Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G28: Government Policy and Regulation
2017
- Rahmatina A. Kasri & Tika Arundina & Kenny D. Indraswari & M. Budi Prasetyo, 2017, "Bank Run And Stability Of Islamic Banking In Indonesia," Journal of Islamic Monetary Economics and Finance, Bank Indonesia, volume 3, issue 1, pages 25-60, August, DOI: https://doi.org/10.21098/jimf.v3i1..
- Dorina Clichici, 2017, "The European Central Bank And The Federal Reserve: A Comparative Analysis," Revista de Economie Mondiala / The Journal of Global Economics, Institute for World Economy, Romanian Academy, volume 9, issue 2, pages 19-35.
- Diana Bonfim & Sónia Costa, 2017, "International Banking and Cross-Border Effects of Regulation: Lessons from Portugal," International Journal of Central Banking, International Journal of Central Banking, volume 13, issue 2, pages 341-377, March.
- Eugenio Cerutti & Ricardo Correa & Elisabetta Fiorentino & Esther Segalla, 2017, "Changes in Prudential Policy Instruments - A New Cross-Country Database," International Journal of Central Banking, International Journal of Central Banking, volume 13, issue 2, pages 477-503, March.
- Jana Ohls & Marcus Pramor & Lena Tonzer, 2017, "International Banking and Cross-Border Effects of Regulation: Lessons from Germany," International Journal of Central Banking, International Journal of Central Banking, volume 13, issue 2, pages 129-162, March.
- Matthieu Bussière & Julia Schmidt & Frédéric Vinas, 2017, "International Banking and Cross-Border Effects of Regulation: Lessons from France," International Journal of Central Banking, International Journal of Central Banking, volume 13, issue 2, pages 163-193, March.
- Douglas Davis & Edward Simpson Prescott, 2017, "Fixed Prices and Regulatory Discretion as Triggers for Contingent Capital Conversion: An Experimental Examination," International Journal of Central Banking, International Journal of Central Banking, volume 13, issue 2, pages 33-71, June.
- Markus Behn & Carsten Detken & Tuomas Peltonen & Willem Schudel, 2017, "Predicting Vulnerabilities in the EU Banking Sector: The Role of Global and Domestic Factors," International Journal of Central Banking, International Journal of Central Banking, volume 13, issue 4, pages 147-189, December.
- Cheng Hoon Lim & Mr. Alexander D Klemm & Ms. Sumiko Ogawa & Mr. Marco Pani & Claudio Visconti, 2017, "Financial Stability Reports in Latin America and the Caribbean," IMF Working Papers, International Monetary Fund, number 2017/073, Mar.
- Mr. Divya Kirti, 2017, "When Gambling for Resurrection is Too Risky," IMF Working Papers, International Monetary Fund, number 2017/180, Aug.
- Mr. Ralph Chami & Mr. Thomas F. Cosimano & Emanuel Kopp & Ms. Celine Rochon, 2017, "Back to the Future: The Nature of Regulatory Capital Requirements," IMF Working Papers, International Monetary Fund, number 2017/181, Aug.
- Sami Ben Naceur & Jérémy Pépy & Caroline Roulet, 2017, "Basel III and Bank-Lending: Evidence from the United States and Europe," IMF Working Papers, International Monetary Fund, number 2017/245, Nov.
- Sergio Lagunas Puls & Julio Cesar Ramirez Pacheco, 2017, "Expectativas para operaciones financieras en los Sectores Vulnerables mediante Matrices de Transición," Remef - Revista Mexicana de Economía y Finanzas Nueva Época REMEF (The Mexican Journal of Economics and Finance), Instituto Mexicano de Ejecutivos de Finanzas, IMEF, volume 12, issue 2, pages 71-101, Abril-Jun.
- Rajeswari Sengupta & Harsh Vardhan, 2017, "Non-performing assets in Indian Banks: This time it is different," Indira Gandhi Institute of Development Research, Mumbai Working Papers, Indira Gandhi Institute of Development Research, Mumbai, India, number 2017-019, Sep.
