout Menus
    by Bhattacharya, Sudipto & Nyborg, Kjell G

  • 2010 Uncertainty about Government Policy and Stock Prices
    by Pástor, Luboš & Veronesi, Pietro

  • 2010 Banking crises, Output Loss and Fiscal Policy
    by Röger, Werner & Székely, Istvan P. & Turrini, Alessandro Antonio

  • 2010 Is Economic Recovery a Myth? Robust Estimation of Impulse Responses
    by Teulings, Coen N & Zubanov, Nick

  • 2010 Liquidity Hoarding and Interbank Market Spreads: The Role of Counterparty Risk
    by Heider, Florian & Hoerova, Marie & Holthausen, Cornelia

  • 2010 Optimal Interventions in Markets with Adverse Selection
    by Philippon, Thomas & Skreta, Vasiliki

  • 2010 Trading Frenzies and Their Impact on Real Investment
    by Goldstein, Itay & Ozdenoren, Emre & Yuan, Kathy

  • 2010 Linkages between the Financial and the Real Sector of the Economy: A Literature Survey
    by Peter Broer & Jürgen Antony

  • 2010 Four Futures for Finance; A scenario study
    by Michiel Bijlsma & Wouter Elsenburg & Michiel van Leuvensteijn

  • 2010 Systemic risk in the financial sector; a review and synthesis
    by Michiel Bijlsma & Jeroen Klomp & Sijmen Duineveld

  • 2010 Asset Price Regulators, Unite: you have Macroeconomic Stability to Win and the Microeconomic Losses are Second-order
    by G. Menzies & R. Bird & P. Dixon & M. Rimmer

  • 2010 The Economic Costs of US Stock Mispricing
    by G. Menzies & R. Bird & P. Dixon & M. Rimmer

  • 2010 Recurrence quantification analysis of global stock markets
    by Joao A. Bastos & Jorge Caiado

  • 2010 The Credit Default Swap Market and the Settlement of Large Defaults
    by Virginie Coudert & Mathieu Gex

  • 2010 Gold and Financial Assets: Are There Any Safe Havens in Bear Markets?
    by Virginie Coudert & Hélène Raymond

  • 2010 The Effects of the Subprime Crisis on the Latin American Financial Markets: an Empirical Assessment
    by Gilles Dufrénot & Valérie Mignon & Anne Péguin-Feissolle

  • 2010 Risky Mortgages in a DSGE Model
    by Chiara Forlati & Luisa Lambertini

  • 2010 Taming Manias: On the Origins, Inevitability, Prediction and Regulation of Bubbles and Crashes
    by Jeffrey SATINOVER & Didier SORNETTE

  • 2010 Self-Fulfilling Risk Panics
    by Philippe BACCHETTA & Cédric TILLE & Eric VAN WINCOOP

  • 2010 Bank Bailout Menus
    by Sudipto BHATTACHARYA & Kjell G. NYBORG

  • 2010 Risk-taking Incentives, Governance,and Losses in the Financial Crisis
    by Marc CHESNEY & Jacob STROMBERG & Alexander F. WAGNER

  • 2010 The Lehman Brothers Effect and Bankruptcy Cascades
    by Pawel SIECZKA & Didier SORNETTE & Janusz A. HOLYST

  • 2010 Is Economic Recovery a Myth? Robust Estimation of Impulse Responses
    by Coenraad N. Teulings & Nick Zubanov

  • 2010 Were Stocks during the Financial Crisis More Jumpy: A Comparative Study
    by Jan Novotny

  • 2010 The EMU sovereign-debt crisis: Fundamentals, expectations and contagion
    by Arghyrou, Michael G & Kontonikas, Alexandros

  • 2010 The Option Of Last Resort: A Two-Currency Emu
    by Arghyrou, Michael G & Tsoukalas, John D.

  • 2010 Foreign Corporate Ownership and Dividends
    by Chai, D.H.

  • 2010 Social Welfare Issues of Financial Literacy
    by Satchell, S. & Williams, O.J.

