Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G28: Government Policy and Regulation
2022
- Browning, Lynnley, 2022, "Lessons Learned: Tim Clark," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 195-197, April.
- Lieber, Matthew, 2022, "Lessons Learned: Kieran J. Fallon," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 198-201, April.
- Sim Esmen, Yasemin, 2022, "Lessons Learned: Steven B. Kamin," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 202-204, April.
- Lieber, Matthew, 2022, "Lessons Learned: Susan McLaughlin," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 205-208, April.
- Lieber, Matthew, 2022, "Lessons Learned: Frederic Mishkin," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 209-211, April.
- Haggerty, Maryann, 2022, "Lessons Learned: Simon Potter," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 212-215, April.
- Ward, Sandra, 2022, "Lessons Learned: Brian Sack," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 216-218, April.
- Wiggins, Rosalind, 2022, "Lessons Learned: Nathan Sheets," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 219-221, April.
- Ward, Sandra, 2022, "Lessons Learned: Christopher Spoth," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 222-223, April.
- Lieber, Matthew, 2022, "Lessons Learned: Kevin Warsh," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 224-227, April.
- Zdzienicka, Aleksandra, 2022, "Managing External Volatility: Policy Frameworks in Non-Reserve-Issuing Economies," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 60-98, April.
- Sanchez Serrano, Antonio, 2022, "From Lost Turnover to Nonperforming Loans: The Impact of the COVID-19 Pandemic on the Economy and on the Financial System," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 3, pages 99-164, April.
- Conti-Brown, Peter, 2022, "The Federal Reserve System: Diversity and Governance," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 1-46, April.
- Metrick, Andrew, 2022, "Blanket Guarantees Survey," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 103-132, April.
- Metrick, Andrew, 2022, "Reserve Requirements Survey," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 133-149, April.
- Hoffner, Benjamin, 2022, "Denmark: General Guarantee Scheme, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 150-166, April.
- Decker, Bailey, 2022, "Ecuador: Blanket Guarantee, 1998," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 167-187, April.
- Makhija, Anmol, 2022, "Finland: Government Guarantee Fund, Blanket Guarantee, 1992," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 188-200, April.
- George, Ayodeji, 2022, "Indonesia: Blanket Guarantee, 1998," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 201-213, April.
- Schaefer-Brown, Stella, 2022, "Ireland: Credit Institution (Financial Support) Scheme, 2008," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 214-231, April.
- George, Ayodeji, 2022, "Jamaica: FINSAC Blanket Guarantee, 1997," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 232-244, April.
- Decker, Bailey, 2022, "Korea: Blanket Guarantee, 1997," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 245-272, April.
- Schaefer-Brown, Stella, 2022, "Mexico: FOBAPROA Blanket Guarantee, 1993-1994," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 273-284, April.
- Makhija, Anmol, 2022, "Sweden: Bank Support Authority, Blanket Guarantee, 1992," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 285-299, April.
- George, Ayodeji, 2022, "Thailand: FIDF Blanket Guarantee, 1997," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 300-317, April.
- Leonard, Natalie, 2022, "Argentina: Reserve Requirements, 1994-1995," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 318-337, April.
- Fulmer, Sean, 2022, "Brazil: Reserve Requirements, GFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 338-361, April.
- Mott, Carey, 2022, "China: Reserve Requirements, GFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 362-392, April.
- Mott, Carey, 2022, "China: Reserve Requirements, 2015-2016," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 393-428, April.
- Decker, Bailey, 2022, "Colombia: Reserve Requirements, GFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 429-441, April.
- Hoffner, Benjamin, 2022, "Czech Republic: Reserve Requirements, 1997," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 442-455, April.
- Mott, Carey, 2022, "India: Reserve Requirements, GFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 456-478, April.
- Klein, Aaron, 2022, "The Financialization of Recession Response," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 47-76, April.
- Runkel, Corey, 2022, "Jamaica: Reserve Requirements, GFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 479-493, April.
- Decker, Bailey, 2022, "Malaysia: Reserve Requirements, AFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 494-512, April.
- Decker, Bailey, 2022, "Peru: Reserve Requirements, GFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 513-533, April.
- Hoffner, Benjamin, 2022, "Russia: Reserve Requirements, 1998," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 534-558, April.
- Hoffner, Benjamin, 2022, "Russia: Reserve Requirements, GFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 559-575, April.