- Aggarwal, Nidhi & Susan Thomas, 2017, "Response of firms to listing: Evidence from SME exchanges," Indira Gandhi Institute of Development Research, Mumbai Working Papers, Indira Gandhi Institute of Development Research, Mumbai, India, number 2017-022, Nov.
- Razvan HOINARU, 2017, "Follow the money. The impact of the illicit financial flows home and abroad. A common european-african perspective," Romanian Journal of Economics, Institute of National Economy, volume 44, issue 1(53), pages 87-94, June.
- Martin Brown & Stefan T. Trautmann & Razvan Vlahu, 2017, "Understanding Bank-Run Contagion," Management Science, INFORMS, volume 63, issue 7, pages 2272-2282, July, DOI: 10.1287/mnsc.2015.2416.
- Allen N. Berger & Sadok El Ghoul & Omrane Guedhami & Raluca A. Roman, 2017, "Internationalization and Bank Risk," Management Science, INFORMS, volume 63, issue 7, pages 2283-2301, July, DOI: 10.1287/mnsc.2016.2422.
- Victor Echevarria-Icaza & Simón Sosvilla-Rivero, 2017, "Systemic banks, capital composition and CoCo bonds issuance: The effects on bank risk," IREA Working Papers, University of Barcelona, Research Institute of Applied Economics, number 201707, Apr, revised Apr 2017.
- Sudipto Karmakar & Leonardo Gambacorta, 2017, "Leverage and Risk Weighted Capital Requirements," Working Papers REM, ISEG - Lisbon School of Economics and Management, REM, Universidade de Lisboa, number 2017/09, Oct.
- Ajim Uddin & Mohammad Ashraful Ferdous Chowdhury & Md. Nazrul Islam, 2017, "Determinants Of Financial Inclusion In Bangladesh: Dynamic Gmm & Quantile Regression Approach," Journal of Developing Areas, Tennessee State University, College of Business, volume 51, issue 2, pages 221-237, April-Jun.
- Massomeh Hajilee & Omar M. Al Nasser, 2017, "The Impact Of Interest Rate Volatility On Stock Market Development: Evidence From Emerging Markets," Journal of Developing Areas, Tennessee State University, College of Business, volume 51, issue 2, pages 301-313, April-Jun.
- Jaya Mathew & Reeba Kurian, 2017, "India’s policies on leveraging financial inclusion in the country," Journal of Developing Areas, Tennessee State University, College of Business, volume 51, issue 4, pages 433-443, October-D.
- Alessi, Lucia & Cannas, Giuseppina & Maccaferri, Sara & Petracco Giudici, Marco, 2017, "The European Deposit Insurance Scheme: Assessing risk absorption via SYMBOL," JRC Working Papers in Economics and Finance, Joint Research Centre, European Commission, number 2017-12, Dec.
- Chiara Pederzoli & Costanza Torricelli, 2017, "Systemic risk measures and macroprudential stress tests: an assessment over the 2014 EBA exercise," Annals of Finance, Springer, volume 13, issue 3, pages 237-251, August, DOI: 10.1007/s10436-017-0294-z.
- Naoyuki Yoshino & Farhad Taghizadeh-Hesary & Farhad Nili, 2017, "Fair Premium Rate of the Deposit Insurance System based on Banks’ Creditworthiness," ADBI Working Papers, Asian Development Bank Institute, number 757, Jul.
- Sanhapas Laowattanabhongse & Sorasart Sukcharoensin, 2017, "The Linkage between Bank Competition and Stability: New International Evidence," Asian Journal of Applied Economics/ Applied Economics Journal, Kasetsart University, Faculty of Economics, Center for Applied Economic Research, volume 24, issue 2, pages 17-33.
- Zeki Tuğrul Göver & Alper Oğuz, 2017, "The Macro-Prudential Measures Taken in Turkey Following the 2008-2009 Global Financial Crisis," Bulletin of Economic Theory and Analysis, BETA Journals, volume 2, issue 1, pages 1-30.