  • 2010 European and Global Reform Requirements for Overcoming the Banking Crisis
    by Paul J.J Welfens

  • 2010 Bank Bailouts, International Linkages and Cooperation
    by Friederike Niepmann & Tim Schmidt-Eisenlohr

  • 2010 Credit availability in the crisis: which role for the European Investment Bank Group?
    by A. Fedele & A. Mantovani & F. Liucci

  • 2010 Calibrating the Level of Capital: The Way We See It
    by Ryo Kato & Shun Kobayashi & Yumi Saita

  • 2010 Extracting information from structured credit markets
    by Noss, Joseph

  • 2010 Contagion in financial networks
    by Gai, Prasanna & Kapadia, Sujit

  • 2010 The Roots of the Financial Collapse: Going Way, Way Back
    by Harold Petersen

  • 2010 Resolving the financial crisis: are we heeding the lessons from the Nordics?
    by Claudio Borio & Bent Vale & Goetz von Peter

  • 2010 Sentiment, Convergence of Opinion, and Market Crash
    by Qingwei Wang

  • 2010 Theoretical Notes on Bubbles and the Current Crisis
    by Alberto Martin and Jaume Ventura

  • 2010 Liquidity problems in the FX liquid market: Ask for the "BIL"
    by Borgy, V. & Idier, J. & Le Fol, G.

  • 2010 Policy Perspectives on OTC Derivatives Market Infrastructure
    by Darrell Duffie & Ada Li & Theo Lubke

  • 2010 Credit ratings in structured finance and the role of systemic risk
    by Roberto Violi

  • 2010 Financial innovation and risk: the role of information
    by Roberto Piazza

  • 2010 Lessons learned from the financial crisis for financial stability and banking supervision
    by Alessio De Vincenzo & Maria Alessandra Freni & Andrea Generale & Sergio Nicoletti Altimari & Mario Quagliariello

  • 2010 Countercyclical contingent capital (CCC): possible use and ideal design
    by Giuseppe De Martino & Massimo Libertucci & Mario Marangoni & Mario Quagliariello

  • 2010 The Impact of the Global Economic and Financial Crisis on Central Eastern and SouthEastern Europe (CESEE) and Latin America
    by Sonsoles Gallego & Sándor Gardó & Reiner Martin & Luis Molina & José María Serena

  • 2010 Center and Periphery: the Propagation of the Global Crisis to Latin America
    by Sebastián Katz & Eduardo Corso

  • 2010 Stress testing: The impact of shocks on the capital needs of the Luxembourg banking sector
    by Abdelaziz Rouabah & John Theal

  • 2010 Adverse Selection, Liquidity, and Market Breakdown
    by Koralai Kirabaeva

  • 2010 Understanding Systemic Risk: The Trade-Offs between Capital, Short-Term Funding and Liquid Asset Holdings
    by Céline Gauthier & Zhongfang He & Moez Souissi

  • 2010 Financial Stress, Monetary Policy, and Economic Activity
    by Fuchun Li & Pierre St-Amant

  • 2010 Effects of the Global Financial and Economic Crisis on the Bolivian Economy: A CGE Approach
    by Martin Cicowiez & Carlos Gustavo Machicado

  • 2010 Intertemporal Risk-Return Trade-off in Foreign Exchange Rates
    by Charlotte Christiansen

  • 2010 Weathering the financial storm: The importance of fundamentals and flexibility
    by Thorvardur Tjörvi Ólafsson & Thórarinn G. Pétursson

  • 2010 THE GREAT RECESSION:History, Ideology, Hubris and Nemesis
    by Michael Siam-Heng Heng

  • 2010 VALUATION OF EQUITY SECURITIES:History, Theory and Application
    by Geoffrey Poitras

  • 2010 BANKING AND CAPITAL MARKETS:New International Perspectives
    by

  • 2010 La monnaie unique europeenne et sa relation au developpement economique et social coordonne : une analyse cliometrique. Tome IV : Annexes
    by 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, l'Euro de 2000 a 2050
    by 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 monetaire de l'Europe
    by 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
    by Jourdon, Philippe

  • 2010 Contagion and Spillovers: New Insights from the Crisis
    by Peter Backé & Martin Feldkircher & Ernest Gnan & Mathias Lahnsteiner & Ewald Nowotny & Jürgen Kröger & Stefan Kuhnert & Mary McCarthy & Sebastián Nieto-Parra & Javier Santiso & Stéphane Dees & Filippo di Mauro & Catherine Keppel & Julia Wörz & Már Gudmundsson & Thorsteinn Thorgeirsson & Eugenio Cerutti & Anna Ilyina & Yulia Makarova & Christian Schmieder & Ove Sten Jensen & Claus Johansen & Sonsoles Gallego & Sándor Gardó & Reiner Martin & Luis Molina & José Maria Serena & Violetta Klyviene & Lars Tranberg Rasmussen & Dimitry Sologoub