- Runkel, Corey, 2022, "Thailand: Reserve Requirements, AFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 576-595, April.
- Runkel, Corey, 2022, "Venezuela: Reserve Requirements, GFC," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 596-612, April.
- Cardona, Mercedes, 2022, "Lessons Learned: Andrew Gray," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 613-616, April.
- Haggerty, Maryann, 2022, "Lessons Learned: Patrick Honohan," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 617-621, April.
- Sim Esmen, Yasemin, 2022, "Lessons Learned: Mike Leahy," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 622-625, April.
- Haggerty, Maryann, 2022, "Lessons Learned: Hiroshi Nakaso," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 626-629, April.
- Cardona, Mercedes, 2022, "Lessons Learned: Deborah Perelmuter," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 630-632, April.
- Cardona, Mercedes, 2022, "Lessons Learned: Claudia Sahm," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 633-636, April.
- Haggerty, Maryann, 2022, "Lessons Learned: Veerathai Santiprabhob," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 637-639, April.
- Cardona, Mercedes, 2022, "Lessons Learned: Erik Sirri," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 640-642, April.
- Cardona, Mercedes, 2022, "Lessons Learned: Kevin Stiroh," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 643-645, April.
- Ward, Sandra, 2022, "Lessons Learned: Gaurav Vasisht," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 646-648, April.
- Lanari, Edoardo, 2022, "Fire Sales, the LOLR, and Bank Runs with Continuous Asset Liquidity," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), volume 4, issue 4, pages 77-102, April.
- Haavio, Markus & Ripatti, Antti & Takalo, Tuomas, 2022, "Public funding of banks and firms in a time of crisis," Bank of Finland Research Discussion Papers, Bank of Finland, number 8/2022.
- Hoffmann, Mathias & Stewen, Iryna & Stiefel, Michael, 2022, "Growing like Germany: Local public debt, local banks, low private investment," Bank of Finland Research Discussion Papers, Bank of Finland, number 9/2022.
- Juselius, Mikael & Tarashev, Nikola A., 2022, "When uncertainty decouples expected and unexpected losses," Bank of Finland Research Discussion Papers, Bank of Finland, number 4/2022.
- Fricke, Daniel & Greppmair, Stefan & Paludkiewicz, Karol, 2022, "You can't always get what you want (where you want it): Cross-border effects of the US money market fund reform," Discussion Papers, Deutsche Bundesbank, number 03/2022.
- Krüger, Ulrich & Roling, Christoph & Silbermann, Leonid & Wong, Lui Hsian, 2022, "Banks' strategic interaction, adverse price dynamics and systemic liquidity risk," Discussion Papers, Deutsche Bundesbank, number 06/2022.
- Anand, Kartik & Duley, Chanelle & Gai, Prasanna, 2022, "Cybersecurity and financial stability," Discussion Papers, Deutsche Bundesbank, number 08/2022.
- König, Philipp Johann & Mayer, Paul & Pothier, David, 2022, "Optimal timing of policy interventions in troubled banks," Discussion Papers, Deutsche Bundesbank, number 10/2022.
- Kick, Thomas, 2022, "Interest rate shocks, competition and bank liquidity creation," Discussion Papers, Deutsche Bundesbank, number 14/2022.
- Bilan, Andrada & Gündüz, Yalın, 2022, "CDS market structure and bond spreads," Discussion Papers, Deutsche Bundesbank, number 24/2022.
- Drott, Constantin & Goldbach, Stefan & Nitsch, Volker, 2022, "The effects of sanctions on Russian banks in TARGET2 transactions data," Discussion Papers, Deutsche Bundesbank, number 38/2022.
- Baltzer, Markus & Schlepper, Kathi & Speck, Christian, 2022, "The Eurosystem's asset purchase programmes, securities lending and Bund specialness," Discussion Papers, Deutsche Bundesbank, number 39/2022.
- Ahnert, Toni & Anand, Kartik & König, Philipp Johann, 2022, "Real interest rates, bank borrowing, and fragility," Discussion Papers, Deutsche Bundesbank, number 48/2022.
- Geiger, Sebastian, 2022, "Systemic risk buffer and residential real estate loans: The steering effect of sectoral buffer application," Technical Papers, Deutsche Bundesbank, number 04/2022.