- Fazelina Sahul Hamid & Norhanishah Mohd Yunus, 2017, "Market Discipline and Bank Risk Taking: Evidence from the East Asian Banking Sector," East Asian Economic Review, Korea Institute for International Economic Policy, volume 21, issue 1, pages 29-57, DOI: 10.11644/KIEP.EAER.2017.21.1.322.
- Zeynep Ozkok, 2017, "Financial Harmonization and Industrial Growth : Evidence from the European Union," Journal of Economic Integration, Center for Economic Integration, Sejong University, volume 32, issue 2, pages 244-282.
- Khalifa Mohammed Ali, 2017, "Competitiveness and Economic Integration in IDB Member Countries," Working Papers, The Islamic Research and Teaching Institute (IRTI), number 2017-1, Feb.
- Mohammed Obaidullah & Turkhan Ali Abdul Manap, 2017, "Behavioral Dimensions of Islamic Philanthropy: The Case of Zakat," Working Papers, The Islamic Research and Teaching Institute (IRTI), number 2017-2, Jan.
- Alistair Haig, 2017, "The Role of Asset Owners in the Market for Investment Research: Where Are the Fiduciary Capitalists?," Journal of Financial Transformation, Capco Institute, volume 45, pages 129-135.
- Philip Treleaven & Bogdan Batrinca, 2017, "Algorithmic Regulation: Automating Financial Compliance Monitoring and Regulation Using AI and Blockchain," Journal of Financial Transformation, Capco Institute, volume 45, pages 14-21.
- Kari Larsen & Shariq Gilani, 2017, "RegTech is the New Black - The Growth of RegTech Demand and Investment," Journal of Financial Transformation, Capco Institute, volume 45, pages 22-29.
- Tom Butler, 2017, "Towards a Standards-Based Technology Architecture for RegTech," Journal of Financial Transformation, Capco Institute, volume 45, pages 49-59.
- Matthias Fischer, 2017, "The impact of financial regulation on business models of cooperative banks in Germany," Journal of Financial Transformation, Capco Institute, volume 46, pages 116-127.
- Elia Aidé Samayoa Salas & Carmen O. Bocanegra Gastelum, 2017, "Financiamiento y cooperación en la frontera México-EUA: Banco de Desarrollo de América del Norte," Revista Nicolaita de Estudios Económicos, Universidad Michoacana de San Nicolás de Hidalgo, Instituto de Investigaciones Económicas y Empresariales, volume 12, issue 1, pages 8-29.
- Simone Berardi & Alessandra Marcelletti, 2017, "Optimal Bank Capital Requirements: An Asymmetric Information Perspective," LEAP Working Papers, Luiss Institute for European Analysis and Policy, number 2017/2, Mar.
- Ming-Tao CHUNG & Ming-Hua HSIEH & Yan-Ping CHI, 2017, "Computation of Operational Risk for Financial Institutions," Journal for Economic Forecasting, Institute for Economic Forecasting, volume 0, issue 3, pages 77-87, September.
- Dan Costin NIÞESCU & Florin Alexandru DUNA, 2017, "Liquidity - A Changing Concept, Within The Post Crisis Environment," REVISTA DE MANAGEMENT COMPARAT INTERNATIONAL/REVIEW OF INTERNATIONAL COMPARATIVE MANAGEMENT, Faculty of Management, Academy of Economic Studies, Bucharest, Romania, volume 18, issue 4, pages 421-443, October.
- Pietro PAVONE, 2017, "Economic and Financial Dynamics of the Crisis of an Important Italian Bank," REVISTA DE MANAGEMENT COMPARAT INTERNATIONAL/REVIEW OF INTERNATIONAL COMPARATIVE MANAGEMENT, Faculty of Management, Academy of Economic Studies, Bucharest, Romania, volume 18, issue 5, pages 467-481, December.
- Panagiotis Delimatsis & Bernard Hoekman, 2017, "National Tax Regulation, International Standards and the GATS: Argentina—Financial Services," RSCAS Working Papers, European University Institute, number 2017/42, Sep.