  • 2010 Financial Development in Mexico between 1975 and 2009
    by Harald Habermann

  • 2010 Transaction taxes and traders with heterogeneous investment horizons in an agent-based financial market model
    by Demary, Markus

  • 2010 Information efficiency and financial stability
    by Caccioli, Fabio & Marsili, Matteo

  • 2010 The Greek Crisis: Causes and Implications
    by Georgios P. Kouretas & Prodromos Vlamis

  • 2010 Euro Crisis
    by Miroslav Prokopijević

  • 2010 Subprime Crisis and Instability of Global Financial Markets
    by Ognjen Radonjić & Miodrag Zec

  • 2010 Neoliberalism: Befall or Respite?
    by Kosta Josifidis & Alpar Lošonc & Novica Supić

  • 2010 Exchange Rate In The New Member States Of The European Union: Developments Within The Global Financial And Economic Crisis
    by Milea, Camelia & Iordache, Floarea

  • 2010 Analysis Of The Long-Term Interest Rate In The New Member States During The Process Of Adopting The Euro
    by Ailinca, Alina

  • 2010 Aspects Of The Exchange Rate Trends In The New Member States Of The European Union
    by Iordache, Floarea IORDACHE & Milea, Camelia & Glod, Alina Georgeta

  • 2010 Impact of the Fiscal Regulations on the Economic Activity of the Economic Actors
    by Mihaila, Nicoleta

  • 2010 Aspects of Labor Market Trends and Social Implications in the European Union (Eu) in the Context of the Current Global Crisis - Case Study on Romania
    by Iordache, Floarea & Milea, Camelia & Glod, Alina Georgeta

  • 2010 Interventionism In The Real Economy (Ii)
    by Dimitriu, Mihail

  • 2010 The Influence Of Transformational Leader Upon Organizational Culture
    by Marcella CORSI & Giulio GUARINI

  • 2010 The Problem Of Money Illusion In Economics
    by Georg ERBER

  • 2010 A Predictive Model for Financial Crises: An Exploratory Public Policy Tool
    by Yap Kok Wei & Yap Su Fei

  • 2010 Las dificultades de financiación de las empresas de participación ante la crisis económica: la creación de una entidad financiera de crédito como alternativa
    by Sonia Martín López & Carlos García-Gutiérrez Fernández & Gustavo Lejarriaga Pérez de las Vacas

  • 2010 A Model of Financial Market Liquidity Based on Intermediary Capital
    by Denis Gromb & Dimitri Vayanos

  • 2010 Joseph Schumpeter Lecture The Great Moderation, The Great Panic, and The Great Contraction
    by Charles Bean

  • 2010 Global Supply Chains and the Great Trade Collapse: Guilty or Casualty?
    by Hubert Escaith

  • 2010 When The Us Sneezes Romania Is Very Ill. Economic Crisis In Romania
    by Viorel MATEI & Laura UNGUREANU

  • 2010 Does The Subprime Crisis Affect Credit Default Swap Markets?
    by Nader NAIFAR

  • 2010 Bubbles And Crashes In Finance: A Phase Transition From Random To Deterministic Behaviour In Prices
    by John FRY

  • 2010 Forecasting The Romanian Financial System Stability Using A Stochastic Simulation Model
    by Albulescu, Claudiu Tiberiu

  • 2010 Evaluating The Financier Banking Risk
    by PÂNZARU, Stelian

  • 2010 The Impact Of The Financial Crisis On The Currency And The Monetary System
    by DEACONU, Petre

  • 2010 The Impact Of The Economic Crisis On The Human Capital
    by PĂRĂLUŢĂ, Nedelea Chira

  • 2010 Useful Crises
    by DOBRESCU, Emilian M. & ŞTEFĂNESCU, Roxana

  • 2010 Best practices for investment risk management
    by Bender, Jennifer & nielsen, frank

  • 2010 Financing for Retirement and the 2007-2009 Unwinding of the Financial Sector
    by Piffaretti, Nadia

  • 2010 Low Wages, Private Indebtedness, and Crisis A Monetary-Theory-of-Production Approach
    by Forges Davanzati, Guglielmo & Tortorella Esposito, Guido

  • 2010 The 2007-2009 Economic and Financial Crisis: An Analysis in Terms of Monetary Circuits
    by Rochon, Louis-Philippe & Rossi, Sergio