- Haselmann, Rainer & Leuz, Christian & Schreiber, Sebastian, 2022, "Know your customer: Informed trading by banks," CFS Working Paper Series, Center for Financial Studies (CFS), number 705, DOI: 10.2139/ssrn.4365175.
- Gersbach, Hans & Zelzner, Sebastian, 2022, "Why bank money creation?," CFS Working Paper Series, Center for Financial Studies (CFS), number 678.
- Köppl-Turyna, Monika & Köppl, Stefan & Christopulos, Dimitris, 2022, "Government-backed venture capital investments and performance of companies: The role of networks," Research Papers, EcoAustria – Institute for Economic Research, number 21.
- Levy, Daniel & Mayer, Tamir & Raviv, Alon, 2022, "Economists in the 2008 Financial Crisis: Slow to See, Fast to Act," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, issue Forthcomi.
- Fabiani, Andrea & López-Piñeros, Martha & Peydró, José-Luis & Soto, Paul E., 2022, "Capital Controls, Domestic Macroprudential Policy and the Bank Lending Channel of Monetary Policy," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, volume 139, issue November , pages 1-1.
- Benchimol, Jonathan & Gamrasni, Inon & Kahn, Michael & Ribon, Sigal & Saadon, Yossi & Ben-Ze’ev, Noam & Segal, Asaf & Shizgal, Yitzchak, 2022, "The interaction between domestic monetary policy and macroprudential policy in Israel," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, volume 112, pages 1-19.
- Muduli, Silu, 2022, "Impact of COVID-19 Packages on MSME Financing in India," EconStor Preprints, ZBW - Leibniz Information Centre for Economics, number 250164.
- Goebel, Josua & Heidorn, Thomas & Huang, Zizhen, 2022, "How the IBOR reform affects interest rate swaps," Frankfurt School - Working Paper Series, Frankfurt School of Finance and Management, number 232.
- Azzutti, Alessio, 2022, "AI-driven Market Manipulation and Limits of the EU law enforcement regime to credible deterrence," ILE Working Paper Series, University of Hamburg, Institute of Law and Economics, number 54.
- Dotta, Vitor, 2022, "Addressing systemic risk in Europe during Covid-19: The role of regulation and the policy mix," IPE Working Papers, Berlin School of Economics and Law, Institute for International Political Economy (IPE), number 181/2022.
- Müller, Carola, 2022, "Capital requirements, market structure, and heterogeneous banks," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 15/2022.
- Kazakov, Aleksandr & Koetter, Michael & Titze, Mirko & Tonzer, Lena, 2022, "Firm subsidies, financial intermediation, and bank risk," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 2/2022.
- Müller, Isabella & Nguyen, Huyen & Nguyen, Trang, 2024, "Carbon transition risk and corporate loan securitization," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 22/2022, revised 2024.
- Kazakov, Aleksandr & Koetter, Michael & Titze, Mirko & Tonzer, Lena, 2024, "The effect of firm subsidies on credit markets," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 24/2022, revised 2024.
- McGowan, Danny & Nguyen, Huyen, 2022, "Zinsaufschlag oder Übertragung durch Verbriefung? Der Umgang mit Risiken im US-Hypothekenmarkt," Wirtschaft im Wandel, Halle Institute for Economic Research (IWH), volume 28, issue 3, pages 49-53.
- Kim, Meeroo, 2022, "The effects of lowering the statutory maximum interest rate on non-bank credit loans," KDI Journal of Economic Policy, Korea Development Institute (KDI), volume 44, issue 3, pages 1-26, DOI: 10.23895/kdijep.2022.44.3.1.
- Ringe, Wolf-Georg, 2022, "Investor-led sustainability in corporate governance," LawFin Working Paper Series, Goethe University, Center for Advanced Studies on the Foundations of Law and Finance (LawFin), number 36.
- Haselmann, Rainer & Kick, Thomas & Singla, Shikhar & Vig, Vikrant, 2022, "Capital regulation, market-making, and liquidity," LawFin Working Paper Series, Goethe University, Center for Advanced Studies on the Foundations of Law and Finance (LawFin), number 44.
- Haselmann, Rainer & Sarkar, Arkodipta & Singla, Shikhar & Vig, Vikrant, 2022, "The political economy of financial regulation," LawFin Working Paper Series, Goethe University, Center for Advanced Studies on the Foundations of Law and Finance (LawFin), number 45.
- Haselmann, Rainer & Singla, Shikhar & Vig, Vikrant, 2022, "Supranational supervision," LawFin Working Paper Series, Goethe University, Center for Advanced Studies on the Foundations of Law and Finance (LawFin), number 46.