- Constantin ANGHELACHE & Marian SFETCU & Gyorgy BODO, 2017, "Analysis Of Banking Risks In The Context Of The Basel Agreements," Romanian Statistical Review Supplement, Romanian Statistical Review, volume 65, issue 12, pages 83-89, December.
- Sergei Kovbasyuk & Giancarlo Spagnolo, 2017, "Memory and Markets," CEIS Research Paper, Tor Vergata University, CEIS, number 415, Dec, revised 07 Dec 2017.
- Ahmet F. Aysan & Mustafa Disli & Meryem Duygun & Huseyin Ozturk, 2017, "Islamic Banks, Deposit Insurance Reform, And Market Discipline: Evidence From A Natural Framework," Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium, Ghent University, Faculty of Economics and Business Administration, number 17/929, Jan.
- Joseph P. Hughes, 2017, "Capital Regulation: Less Really Can Be More When Incentives Are Socially Aligned," Departmental Working Papers, Rutgers University, Department of Economics, number 201704, Feb.
- Foluso Akinsola & Sylvanus Ikhide, 2017, "Can bank capital adequacy changes amplify the business cycle in South Africa?," ERSA Working Paper Series, Economic Research Southern Africa, number 668, Feb.
- Fernando Garcia-Barragan & Guangling Dave Liu, 2017, "Welfare analysis of bank capital requirements with endogenous default," ERSA Working Paper Series, Economic Research Southern Africa, number 688, Jun.
- Chris Garbers & Guangling Dave Liu, 2017, "Macroprudential policy and foreign interest rate shocks: A comparison of different instruments and regulatory regimes," ERSA Working Paper Series, Economic Research Southern Africa, number 719, Oct.
- Alex Bara & Gift Mugano & Pierre Le Roux, 2017, "Financial Reforms and the Finance –Growth Relationship in the Southern African Development Community (SADC) Region," ERSA Working Paper Series, Economic Research Southern Africa, number 98, Jan.
- Massomeh Hajilee & Omar M. Al Nasser, 2017, "Financial Depth and Exchange Rate Volatility," The American Economist, Sage Publications, volume 62, issue 1, pages 19-30, March, DOI: 10.1177/0569434516672763.
- Hazel Bateman & Christine Eckert & Fedor Iskhakov & Jordan Louviere & Stephen Satchell & Susan Thorp, 2017, "Default and naive diversification heuristics in annuity choice," Australian Journal of Management, Australian School of Business, volume 42, issue 1, pages 32-57, February, DOI: 10.1177/0312896215617225.
- Cristian BARRA & Roberto ZOTTI, 2017, "Bank Performance, Financial Stability and Market Competition: do Cooperative and Non-Cooperative Banks Behave Differently?," CELPE Discussion Papers, CELPE - CEnter for Labor and Political Economics, University of Salerno, Italy, number 143, Mar.
- Hans Genberg, 2017, "The Role of the Institutional Investors in Financing Development in Asia and the Pacific," Working Papers, South East Asian Central Banks (SEACEN) Research and Training Centre, number wp20, Apr.
- Aleksander £aszek, 2017, "Economic policy, the international environment and the state of Poland’s public finances: Scenarios," mBank - CASE Seminar Proceedings, CASE-Center for Social and Economic Research, number 0146, Mar.
- Paolo Buccirossi & Giovanni Immordino & Giancarlo Spagnolo, 2017, "Whistleblower Rewards, False Reports, and Corporate Fraud," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 477, Jun, revised 02 Sep 2017.
- Carlo Altavilla & Miguel Boucinha & José-Luis Peydró, 2017, "Monetary Policy and Bank Profitability in a Low Interest Rate Environment," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 486, Oct.
- Mateusz Mokrogulski, 2017, "The application of macroprudential policy tools to affect concentration in the Polish banking sector," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 4707270, Apr.
- Tamar Kbiladze & David Kbiladze, 2017, "Possible boundaries and some indicators for formation of tax burden of sustainable development of economy," Proceedings of Business and Management Conferences, International Institute of Social and Economic Sciences, number 5207374, May.