  • 2010 Finance, Market, Globalization: Lessons from the 2007-09 Crisis
    by Salvatore Rossi

  • 2010 Pensions under the Recession Burden
    by Radu Serban

  • 2010 La pregunta de los 100 mil millones
    by Andrew G. Haldane

  • 2010 Oil Crisis, Energy-Saving Technological Change and the Stock Market Crash of 1973-74
    by Sami Alpanda & Adrian Peralta-Alva

  • 2010 Estimación de capital por riesgo de precio: Evaluandometodologías para el caso peruano
    by Del Carpio, Carlos & Zevallos, Mauricio

  • 2010 Two Presidents, Two Central Bankers, Two Crises
    by Annamaria Simonazzi

  • 2010 On the Crisis: Back to the Classics!
    by Giorgio Lunghini

  • 2010 Wiedergewinnung von Vertrauen oder Rueckkehr der Vertrauensillusion? Ein Plaedoyer fuer gesundes Misstrauen gegenueber systematischen Tautologien (Regain of Trust or the Return of an Illusion? A Call for Sensible Mistrust in Face of Systemic Tautologies)
    by Christoph Weber-Berg

  • 2010 Politik-sensible CSR-Forschung am Beispiel der Auseinandersetzung um ein europaeisches Rahmenwerk (Political Aspects of CSR Research – Struggling for a European CSR Framework)
    by Bernhard Ungericht & Christian Hirt

  • 2010 Kapitalmarktinformationen: Ihre dienende Rolle fuer eine nachhaltige Entwicklung. Eine Analyse der Aufgaben des Finanzmarktes in ethischer Perspektive (Information about the Money Market: Their Serving Role for Sustainable De-velopment – An Analysis of the Tasks of the Financial Market from the Ethic Point of View)
    by Joerg Huebner

  • 2010 Kritische Finanzethik (Critical Financial Ethics)
    by Uwe Demele

  • 2010 The Psichology Behind The Economic Crisis
    by Amalia PANDELICA & Ionut PANDELICA

  • 2010 Reforming financial systems after the crisis: a comparison of EU and USA
    by Rainer Masera

  • 2010 Confronting the financial crisis: surveillance and regulation
    by Alessandro Roncaglia

  • 2010 The Banking Bailout of the Subprime Crisis: Size and Effects
    by Michele Fratianni & Francesco Marchionne

  • 2010 Economic policy dilemmas in front of the crisis
    by Alessandro Roncaglia

  • 2010 Can a return to Glass-Steagall provide financial stability in the US financial system?
    by Jan Kregel

  • 2010 Global imbalances: a gathering storm
    by Ugo Sacchetti

  • 2010 La crisi: aspetti economici e sociali
    by Alberto Quadrio Curzio

  • 2010 Inefficienze finanziarie recenti
    by Aldo Montesano

  • 2010 Modelli formali della crisi
    by Giancarlo Gandolfo

  • 2010 Dalla crisi finanziaria alla crisi reale
    by Carlo D'Adda

  • 2010 Il dollaro: ieri, oggi e domani
    by Charles P. Kindleberger

  • 2010 Kindleberger e l'instabilitˆ
    by Pierluigi Ciocca

  • 2010 Le origini culturali della crisi
    by Alessandro Roncaglia

  • 2010 Introduzione
    by Alessandro Roncaglia

  • 2010 Integrácia akciových trhov: DCC MV-GARCH model
    by Eduard Baumöhl & Mária Farkašovská & Tomáš Výrost

  • 2010 Credit Crisis in View of Return on Loan
    by Luboš Smrčka

  • 2010 Risk Management Response of the Insurance Companies to the Financial Crisis
    by Štěpán Onder

  • 2010 Financial Crisis and Its Impacts on the Stock Market
    by Michaela Otýpková

  • 2010 Response To a Global Economic Crisis - Impacts on Private Sector
    by Nina Čevorová & Martin Drotár & Mojmír Spálovský & Peter Straňák

  • 2010 The Management Of A Portfolio In The Conditions Of Economic Crisis
    by Ilie Răscolean & Claudia Isac & Robert Szabo

  • 2010 Financial Soundness Indicators
    by Daniela Zapodeanu & Mihail-Ioan Cociuba

  • 2010 Profit Versus Insolvency In Romanian Economy
    by Gabriela Corina Slusariuc & Anca Jarmila Guţă

  • 2010 The Globalization Of The Banking And Financial Crisis On International Level
    by Mirela Catalina Turkes (Vint)