- Bischof, Jannis & Haselmann, Rainer & Kohl, Frederik & Schlueter, Oliver, 2022, "Limitations of implementing an expected credit loss model," LawFin Working Paper Series, Goethe University, Center for Advanced Studies on the Foundations of Law and Finance (LawFin), number 48.
- Haselmann, Rainer & Singla, Shikhar & Vig, Vikrant, 2022, "Supranational supervision," LawFin Working Paper Series, Goethe University, Center for Advanced Studies on the Foundations of Law and Finance (LawFin), number 50.
- DeYoung, Robert & Goddard, John & McKillop, Donal G. & Wilson, John O. S., 2022, "Who Consumes the Credit Union Subsidies?," QBS Working Paper Series, Queen's University Belfast, Queen's Business School, number 2022/03, DOI: 10.2139/ssrn.3429208.
- Tröger, Tobias & Kotovskaia, Anastasia, 2022, "National interests and supranational resolution in the European Banking Union," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 340, DOI: 10.2139/ssrn.4024343.
- Fiordelisi, Franco & Fusi, Giulia & Maddaloni, Angela & Marqués Ibáñez, David, 2022, "Pandemic lending: Micro and macro effects of model-based regulation," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 374, DOI: 10.2139/ssrn.4307670.
- Mücke, Christian & Pelizzon, Loriana & Pezone, Vincenzo & Thakor, Anjan V., 2022, "The Carrot and the Stick: Bank Bailouts and the Disciplining Role of Board Appointments," VfS Annual Conference 2022 (Basel): Big Data in Economics, Verein für Socialpolitik / German Economic Association, number 264057.
- Read, Oliver & Diefenbach, Carolin, 2022, "The Path to the EU Regulation Markets in Crypto-assets (MiCA)," wifin Working Paper Series, RheinMain University of Applied Sciences, Wiesbaden Institute of Finance and Insurance (wifin), number 13/2022.
- Haas, Ralph$cde & Kirschenmann, Karolin & Schultz, Alison, 2022, "Global payment disruptions and firm-level exports," ZEW Discussion Papers, ZEW - Leibniz Centre for European Economic Research, number 22-067.
2021
- Altavilla, Carlo & Laeven, Luc & Peydró, José-Luis, 2021, "Monetary and Macroprudential Policy Complementarities: Evidence from European Credit Registers," EconStor Preprints, ZBW - Leibniz Information Centre for Economics, number 232034.
- Regele, Fabian & Gründl, Helmut, 2021, "Asset concentration risk and insurance solvency regulation," ICIR Working Paper Series, Goethe University Frankfurt, International Center for Insurance Regulation (ICIR), number 40/21.
- Kubitza, Christian & Grochola, Nicolaus & Gründl, Helmut, 2021, "Life insurance convexity," ICIR Working Paper Series, Goethe University Frankfurt, International Center for Insurance Regulation (ICIR), number 42/21.
- Fabo, Brian & Jančoková, Martina & Kempf, Elisabeth & Pástor, Luboš, 2021, "Fifty shades of QE: Conflicts of interest in economic research," IMFS Working Paper Series, Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS), number 147.
- McGowan, Danny & Nguyen, Huyen & Schaeck, Klaus, 2024, "Deposit competition and mortgage securitization," IWH Discussion Papers, Halle Institute for Economic Research (IWH), number 6/2021, revised 2024.
- Gropp, Reint, 2021, "Neue Basel-Regeln: Mehr Stabilität, weniger Kredite?," Wirtschaft im Wandel, Halle Institute for Economic Research (IWH), volume 27, issue 4, pages 77-79.
- Mulindi, Hillary, 2021, "Cost-benefit analysis of bank regulation: Does size matter?," KBA Centre for Research on Financial Markets and Policy Working Paper Series, Kenya Bankers Association (KBA), number 51.
- Kim, Meeroo & Oh, Yoon Hae, 2021, "Effects of Easing LTV·DTI Regulations on the Debt Structure and Credit Risk of Borrowers," KDI Journal of Economic Policy, Korea Development Institute (KDI), volume 43, issue 3, pages 1-32, DOI: 10.23895/kdijep.2021.43.3.1.
- Behn, Markus & Haselmann, Rainer & Vig, Vikrant, 2021, "The Limits of Model-Based Regulation," LawFin Working Paper Series, Goethe University, Center for Advanced Studies on the Foundations of Law and Finance (LawFin), number 20.