- Rossignolo, Adrián F., 2017, "Empirical Approximation of the ES-VaR: Evidence from Emerging and Frontier Stock Markets during Turmoil / Aproximación empírica del VaR y ES-VaR: evidencia de mercados emergentes y de frontera durante períodos de turbulencia," Estocástica: finanzas y riesgo, Departamento de Administración de la Universidad Autónoma Metropolitana Unidad Azcapotzalco, volume 7, issue 2, pages 123-175, julio-dic.
- Malgorzata Olszak & Patrycja Chodnicka-Jaworska & Iwona Kowalska & Filip Œwita³a, 2017, "The effect of capital ratio on lending: Do loan-loss provisioning practices matter?," Faculty of Management Working Paper Series, University of Warsaw, Faculty of Management, number 22017, Dec.
- Mariusz Szpringer & W³odzimierz Szpringer, 2017, "The European system of financial supervision– regulatory impact assessment," Journal of Banking and Financial Economics, University of Warsaw, Faculty of Management, volume 2, issue 8, pages 84-104, October.
- Malgorzata Olszak & Sylwia Roszkowska & Marcell Zoltán Végh, 2017, "Do Microprudential Regulations and Supervision Affect the Link Between Lending and Capital Ratio in Economic Downturns of Large Banks in the EU?," Problemy Zarzadzania, University of Warsaw, Faculty of Management, volume 15, issue 66, pages 11-36.
- Agnieszka Wojcik-Mazur, 2017, "Effect of Structural Liquidity on Profitability of Polish Commercial Banks in 2009–2016," Problemy Zarzadzania, University of Warsaw, Faculty of Management, volume 15, issue 66, pages 53-63.
- Ewa Gubernat-Ulatowski, 2017, "Contemporary Banking in Conditions of Instability of Public Finances (Wspolczesny sektor bankowy w warunkach niestabilnosci finansow publicznych)," Research Reports, University of Warsaw, Faculty of Management, volume 2, issue 24, pages 131-141.
- Leora Friedberg & Richard M. Hynes & Nathaniel Pattison, 2017, "Who Benefits from Bans on Employer Credit Checks?," Departmental Working Papers, Southern Methodist University, Department of Economics, number 1704, Nov.
- Marek Hudon & Marc Labie & Patrick Reichert, 2017, "What is a fair profit for social enterprise? Insights from microfinance," Working Papers CEB, ULB -- Universite Libre de Bruxelles, number 17-024, Oct.
- Carolina Laureti & Ariane Szafarz, 2017, "Behavioral Banking: A Theory of the Banking Firm with Time-Inconsistent Depositors," Working Papers CEB, ULB -- Universite Libre de Bruxelles, number 17-028, Oct.
- Aysel GÜNDOĞDU, 2017, "Türk Bankacılık Sisteminde Düzenleme ve Denetlemenin Etkinliğini Ölçmeye Yönelik Bir Analiz," Sosyoekonomi Journal, Sosyoekonomi Society, issue 25(34).
- Claudia Gabriela Baicu & Mar Wolfgang Mixa, 2017, "Banking Systems in Romania and Iceland: Two Different Worlds but Similar Development," Journal of Economic Development, Environment and People, Alliance of Central-Eastern European Universities, volume 6, issue 2, pages 24-44, June.
- Gazi Sarısakaloglu & Mustafa Bilgin, 2017, "Analyzing the Impacts of Restructuring on the Turkish State-Owned Banks," Journal of Economic Development, Environment and People, Alliance of Central-Eastern European Universities, volume 6, issue 4, pages 41-50, December.
- Masaki Nakahigashi & Naoyuki Yoshino, 2017, "Changes in Economic Effect of Infrastructure and Financing Methods: The Japanese Case," ADB Institute Series on Development Economics, Springer, chapter 0, in: Naoyuki Yoshino & Farhad Taghizadeh-Hesary, "Japan’s Lost Decade", DOI: 10.1007/978-981-10-5021-3_2.