  • 2010 The Impact Of Globalisation On Banking Service Quality In Zimbabwe (2003-2008)
    by Kosmas Njanike

  • 2010 Bankruptcy - A Possible New Start For The Small Business?
    by Laura Giurca Vasilescu & Ana Popa

  • 2010 The IMF governance?!
    by Vancea Diane Paula Corina & Aivaz Kamer

  • 2010 Global Economy under the Current Economic Crisis Effects
    by Voicu Ioana-Iulica & Talmaciu Iuliana

  • 2010 China and the U.S. face the Global Economic Crisis
    by Talmaciu Iuliana & Voicu Ioana-Iulica

  • 2010 Unconventional Monetary Policy Measures and Their Role in Contending the Effects of the Current Global Financial Crisis
    by Roman Angela & Bilan Irina

  • 2010 The Development of Public Services Through Decentralization During the Financial Crisis
    by Bosie Irina

  • 2010 The Effects of the Present Crisis on the Labour Market and on the Banking System in Constanta County
    by Mitac Mirela Claudia

  • 2010 The Accounting Profession – Guilty or Victim During the Current Crisis
    by Mitea Neluta

  • 2010 Managing Crises: Are Lax Fiscal Policies a Worthy Practice?
    by Ionescu Alexandra & Horga Maria Gabriel & Horga Vasile

  • 2010 Effects of the Current Crisis on the Global Economy
    by Haralambie George Alin

  • 2010 The Financial Crisis and the Capital Market
    by Guni Claudia Nicoleta

  • 2010 The Effects of Financial Crisis on the Behaviour of Investors on the Romanian Capital Market
    by Barna Flavia & Danuletiu Dan

  • 2010 Evolution and Perspectives of the Romanian Economy Related to the Economic and Financial Crisis
    by Epure Danut Tiberius & Cusu Dorinela & Nancu Dumitru

  • 2010 The Global Financial Crisis on World Regions
    by Eftene Nicoleta & Stanescu Geanina

  • 2010 American Troubled Assets Relief Program – One of the Most Important Measures Against Actual Crisis
    by Dobre Elena

  • 2010 Global Crises and the Dynamics of IPO Activity
    by Dencic-Mihajlov Ksenija

  • 2010 General Aspects Regarding The Economic And Financial Crisis In Romania
    by Caruntu Constantin & Lapadusi Mihaela Loredana

  • 2010 Managing Operational Risk
    by Stanciu Victoria & Ali Eden & Ivancenco Veronica Constanta

  • 2010 Recent Macroeconomic Developments in the New Member States
    by Murarasu Bogdan

  • 2010 The causes of the 1997 Asian crisis. The start of subprime crisis
    by Mihut Marius

  • 2010 A Rescue Plan for the Finances of Consumer – the Incomes and Expenses
    by Lupasc Ioana & Lupasc Adrian & Zamfir Cristina Gabriela

  • 2010 Assessments Regarding the Economic Development from Ecological Perspective
    by Borza Mioara & Mardiros Daniela-Neonila

  • 2010 The Knowledge Economy – a Chance for a Lasting Economical Growth After the Crisis
    by Belostecinic Grigore

  • 2010 The Impact of the Global Crisis on the Labour Market in Romania
    by Balanescu Madalina

  • 2010 The Role of Investment in Terms of Crisis
    by Sarac Aldea Laura & Mitea Neluta

  • 2010 Implications of the Current Financial Crisis on SME Sector in Romania
    by Roman Angela & Ignatescu Valentina Diana

  • 2010 Evolutions and Implications of the Convergence Indicators in Romania's Crisis Damaged Economy
    by Mihai Rebiga

  • 2010 Some Considerations on the Measures to Counter the Risk of Bankruptcy for Small and Medium Enterprises during the Financial Crisis
    by Professor Doctor Negoescu Gheorghe & Lecturer drd. Radu Riana Iren & Lecturer Doctor Ioana Lupasc

  • 2010 Development Of Liberal Professionals During The Financial Crisis
    by Professor Doctor Negoescu Gheorghe & Lecturer drd. Radu Riana Iren & Lectured Doctor Ioan Viorica

  • 2010 Aspects Regarding the Dispersal of the Financial Crisis within the Banking Systems of the USA and the UK
    by Irena Munteanu

