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The Information View of Financial Crises

Citations

Blog mentions

As found by EconAcademics.org, the blog aggregator for Economics research:
  1. Bank Runs and Panics: A Primer
    by Steve Cecchetti and Kim Schoenholtz in Money, Banking and Financial Markets on 2020-03-02 12:38:37

Citations

Citations are extracted by the CitEc Project, subscribe to its RSS feed for this item.
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Cited by:

  1. Kanis Saengchote, 2022. "Decentralized lending and its users: Insights from Compound," Papers 2212.05734, arXiv.org.
  2. Dong Beom Choi & Paul Goldsmith-Pinkham & Tanju Yorulmazer, 2023. "Contagion Effects of the Silicon Valley Bank Run," NBER Working Papers 31772, National Bureau of Economic Research, Inc.
  3. Gupta, Abhimanyu & Kokas, Sotirios & Michaelides, Alexander & Minetti, Raoul, 2025. "Networks and information in credit markets," Journal of Corporate Finance, Elsevier, vol. 94(C).
  4. Arun Gupta, 2021. "The Internal Capital Markets of Global Dealer Banks," Finance and Economics Discussion Series 2021-036, Board of Governors of the Federal Reserve System (U.S.).
  5. Sergio A. Correia & Stephan Luck & Emil Verner, 2024. "Failing Banks," Staff Reports 1117, Federal Reserve Bank of New York.
  6. Seydyss Garay Rodríguez & Pavel Vidal-Alejandro & Julieth Cerón-Ordoñez, 2023. "El monitoreo del sector de la construcción en el Valle del Cauca," Apuntes del Cenes, Universidad Pedagógica y Tecnológica de Colombia, vol. 42(75), pages 237-271.
  7. Levent Altinoglu & Jin-Wook Chang, 2022. "Information Externalities, Funding Liquidity, and Fire Sales," Finance and Economics Discussion Series 2022-052, Board of Governors of the Federal Reserve System (U.S.).
  8. Saengchote, Kanis, 2023. "Decentralized lending and its users: Insights from compound," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 87(C).
  9. Samuel K. Hughes & Joseph B. Nichols, 2025. "No News is Bad News: Monitoring, Risk, and Stale Financial Performance in Commercial Real Estate," Finance and Economics Discussion Series 2025-032, Board of Governors of the Federal Reserve System (U.S.).
  10. Chen, Yehning & Hasan, Iftekhar & Takalo, Tuomas, 2025. "Bank transparency, asset and liquidity risks," Bank of Finland Research Discussion Papers 4/2025, Bank of Finland.
  11. Anderson, Haelim & Copeland, Adam, 2023. "Information management in times of crisis," Journal of Monetary Economics, Elsevier, vol. 136(C), pages 35-49.
  12. A-Young Park & Gabjin Oh, 2023. "The contagion effect of heterogeneous investor groups," PLOS ONE, Public Library of Science, vol. 18(10), pages 1-20, October.
  13. Larry D. Wall, 2021. "So Far, So Good: Government Insurance of Financial Sector Tail Risk," Policy Hub, Federal Reserve Bank of Atlanta, vol. 2021(13), November.
  14. Gupta, Arun, 2022. "The Internal Capital Markets of Global Dealer Banks," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), vol. 4(3), pages 165-188, April.
  15. Albanesi, Stefania & DeGiorgi, Giacomo & Nosal, Jaromir, 2022. "Credit growth and the financial crisis: A new narrative," Journal of Monetary Economics, Elsevier, vol. 132(C), pages 118-139.
  16. Martino, Edoardo & Perotti, Enrico, 2025. "Containing Runs on Solvent Banks: Prioritizing Recovery over Resolution," Journal of Financial Crises, Yale Program on Financial Stability (YPFS), vol. 7(1), pages 1-30, April.
  17. Maurice Obstfeld, 2025. "Natural and Neutral Real Interest Rates: Past and Future," IMF Economic Review, Palgrave Macmillan;International Monetary Fund, vol. 73(2), pages 339-392, June.
  18. Iorgova, Silvia & Ross, Chase P., 2023. "Investor information and bank instability during the European debt crisis," Journal of Financial Stability, Elsevier, vol. 64(C).
  19. Alexandre Kohlhas & Vladimir Asriyan, 2025. "The Macroeconomics of Data: Scale, Product Choice, and Pricing in the Information Age," Economics Series Working Papers 1073, University of Oxford, Department of Economics.
  20. Sergio Correia & Stephan Luck & Emil Verner, 2026. "Bank Runs With and Without Bank Failure," Papers 2601.20285, arXiv.org, revised Mar 2026.
  21. Ji Shen & Bin Wei & Hongjun Yan, 2021. "Financial Intermediation Chains in an Over-the-Counter Market," Management Science, INFORMS, vol. 67(7), pages 4623-4642, July.
  22. Järvenpää, Maija & Paavola, Aleksi, 2021. "Investor monitoring, money-likeness and stability of money market funds," Bank of Finland Research Discussion Papers 2/2021, Bank of Finland.
  23. Edoardo Martino, 2022. "Getting bank governance right," Journal of Banking Regulation, Palgrave Macmillan, vol. 23(3), pages 302-321, September.
  24. Tri Vi Dang & Xiaoxi Liu & Florian Morath, 2022. "Taxation, Information Acquisition, and Trade in Decentralized Markets: Theory and Test," Working Papers 2022-08, Faculty of Economics and Statistics, Universität Innsbruck.
  25. Gang Bai & Chunhui Chen, 2023. "Managing Information Sensitivity: The Relationship between the Interbank Offered Rate and the Characteristics of Bank-Issued Wealth Management Products in China," Sustainability, MDPI, vol. 15(2), pages 1-19, January.
  26. Järvenpää, Maija & Paavola, Aleksi, 2021. "Investor monitoring, money-likeness and stability of money market funds," Research Discussion Papers 2/2021, Bank of Finland.
  27. Aytekin Ertan & Yun Lee & Regina Wittenberg-Moerman, 2025. "Unexpected defaults: the role of information opacity," Review of Accounting Studies, Springer, vol. 30(1), pages 899-949, March.
  28. Arnold, Grace E. & Rhodes, Meredith E., 2021. "Information sensitivity of corporate bonds: Evidence from the COVID-19 crisis," Finance Research Letters, Elsevier, vol. 42(C).
  29. Gabor Pinter & Emil Siriwardane & Danny Walker, 2024. "Fire sales of safe assets," Bank of England working papers 1089, Bank of England.
  30. Sergio A. Correia & Stephan Luck & Emil Verner, 2026. "Bank Failures: The Roles of Solvency and Liquidity," NBER Working Papers 34853, National Bureau of Economic Research, Inc.
  31. Li, Jiaqi, 2023. "Predicting the demand for central bank digital currency: A structural analysis with survey data," Journal of Monetary Economics, Elsevier, vol. 134(C), pages 73-85.
  32. Cecchetti, Stephen G. & Lumsdaine, Robin L. & Peltonen, Tuomas & Sánchez Serrano, Antonio, 2025. "Artificial intelligence and systemic risk," Report of the Advisory Scientific Committee 16, European Systemic Risk Board.
  33. repec:fip:a00001:94154 is not listed on IDEAS
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