- Ekaterina A. Ugnich & Aminat M. Kazakova, 2017, "National Venture Ecosystems in Management of Innovational Process Development," Contributions to Economics, Springer, in: Elena G. Popkova, "Overcoming Uncertainty of Institutional Environment as a Tool of Global Crisis Management", DOI: 10.1007/978-3-319-60696-5_7.
- Tammy Leonard & Nikhil Jha & Lei Zhang, 2017, "Neighborhood price externalities of foreclosure rehabilitation: an examination of the Neighborhood Stabilization Program," Empirical Economics, Springer, volume 52, issue 3, pages 955-975, May, DOI: 10.1007/s00181-016-1194-1.
- Douglas Cumming & Sofia Johan & Jeffrey G. MacIntosh, 2017, "A drop in an empty pond: Canadian public policy towards venture capital," Economia e Politica Industriale: Journal of Industrial and Business Economics, Springer;Associazione Amici di Economia e Politica Industriale, volume 44, issue 1, pages 103-117, March, DOI: 10.1007/s40812-016-0063-4.
- Md. Abul Kalam Azad & Susila Munisamy & Abdul Kadar Muhammad Masum & Paolo Saona & Peter Wanke, 2017, "Bank efficiency in Malaysia: a use of malmquist meta-frontier analysis," Eurasian Business Review, Springer;Eurasia Business and Economics Society, volume 7, issue 2, pages 287-311, August, DOI: 10.1007/s40821-016-0054-4.
- Peter Gomber & Jascha-Alexander Koch & Michael Siering, 2017, "Digital Finance and FinTech: current research and future research directions," Journal of Business Economics, Springer, volume 87, issue 5, pages 537-580, July, DOI: 10.1007/s11573-017-0852-x.
- Jacob Kleinow & Andreas Horsch & Mario Garcia-Molina, 2017, "Factors driving systemic risk of banks in Latin America," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 41, issue 2, pages 211-234, April, DOI: 10.1007/s12197-015-9341-7.
- Hsiu-I Ting, 2017, "Financial development, role of government, and bank profitability: evidence from the 2008 financial crisis," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 41, issue 2, pages 370-391, April, DOI: 10.1007/s12197-016-9356-8.
- Gaurango Banerjee & Abhiman Das & Kalidas Jana & Shekar Shetty, 2017, "Effects of derivatives usage and financial statement items on capital market risk measures of Bank stocks: evidence from India," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 41, issue 3, pages 487-504, July, DOI: 10.1007/s12197-016-9366-6.
- Bonnie F. Van Ness & Robert A. Van Ness & Serhat Yildiz, 2017, "The role of HFTs in order flow toxicity and stock price variance, and predicting changes in HFTs’ liquidity provisions," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 41, issue 4, pages 739-762, October, DOI: 10.1007/s12197-016-9374-6.
- Patrick J. Kehoe & Elena Pastorino, 2017, "Fiscal unions redux," Economic Theory, Springer;Society for the Advancement of Economic Theory (SAET), volume 64, issue 4, pages 741-776, December, DOI: 10.1007/s00199-016-1016-x.
- Amir Amel-Zadeh & Mary E. Barth & Wayne R. Landsman, 2017, "The contribution of bank regulation and fair value accounting to procyclical leverage," Review of Accounting Studies, Springer, volume 22, issue 3, pages 1423-1454, September, DOI: 10.1007/s11142-017-9410-6.
- Peter Fiechter & Wayne R. Landsman & Kenneth Peasnell & Annelies Renders, 2017, "The IFRS option to reclassify financial assets out of fair value in 2008: the roles played by regulatory capital and too-important-to-fail status," Review of Accounting Studies, Springer, volume 22, issue 4, pages 1698-1731, December, DOI: 10.1007/s11142-017-9419-x.