  • 2010 The effects of the Global Crisis on the Loan System
    by Mocanu Nelu

  • 2010 Ethical Banks: An Alternative in the Financial Crisis
    by Mascu Simona

  • 2010 Consequences of financial crisis on ethics in business
    by Holban (Oncioiu) Ionica

  • 2010 Challenges in Estimating Goodwill in Current Financial Crisis
    by Holban (Oncioiu) Ionica

  • 2010 Economic Crises Deepen Country Budget Deficits and Deficits Deepen Economic Crises
    by Göndör Mihaela & Munteanu Anca

  • 2010 From Financial Tradition to Innovation in Contemporary Banking
    by Silvia Ghita Mitrescu & Cristina Duhnea & Oana Nitu

  • 2010 The Impact of the Economic and Financial Global Crisis on Public Indebtedness in Developed Economies
    by Bilan Irina

  • 2010 Financial Crisis 2008 And The Stability Performance Of Eastern European Eu Members And Greece:Challenges For The Stability Of The Euro
    by Alexander Moheit & Dirk Wentzel

  • 2010 Beschäftigungsprobleme Deutschlands Im Zeichen Der Aktuellen Internationalen Wirtschafts Und Finanzmarktkrise
    by Hartmut Löffler

  • 2010 Public Policies And Economic Crises
    by Octavian Jula

  • 2010 Challenges For Banks In Romania In The International Economic Crisis
    by Zapodeanu Daniela & Bolha Sorina Alexandra & Bumb Felicia Maria & Popa Ionut Marius

  • 2010 Liquidity Risk Management In Crisis Conditions
    by Mutu Simona & Matis Eugenia

  • 2010 The Evolution Of The Romanian Economy In The Context Of The International Crisis
    by Hetes Roxana & Miru Oana

  • 2010 The Development And Implications Of The U.S. Subprime Crisis
    by Hetes Roxana & Miru Oana & Crâsneac Alexandru

  • 2010 Monetary Stability Versus Financial Stability In Adjusting The Real Economy
    by Boldea Bogdan & Gheorghe Roxana-Maria & Ivanovici Daniela-Cecilia & Strezariu Iulia Ana-Maria

  • 2010 Impact Of Financial Crisis On Construction Firm`S Cost Of Capital
    by Nistor Ioan & Ulici (Ciupac-Ulici) Maria & Schiau (Macavei) Laura Liana

  • 2010 A Framework For The Treatment Of Financial Contagion Effects In The Context Of The Actual European Turbulences
    by Prelipcean Gabriela & Boscoianu Mircea

  • 2010 New International Financial Regulation: Necessity Or Required By Crisis
    by Zapodeanu Daniela & Cociuba Mihail Ioan & Cojocari Anatol & Marian Dan Sebastian

  • 2010 The Correlation Between The Market Risk And The Liquidity Risk In The Romanian Banking Sector
    by Trenca Ioan & Zoicas-Ienciu Adrian

  • 2010 Considerations On The Measures To Counter The Risk Of Bankruptcy For Smes During The Financial Crisis
    by NEGOESCU GHEORGHE & LUKACS EDIT

  • 2010 Chaos Or Turbulence On The Volatility Of Public Revenues
    by Bolos Marcel & Mosteanu Tatiana & Popovici Ioana

  • 2010 Bank Recapitalization and Restructuring: An Economic Analysis of Various Options
    by Helmut Elsinger & Martin Summer

  • 2010 Euro Survey of Spring 2010: Sovereign Debt Crisis Left Traces in CESEE Households' Sentiment, Foreign Currency Portfolios Broadly Unchanged
    by Sandra Dvorsky & Thomas Scheiber & Helmut Stix

  • 2010 Real Effects of Crisis Have Reached CESEE Households: Euro Survey Shows Dampened Savings and Changes in Borrowing Behavior
    by Sandra Dvorsky & Thomas Scheiber & Helmut Stix

  • 2010 How Did the Global Financial Crisis Affect the CESEE Region and Latin America? – A Comparative Analysis
    by Peter Backé & Sonsoles Gallego & Sándor Gardó & Reiner Martin & Luis Molina & José Maria Serena

  • 2010 Bank Governance and Financial Stability in CESEE: A Review of the Literature
    by Sándor Gardó

  • 2010 Criticizing the critique. Some methodological insights into the debate on the state of economic theory in the face of the post 2008 crisis
    by Łukasz Hardt

  • 2010 The Belgian deposit guarantee scheme in a European perspective
    by Ch. Van Nieuwenhuyze & M. D. Zachary