- Bernard, Sabine & Loos, Benjamin & Weber, Martin, 2021, "The disposition effect in boom and bust markets," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 305, DOI: 10.2139/ssrn.3779254.
- Mücke, Christian & Pelizzon, Loriana & Pezone, Vincenzo & Thakor, Anjan V., 2021, "The carrot and the stick: Bank bailouts and the disciplining role of board appointments," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 316, revised 2021, DOI: 10.2139/ssrn.3881871.
- Ahnert, Toni & Martinez-Miera, David, 2021, "Bank Runs, Bank Competition and Opacity," VfS Annual Conference 2021 (Virtual Conference): Climate Economics, Verein für Socialpolitik / German Economic Association, number 242348.
- Rieber, Alexander, 2021, "Regulating a highly concentrated industry: Implications fromDodd-Frank," VfS Annual Conference 2021 (Virtual Conference): Climate Economics, Verein für Socialpolitik / German Economic Association, number 242434.
- Meyland, Dominik & Schäfer, Dorothea, 2021, "Home Bias in Sovereign Exposure and the Probability of Bank Default – Evidence From EU-Stress Test Data," VfS Annual Conference 2021 (Virtual Conference): Climate Economics, Verein für Socialpolitik / German Economic Association, number 242453.
- Best, Stefan, 2021, "Minimum capital requirements for market risk: An overview and critical analysis of the standardized approaches under Basel III," wifin Working Paper Series, RheinMain University of Applied Sciences, Wiesbaden Institute of Finance and Insurance (wifin), number 10/2021.
- Dutt, Verena K. & Nicolay, Katharina & Spengel, Christoph, 2021, "Reporting behavior and transparency in European banks' country-by-country reports," ZEW Discussion Papers, ZEW - Leibniz Centre for European Economic Research, number 21-019.
- Berger, Marius & Gottschalk, Sandra, 2021, "Financing and advising early stage startups: The effect of angel investor subsidies," ZEW Discussion Papers, ZEW - Leibniz Centre for European Economic Research, number 21-069.
- Mathias Hoffmann & Iryna Stewen & Michael Stiefel, 2021, "Growing like Germany: local public debt, local banks, low private investment," ECON - Working Papers, Department of Economics - University of Zurich, number 380, Mar, revised Dec 2023.
- Calo, Silvia & Gregori, Wildmer Daniel & Petracco Giudici, Marco & Rancan, Michela, 2021, "Has the Comprehensive Assessment made the European financial system more resilient?," JRC Working Papers in Economics and Finance, Joint Research Centre, European Commission, number 2021-08, Aug.
- Marina Brogi & Valentina Lagasio & Luca Riccetti, 2021, "Systemic risk measurement: bucketing global systemically important banks," Annals of Finance, Springer, volume 17, issue 3, pages 319-351, September, DOI: 10.1007/s10436-021-00391-7.
- Eftichios S. Sartzetakis, 2021, "Green bonds as an instrument to finance low carbon transition," Economic Change and Restructuring, Springer, volume 54, issue 3, pages 755-779, August, DOI: 10.1007/s10644-020-09266-9.
- Kumar Debasis Dutta & Mallika Saha, 2021, "Nexus of governance, macroprudential policy and financial risk: cross-country evidence," Economic Change and Restructuring, Springer, volume 54, issue 4, pages 1253-1298, November, DOI: 10.1007/s10644-020-09301-9.
- Paolo Buccirossi & Giovanni Immordino & Giancarlo Spagnolo, 2021, "Whistleblower rewards, false reports, and corporate fraud," European Journal of Law and Economics, Springer, volume 51, issue 3, pages 411-431, June, DOI: 10.1007/s10657-021-09699-1.
- Christopher Mufarrige & Todd J. Zywicki, 2021, "Simple rules for a complex regulatory world: the case of financial regulation," European Journal of Law and Economics, Springer, volume 52, issue 2, pages 285-305, December, DOI: 10.1007/s10657-021-09698-2.
- D. Georgoutsos & G. Moratis, 2021, "On the informative value of the EU-wide stress tests and the determinants of banks’ stock return reactions," Empirica, Springer;Austrian Institute for Economic Research;Austrian Economic Association, volume 48, issue 4, pages 977-1008, November, DOI: 10.1007/s10663-020-09496-0.