- Martin Hellwig, 2017, "Wachstumsschwäche, Bankenmalaise und Bankenregulierung
[Weak Economies and Weak Banks: Implications for Policies Towards Banks]," Wirtschaftsdienst, Springer;ZBW - Leibniz Information Centre for Economics, volume 97, issue 1, pages 43-48, March, DOI: 10.1007/s10273-017-2122-5. - Anja Hülsewig & Oliver Hülsewig, 2017, "Der Dodd-Frank Act auf dem Prüfstand
[The Dodd-Frank Act in Light of Recent Criticism]," Wirtschaftsdienst, Springer;ZBW - Leibniz Information Centre for Economics, volume 97, issue 4, pages 282-289, April, DOI: 10.1007/s10273-017-2131-4. - Mario Mustilli & Francesco Campanella & Eugenio D’Angelo, 2017, "Basel III and Credit Crunch: An Empirical Test with Focus on Europe," Journal of Applied Finance & Banking, SCIENPRESS Ltd, volume 7, issue 3, pages 1-3.
- David Grossmann & Peter Scholz, 2017, "Bank Regulation: One Size Does Not Fit All," Journal of Applied Finance & Banking, SCIENPRESS Ltd, volume 7, issue 5, pages 1-1.
- Schoenmaker, Dirk, 2017, "Resolution of international banks: can smaller countries cope?," ESRB Working Paper Series, European Systemic Risk Board, number 34, Feb.
- Kelly, Robert & McCann, Fergal & O'Toole, Conor, 2017, "Credit conditions, macroprudential policy and house prices," ESRB Working Paper Series, European Systemic Risk Board, number 36, Feb.
- Fraisse, Henri & Lé, Mathias & Thesmar, David, 2017, "The real effects of bank capital requirements," ESRB Working Paper Series, European Systemic Risk Board, number 47, Jun.
- Mendicino, Caterina & Nikolov, Kalin & Suarez, Javier, 2017, "Equity versus bail-in debt in banking: an agency perspective," ESRB Working Paper Series, European Systemic Risk Board, number 50, Jun.
- Ahnert, Toni & Anand, Kartik & Gai, Prasanna & Chapman, James, 2017, "Asset encumbrance, bank funding and fragility," ESRB Working Paper Series, European Systemic Risk Board, number 52, Jul.
- Schoenmaker, Dirk, 2017, "A macro approach to international bank resolution," ESRB Working Paper Series, European Systemic Risk Board, number 56, Nov.
- Crosignani, Matteo, 2017, "Why are banks not recapitalized during crises?," ESRB Working Paper Series, European Systemic Risk Board, number 57, Nov.
- Aldasoro, Iñaki & Barth, Andreas, 2017, "Syndicated loans and CDS positioning," ESRB Working Paper Series, European Systemic Risk Board, number 58, Nov.
- di Iasio, Giovanni & Pozsar, Zoltan, 2017, "Crises in the modern financial ecosystem," ESRB Working Paper Series, European Systemic Risk Board, number 60, Dec.
- Bellia, Mario & Panzica, Roberto & Pelizzon, Loriana & Peltonen, Tuomas A., 2017, "The demand for central clearing: to clear or not to clear, that is the question," ESRB Working Paper Series, European Systemic Risk Board, number 62, Dec.
- Jarko Fidrmuc & Ronja Lind, 2017, "Macroeconomic Impact of Basel III: Evidence from a Meta-Analysis," Working and Discussion Papers, Research Department, National Bank of Slovakia, number WP 5/2017, Sep.
- Chris Garbers & Guangling Liu, 2017, "Macroprudential policy and foreign interest rate shocks: A comparison of different instruments and regulatory regimes," Working Papers, Stellenbosch University, Department of Economics, number 15/2017.
- Felix Noth & Lena Tonzer, 2017, "Bank risk proxies and the crisis of 2007/09: a comparison," Applied Economics Letters, Taylor & Francis Journals, volume 24, issue 7, pages 498-501, April, DOI: 10.1080/13504851.2016.1205716.
- David Grigorian & Vlad Manole, 2017, "Sovereign risk and deposit dynamics: evidence from Europe," Applied Economics, Taylor & Francis Journals, volume 49, issue 29, pages 2851-2860, June, DOI: 10.1080/00036846.2016.1248358.