  • 2010 The Belgian deposit guarantee scheme in a European perspective
    by Ch. Van Nieuwenhuyze & M. D. Zachary

  • 2010 Carry trade
    by Kornél Kisgergely

  • 2010 International experiences of banking crises: management tools and macroeconomic consequences
    by Dániel Felcser & Gyöngyi Körmendi

  • 2010 The role of foreign currency lending in the impact of the exchange rate on the real economy
    by Judit Krekó & Marianna Endrész

  • 2010 A válság hatása a magyarországi bankversenyre
    by Várhegyi, Éva

  • 2010 Az aranykor vége Magyarországon. "Külföldi" és "lokális" bankok - válság előtt és válság után
    by Király, Júlia & Nagy, Márton & Banai, Ádám

  • 2010 Küresel Finansal Krizin Isletmelerin Etkinlik ve Performans Duzeylerine Etkileri: 2008 Finansal Kriz Ornegi
    by Abdulkadir KAYA & Unal GULHAN

  • 2010 The Effects of Bank Capital on Lending: What Do We Know, and What Does It Mean?
    by Douglas Gale

  • 2010 The Effects of Bank Capital on Lending: What Do We Know, and What Does It Mean?
    by Jose M. Berrospide & Rochelle M. Edge

  • 2010 It’s Broke, Let’s Fix It: Rethinking Financial Regulation
    by Alan S. Blinder

  • 2010 The Cyclical Behaviour of Global Economic Crises and Their Strenght
    by Simona Moagar Poladian

  • 2010 Credit Risk Models: An Analysis Of Default Correlation
    by Howard Qi & Yan Alice Xie & Sheen Liu

  • 2010 Evidence On Hedge Ratios Changes Around The Subprime Mortgage Crisis
    by Wei-Hsi Hsu & Yung-Shi Liau & Jack J.W. Yang

  • 2010 Did Fasb 157 Cause The Financial Crisis?
    by Peter Harris & Paul R. Kutasovic

  • 2010 Investigating The Darps Market Meltdown Through An Investments Project
    by Lynda S. Livingston & Amy R. Kast & Kyle M. Benson

  • 2010 A Historical Perspective On Dutch Auction Rate Preferred Stock
    by Lynda S. Livingston

  • 2010 Aşırı Birikim - Finansallaşma İlişkisinin 2008 Krizi Bağlamında Analizi
    by Mustafa DURMUŞ

  • 2010 Kriz Ve Para Politikaları: Para Politikalarının Başarısızlığı Üzerine
    by Erkan TOKUCU

  • 2010 The Linguistic Representation of financial crisis. 'The New York Times Online,' 2008-2009
    by Haase, Fee-Alexandra

  • 2010 Gobernanza y crisis del neoliberalismo
    by Angulo Sánchez, Nicolás

  • 2010 Financial Crisis and Accounting Information: The Need for Corporate Social Responsibility in Accounting Profession
    by Monica Violeta Achim & Nicolae Sorin Borlea & Ludovica Breban

  • 2010 A New Strategy for Europe and New Economic Opportunities for Greece and the East European Countries
    by Amalia Venera Todorut & Liliana Constantinescu

  • 2010 Rješavanje problematike deficita i dugova u kriznom periodu
    by Dušan Zbašnik

  • 2010 Financial Shortages Patterns - an Overview on Emerging Economies
    by Ioana-Veronica ALEXA & Gabriel-Iulian DAJBOG

  • 2010 Análisis de volatilidad y correlación entre Estados Unidos y Asia
    by Natàlia Valls Ruiz & Helena Chuliá Soler

  • 2010 Containing Systemic Risk: Paradigm-Based Perspectives on Regulatory Reform
    by Augusto de la Torre & Alain Ize

  • 2010 Ventas en Corto: discusión regulatoria y propuesta para Colombia
    by Ana Maria Prieto

  • 2010 Mejorando la protección al inversionista y la regulación del mercado de valores
    by John C. Coffee, Jr.