- A. Arun Kumar & Daravath Vikas Nayak, 2021, "Unglittering Gold Schemes in India," International Advances in Economic Research, Springer;International Atlantic Economic Society, volume 27, issue 2, pages 151-153, May, DOI: 10.1007/s11294-021-09826-3.
- Inga Heiland & Erdal Yalcin, 2021, "Export market risk and the role of state credit guarantees," International Economics and Economic Policy, Springer, volume 18, issue 1, pages 25-72, February, DOI: 10.1007/s10368-020-00466-2.
- Robin Boadway & Motohiro Sato & Jean-François Tremblay, 2021, "Efficiency and the taxation of bank profits," International Tax and Public Finance, Springer;International Institute of Public Finance, volume 28, issue 1, pages 191-211, February, DOI: 10.1007/s10797-020-09616-3.
- Saad Azmat & Hira Ghaffar, 2021, "Ethical Commitments and Credit Market Regulations," Journal of Business Ethics, Springer, volume 171, issue 3, pages 421-433, July, DOI: 10.1007/s10551-019-04391-6.
- Hadar Gafni & Marek Hudon & Anaïs Périlleux, 2021, "Business or Basic Needs? The Impact of Loan Purpose on Social Crowdfunding Platforms," Journal of Business Ethics, Springer, volume 173, issue 4, pages 777-793, November, DOI: 10.1007/s10551-020-04530-4.
- Ruey-Ching Hwang & Chih-Kang Chu & Kaizhi Yu, 2021, "Predicting the Loss Given Default Distribution with the Zero-Inflated Censored Beta-Mixture Regression that Allows Probability Masses and Bimodality," Journal of Financial Services Research, Springer;Western Finance Association, volume 59, issue 3, pages 143-172, June, DOI: 10.1007/s10693-020-00333-w.
- Eero Tölö & Esa Jokivuolle & Matti Viren, 2021, "Have Too-Big-to-Fail Expectations Diminished? Evidence from the European Overnight Interbank Market," Journal of Financial Services Research, Springer;Western Finance Association, volume 60, issue 1, pages 25-54, August, DOI: 10.1007/s10693-021-00351-2.
- Nicola Cetorelli & James Traina, 2021, "Resolving “Too Big to Fail”," Journal of Financial Services Research, Springer;Western Finance Association, volume 60, issue 1, pages 1-23, August, DOI: 10.1007/s10693-021-00352-1.
- Adalgiso Amendola & Cristian Barra & Marinella Boccia & Anna Papaccio, 2021, "Market Structure and Financial Stability: the Interaction between Profit-Oriented and Mutual Cooperative Banks in Italy," Journal of Financial Services Research, Springer;Western Finance Association, volume 60, issue 2, pages 235-259, December, DOI: 10.1007/s10693-021-00360-1.
- Valentina Lagasio & Marina Brogi, 2021, "Market reaction to banks’ interim press releases: an event study analysis," Journal of Management & Governance, Springer;Accademia Italiana di Economia Aziendale (AIDEA), volume 25, issue 1, pages 95-119, March, DOI: 10.1007/s10997-020-09516-y.
- Martin Hodula & Zlatuše Komárková & Lukáš Pfeifer, 2021, "The relationship between capital and liquidity prudential instruments," Journal of Regulatory Economics, Springer, volume 59, issue 1, pages 47-70, February, DOI: 10.1007/s11149-020-09420-1.
- Silvester Koten, 2021, "Self-regulation and governmental oversight: a theoretical and experimental study," Journal of Regulatory Economics, Springer, volume 59, issue 2, pages 161-174, April, DOI: 10.1007/s11149-020-09421-0.
- Chrysovalantis Gaganis & Emilios Galariotis & Fotios Pasiouras & Christos Staikouras, 2021, "Macroprudential regulations and bank profit efficiency: international evidence," Journal of Regulatory Economics, Springer, volume 59, issue 2, pages 136-160, April, DOI: 10.1007/s11149-021-09424-5.
- Pierre-Richard Agénor & Luiz A. Pereira da Silva, 2021, "Capital requirements, risk-taking and welfare in a growing economy," Journal of Regulatory Economics, Springer, volume 60, issue 2, pages 167-192, December, DOI: 10.1007/s11149-021-09438-z.
- Kian Guan Lim, 2021, "Bermudan option in Singapore Savings Bonds," Review of Derivatives Research, Springer, volume 24, issue 1, pages 31-54, April, DOI: 10.1007/s11147-020-09168-y.