- Fatma Pinar Erdem & Etkin �zen & Ibrahim Unalmis, 2017, "Are Macroprudential Policies Effective Tools to Reduce Credit Growth in Emerging Markets?," Working Papers, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, number 1712.
- Salih Fendoglu, 2017, "Credit Cycles and Capital Flows : Effectiveness of the Macroprudential Policy Framework in Emerging Market Economies," Working Papers, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, number 1713.
- Ivana Catturani & Erika Dalpiaz, 2017, "Alternative classifications of Italian banks:Do different grouping rules mislead results on the risk profile of banks?," DEM Working Papers, Department of Economics and Management, number 2017/11.
- Matthias Neuenkirch & Matthias Nöckel, 2017, "The Risk-Taking Channel of Monetary Policy Transmission in the Euro Area," Research Papers in Economics, University of Trier, Department of Economics, number 2017-02.
- Victor Echevarria-Icaza & Simón Sosvilla-Rivero, 2017, "Systemic banks, capital composition and CoCo bonds issuance: The effects on bank risk," Working Papers del Instituto Complutense de Estudios Internacionales, Universidad Complutense de Madrid, Instituto Complutense de Estudios Internacionales, number 1706.
- Gabriel Jiménez & Steven Ongena & José-Luis Peydró & Jesús Saurina, 2017, "Macroprudential Policy, Countercyclical Bank Capital Buffers, and Credit Supply: Evidence from the Spanish Dynamic Provisioning Experiments," Journal of Political Economy, University of Chicago Press, volume 125, issue 6, pages 2126-2177, DOI: 10.1086/694289.
- Giorgio Canarella & Stephen M. Miller, 2017, "The Determinants of Growth in the Information and Communication Technology (ICT) Industry: A Firm-Level Analysis," Working papers, University of Connecticut, Department of Economics, number 2017-12, Jun.
- Serafín Frache & Javier García-Cicco & Jorge Ponce, 2017, "Countercyclical Prudential Tools in an Estimated DSGE Model," Documentos de Trabajo (working papers), Department of Economics - dECON, number 0917, Aug.
- Roberto Fazioli & Donato Lenza, 2017, "Gli incentivi all’efficienza energetica nelle Gare per il Servizio di Distribuzione Gas: riflessi di Finanza Pubblica Locale," Working Papers, University of Ferrara, Department of Economics, number 2017086, Oct.
- Andriy Danylenko, 2017, "Evolving Ukraine's Deposit Guarantee System Towards Global Standards: A Macroprudential Perspective," Visnyk of the National Bank of Ukraine, National Bank of Ukraine, issue 242, pages 14-27, DOI: 10.26531/vnbu2017.242.030.
- Nizar Allouch & Maya Jalloul, 2017, "Strategic Default in Financial Networks," Studies in Economics, School of Economics, University of Kent, number 1721, Dec.
- Cheriet, F., 2017, "Pratiques managériales frauduleuses en Algérie : diversité, ampleur et perceptions des acteurs," Working Papers MoISA, UMR MoISA : Montpellier Interdisciplinary center on Sustainable Agri-food systems (social and nutritional sciences): CIHEAM-IAMM, CIRAD, INRAE, L'Institut Agro, Montpellier SupAgro, IRD - Montpellier, France, number 201705.
- Puriya Abbassi & Falk Bräuning & Falko Fecht & José-Luis Peydró, 2017, "International financial integration, crises and monetary policy: evidence from the Euro area interbank crises," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1566, Apr.
- Gabriel Jiménez & Steven Ongena & José-Luis Peydró & Jesús Saurina, 2017, "Do demand or supply factors drive bank credit,in good and crisis times?," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1567, Apr.
- José-Luis Peydró & Gabriel Jiménez & Rafael Repullo & Jesús Saurina, 2017, "Burning money? Government lending in a credit crunch," Economics Working Papers, Department of Economics and Business, Universitat Pompeu Fabra, number 1577, Aug, revised Mar 2019.
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