  • 2010 Un Modelo de alerta temprana para el sistema financiero colombiano
    by José Eduardo Gómez-González & Inés Paola Orozco Hinojosa

  • 2010 Sovereign Wealth Funds as Domestic Investors of Last Resort During Crises
    by Hélène Raymond

  • 2010 The Credit Default Swap Market and the Settlement of Large Defaults
    by Virginie Coudert & Mathieu Gex

  • 2010 A Systemic Approach to Financial Regulation: a European Perspective
    by Michel Aglietta & Laurence Scialom

  • 2010 Financial Regulation in the Crisis Regulation, Market Discipline, Internal Control: the Big Three in Turmoil
    by Jezabel Couppey-Soubeyran

  • 2010 On-Going Issues on the Global Financial Crisis. Introduction
    by Virginie Coudert & Hélène Raymond & Laurence Scialom

  • 2010 Rescuing Europe
    by Hans-Werner Sinn

  • 2010 Keynote Adress by Jean-Claude Trichet
    by Jean-Claude Trichet

  • 2010 Banking Regulation by Axel Weber
    by Axel Weber

  • 2010 Keynote Adress by Horst Köhler
    by Horst Köhler

  • 2010 Managing the Crisis by Manfred J.M. Neumann
    by Manfred J.M. Neumann

  • 2010 Managing the Crisis: Keynote Adress by Valdis Dombrovskis
    by Valdis Dombrovskis

  • 2010 Globalization and the Crisis by Barry Eichengreen
    by Barry Eichengreen

  • 2010 Introduction by Hans-Werner Sinn
    by Hans-Werner Sinn

  • 2010 Macro-Prudential Policy: An Assessment
    by Alistair Milne

  • 2010 Warding Off Financial Market Failure: How to Avoid Squeezed Margins and Bad Haircuts
    by David Longworth

  • 2010 Financial stability requires macroeconomic foundations of macroeconomics
    by Sergio Rossi

  • 2010 Options for meeting the demand for international liquidity during financial crises
    by Richhild Moessner & William A Allen

  • 2010 European banks' US dollar funding pressures
    by Ingo Fender & Patrick McGuire

  • 2010 Exchange rates during financial crises
    by Marion Kohler

  • 2010 Can policy improve liquidity during a financial crisis?
    by Ivo Karilaid & Tõnn Talpsepp

  • 2010 Housing markets after the crisis: lessons for the macroeconomy
    by de Bandt, O. & Ferrara, F. & Vigna, O.

  • 2010 Les marchés immobiliers après la crise : quelles leçons pour la macroéconomie ?
    by De BANDT, O. & FERRARA, L. & VIGNA, O.

  • 2010 The Economic Crisis And The Insurance Industry: The Evidence From The Ex-Yugoslavia Region
    by Vladimir Njegomir & Boris Marović & Rado Maksimović

  • 2010 Un modelo de alerta temprana para el sistema financiero colombiano
    by José Eduardo Gómez González & Ines Paola Orozco Hinojosa

  • 2010 Banking Crises and Early Warning Systems: A Model Suggestion for Turkish Banking Sector
    by K. Batu Tunay

  • 2010 A Second Stage of the Crisis Characterized by Uncertainty
    by Jorge Carrera & Federico Grillo

  • 2010 Crisis – Time For Purification And Change
    by ŠÁRKA BRYCHTOVÁ

  • 2010 Banking Crises’ Triggering Factors – Lessons from Past Experience
    by Iustina Alina BOITAN & Nicolae DARDAC

  • 2010 Global Financial Crisis and Turkey: Effects and Suggestions
    by Meltem Ince

  • 2010 Reputational crisis management: a proposal
    by A cura del Gruppo di Lavoro ABI sulla Funzione Compliance

  • 2010 Compensation systems in the banking industry: new trends in a stakeholder perspective
    by Marco Di Antonio & Daniele Previati

  • 2010 Opportunities, risks and trends of Italian banks in Europe: a recent survey
    by Francesco Masala & Matteo Ramenghi

  • 2010 New banking regulation and tax issues: the consequences for Italy
    by Laura Zaccaria

  • 2010 The reorganization of banking business after the crisis
    by Corrado Faissola & Marco Onado & Luigi Prosperetti & Giancarlo Durante & Roberto Pessi

  • 2010 Bank’s internal control systems: evolution or decline
    by Marco Di Antonio

  • 2010 Structural adjustment and human resources in large European banks
    by Giancarlo Durante & Luigi Prosperetti

  • 2010 The questions arising from the enforcement of Basel 2
    by Corrado Faissola

  • 2010 Ethics failure, beyond the crisis
    by Stefano Gatti & Claudio Scardovi

  • 2010 Cross-border financial groups and supervision in Europe after the crisis
    by Elisabetta Gualandri & Simonetta Cotterli

  • 2010 Theories about the financial crises
    by Irina-Raluca Busuioc-Witowschi

  • 2010