- Solomon Y. Deku & Alper Kara & Artur Semeyutin, 2021, "The predictive strength of MBS yield spreads during asset bubbles," Review of Quantitative Finance and Accounting, Springer, volume 56, issue 1, pages 111-142, January, DOI: 10.1007/s11156-020-00888-8.
- Vu Quang Trinh & Marwa Elnahass & Aly Salama, 2021, "Board busyness and new insights into alternative bank dividends models," Review of Quantitative Finance and Accounting, Springer, volume 56, issue 4, pages 1289-1328, May, DOI: 10.1007/s11156-020-00924-7.
- Lei Chen & Hui Li & Frank Hong Liu & Yue Zhou, 2021, "Bank regulation and systemic risk: cross country evidence," Review of Quantitative Finance and Accounting, Springer, volume 57, issue 1, pages 353-387, July, DOI: 10.1007/s11156-020-00947-0.
- Angelos Kanas & Panagiotis D. Zervopoulos, 2021, "Systemic risk, real GDP growth, and sentiment," Review of Quantitative Finance and Accounting, Springer, volume 57, issue 2, pages 461-485, August, DOI: 10.1007/s11156-020-00952-3.
- Bolortuya Enkhtaivan & Wenling Lu, 2021, "The effect of TARP on lending: Evidence from the lead bank’s share in syndicated loans," Review of Quantitative Finance and Accounting, Springer, volume 57, issue 4, pages 1169-1193, November, DOI: 10.1007/s11156-021-00974-5.
- Solomon Y. Deku & Alper Kara & Nodirbek Karimov, 2021, "Do investors value frequent issuers in securitization?," Review of Quantitative Finance and Accounting, Springer, volume 57, issue 4, pages 1247-1282, November, DOI: 10.1007/s11156-021-00977-2.
- Jamal Ali Al-Khasawneh & Benito A. Sanchez, 2021, "Deal-to-deal marginal efficiency dynamics of serial US banking acquirers," Review of Quantitative Finance and Accounting, Springer, volume 57, issue 4, pages 1283-1308, November, DOI: 10.1007/s11156-021-00978-1.
- Turalay Kenc & Emrah Ismail Cevik, 2021, "Estimating volatility clustering and variance risk premium effects on bank default indicators," Review of Quantitative Finance and Accounting, Springer, volume 57, issue 4, pages 1373-1392, November, DOI: 10.1007/s11156-021-00981-6.
- Irene Maria Buso & John Hey, 2021, "Why do consumers not switch? An experimental investigation of a search and switch model," Theory and Decision, Springer, volume 91, issue 4, pages 445-476, November, DOI: 10.1007/s11238-021-09818-z.
- Shigenori Shiratsuka, 2021, "Central Bank Digital Currency and Financial System," Keio-IES Discussion Paper Series, Institute for Economics Studies, Keio University, number 2021-010, May.
- Marie-Hélène BROIHANNE, 2021, "Testing the gender gap in subjective financial literacy of spouses," Working Papers of LaRGE Research Center, Laboratoire de Recherche en Gestion et Economie (LaRGE), Université de Strasbourg, number 2021-08.
- Egle Jakucionyte & Swapnil Singh, 2021, "Emergence of Subprime Lending in Minority Neighborhoods," Bank of Lithuania Working Paper Series, Bank of Lithuania, number 94, Nov.
- Jamshed Uppal, 2021, "Developing Housing Finance in Pakistan – Challenges and Opportunities," Lahore Journal of Economics, Department of Economics, The Lahore School of Economics, volume 26, issue 1, pages 31-56, Jan-June.
- Böhnke Victoria, 2021, "Wege aus der Covid-19-Krise: Chinesische Banken und die Hoffnung auf globales Wirtschaftswachstum," Zeitschrift für Wirtschaftspolitik, De Gruyter, volume 70, issue 2, pages 189-213, August, DOI: 10.1515/zfwp-2021-2054.
- George J. Bratsiotis, 2021, "Interest on Reserves as a Main Monetary Policy Tool," Economics Discussion Paper Series, Economics, The University of Manchester, number 2102, Jan, revised Feb 2022.
- Lucas Hafemann, 2021, "Prudential Policies in the Eurozone: A Propensity Score Matching Approach," MAGKS Papers on Economics, Philipps-Universität Marburg, Faculty of Business Administration and Economics, Department of Economics (Volkswirtschaftliche Abteilung), number 202109.
- Sanatkhani, Mahboobeh & Bazzazan, Fatemeh, 2021, "Stress Testing of Credit Risk in Iran’s Banking System," Journal of Money and Economy, Monetary and Banking Research Institute, Central Bank of the Islamic Republic of Iran, volume 16, issue 1, pages 93-114, March.
- Valipour Pasha, Mohammad & Khansari, Rasool & Ahmadian, Azam, 2021, "Can Securitization Enhance Financial Stability? (Case of the I.R. of Iran)," Journal of Money and Economy, Monetary and Banking Research Institute, Central Bank of the Islamic Republic of Iran, volume 16, issue 3, pages 323-347, September.
- Jan Hanousek & Christos Pantzalis & Jung Chul Park, 2021, "Political Insider Trading: A narrow versus comprehensive approach," MENDELU Working Papers in Business and Economics, Mendel University in Brno, Faculty of Business and Economics, number 2021-77, Apr.
- Duc Hong Vo, 2021, "Portfolio Optimization and Diversification in China: Policy Implications for Vietnam and Other Emerging Markets," Emerging Markets Finance and Trade, Taylor & Francis Journals, volume 57, issue 1, pages 223-238, January, DOI: 10.1080/1540496X.2019.1659776.
- Loan Thi-Hong Van & Anh The Vo & Nhan Thien Nguyen & Duc Hong Vo, 2021, "Financial Inclusion and Economic GROWTH: An International Evidence," Emerging Markets Finance and Trade, Taylor & Francis Journals, volume 57, issue 1, pages 239-263, January, DOI: 10.1080/1540496X.2019.1697672.
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- Vittoria Cerasi & Paola Galfrascoli, 2021, "Bail-in and Bank Funding Costs," Working Papers, University of Milano-Bicocca, Department of Economics, number 472, Jul, revised Jul 2021.
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- Tamás Katona, 2021, "Decentralized Finance - The Possibilities of a Blockchain "Money Lego" System," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 20, issue 1, pages 74-102.
- Gabriella Grosz & Evelyn Herbert & Gabor Izsak & Katinka Szasz, 2021, "Issues Relating to the Creation of a Central Database to Support Statistical Property Valuations," Financial and Economic Review, Magyar Nemzeti Bank (Central Bank of Hungary), volume 20, issue 4, pages 86-117..
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- Mathias Dewatripont & Marie Montigny & Gregory Nguyen, 2021, "When trust is not enough: Bank resolution, SPE, Ring-fencing and group support," Working Paper Research, National Bank of Belgium, number 403, Aug.
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- Juliane Begenau & Tim Landvoigt, 2021, "Financial Regulation in a Quantitative Model of the Modern Banking System," NBER Working Papers, National Bureau of Economic Research, Inc, number 28501, Feb.
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- Eduardo Dávila & Itay Goldstein, 2021, "Optimal Deposit Insurance," NBER Working Papers, National Bureau of Economic Research, Inc, number 28676, Apr.
- Jialan Wang & Kathleen Burke, 2021, "The Effects of Disclosure and Enforcement on Payday Lending in Texas," NBER Working Papers, National Bureau of Economic Research, Inc, number 28765, May.
- Kilian Huber, 2021, "Are Bigger Banks Better? Firm-Level Evidence from Germany," NBER Working Papers, National Bureau of Economic Research, Inc, number 28767, May.
- Andreas Fuster & Aurel Hizmo & Lauren Lambie-Hanson & James Vickery & Paul S. Willen, 2021, "How Resilient Is Mortgage Credit Supply? Evidence from the COVID-19 Pandemic," NBER Working Papers, National Bureau of Economic Research, Inc, number 28843, May.
- Eduardo Dávila & Ansgar Walther, 2021, "Prudential Policy with Distorted Beliefs," NBER Working Papers, National Bureau of Economic Research, Inc, number 28879, Jun.
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- Greg Buchak & Jiayin Hu & Shang-Jin Wei, 2021, "FinTech as a Financial Liberator," NBER Working Papers, National Bureau of Economic Research, Inc, number 29448, Nov.
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- Stanislava Tsvetkova, 2021, "Financial Corrections on Public Procurement as a Corrective Mechanism for Protection of Public Budget Expenditure," Nauchni trudove, University of National and World Economy, Sofia, Bulgaria, issue 5, pages 121–137-1, December.
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