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Hazardous tango: sovereign-bank interdependence and financial stability in the euro area.. (2012). Pisani-Ferry, Jean ; Merler, Silvia.
In: Financial Stability Review.
RePEc:bfr:fisrev:2011:16:19.

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  1. Fiscal policy under the eyes of wary bondholders. (2023). von Schweinitz, Gregor ; Staffa, Ruben Marek.
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  2. The Greek Economic Crisis and the Banks. (2023). Vayanos, Dimitri ; Hardouvelis, Gikas.
    In: GreeSE – Hellenic Observatory Papers on Greece and Southeast Europe.
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  3. The Greek economic crisis and the banks. (2023). Vayanos, Dimitri ; Hardouvelis, Gikas A.
    In: LSE Research Online Documents on Economics.
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  4. ‘Don’t Crunch My Credit’: Member State Governments’ Preferences on Bank Capital Requirements. (2021). Commain, Sebastien.
    In: Politics and Governance.
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  5. ‘Don’t Crunch My Credit’: Member State Governments’ Preferences on Bank Capital Requirements. (2021). Commain, Sbastien.
    In: Politics and Governance.
    RePEc:cog:poango:v9:y:2021:i:2:p:196-207.

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  6. Structural breaks in the interaction between bank and sovereign default risk. (2020). Lovreta, Lidija ; Pascual, Joaquin Lopez.
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  7. End of the sovereign-bank doom loop in the European Union? The Bank Recovery and Resolution Directive. (2020). Eydam, Ulrich ; Covi, Giovanni.
    In: Journal of Evolutionary Economics.
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  8. The rating spillover from banks to sovereigns: An empirical investigation across the European Union. (2020). Shi, Yukun ; Prokop, Jorg ; Hu, Haoshen ; Trautwein, Hans-Michael.
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  9. Systemic risk and financial stability dynamics during the Eurozone debt crisis. (2020). Kouretas, Georgios ; Bratis, Theodoros ; Laopodis, Nikiforos T.
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  10. Defaultnomics: Making Sense of the Barro-Ricardo Equivalence in a Financialized World. (2019). Mastromatteo, Giuseppe ; Esposito, Lorenzo.
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  11. The systemic implications of bail-in: A multi-layered network approach. (2018). Kok, Christoffer ; Hüser, Anne-Caroline ; Halaj, Grzegorz ; Haaj, Grzegorz ; Perales, Cristian ; van der Kraaij, Anton.
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  12. Bargained haircuts and debt policy implications. (2017). Santos, Rafael ; Leon, Marcia ; Araujo, Aloisio.
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  13. Sovereign collateral as a Trojan Horse: Why do we need an LCR+. (2017). Schmaltz, Christian ; Buschmann, Christian.
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  14. The 2012 eurozone crisis and the ECB’s OMT program: A debt-overhang banking and sovereign crisis interpretation. (2017). Occhino, Filippo.
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  15. The systemic implications of bail-in: a multi-layered network approach. (2017). Kok, Christoffer ; Hüser, Anne-Caroline ; Halaj, Grzegorz ; Haaj, Grzegorz ; Perales, Cristian ; van der Kraaij, Anton ; Huser, Anne-Caroline.
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  16. From Antigrowth Bias to Quantitative Easing: The ECBs Belated Conversion?. (2016). Bibow, Jörg.
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  17. The Nexus Between Systemic Risk and Sovereign Crises. (2016). Teply, Petr ; Klinger, Tomas.
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  18. Modelización de la solvencia bancaria en escenarios adversos: aplicación a los «PIIGS». (2016). Abad-González, Julio ; Abad-Gonzalez, Julio ; Gutierrez-Lopez, Cristina.
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  19. Hazardous tango: Sovereign-bank interdependencies across countries and time. (2016). van der Molen, Remco ; Muzalewski, Krzysztof ; Bekooij, Jack.
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  20. Banking Soundness Indicators and Sovereign Risk in Time of Crisis: The Case of the European Union. (2016). Parrado-Martinez, Purificacion ; Fernandez-Aguado, Pilar Gomez ; Partal-Urea, Antonio.
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  21. Bargained Haircuts and Debt Policy Implications. (2016). Santos, Rafael ; Leon, Marcia ; Araujo, Aloisio.
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  22. The Euros Savior? Assessing the ECBs Crisis Management Performance and Potential for Crisis Resolution. (2015). Bibow, Jörg.
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  23. The euros savior? Assessing the ECBs crisis management performance and potential for crisis resolution. (2015). Bibow, Jörg.
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  24. Is Banks’ Home Bias Good or Bad for Public Debt Sustainability?. (2015). Asonuma, Tamon ; Bakhache, Said A ; Hesse, Heiko.
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  25. The 2012 Eurozone Crisis and the ECB’s OMT Program: A Debt-Overhang Banking and Sovereign Crisis Interpretation. (2015). Occhino, Filippo.
    In: Working Papers (Old Series).
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  26. Banking union in a single currency area: evidence on financial fragmentation. (2015). Valiante, Diego.
    In: Journal of Financial Economic Policy.
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  27. Transmission of sovereign risk in the Euro crisis. (2015). Sauré, Philip ; Brutti, Filippo ; Saure, Philip.
    In: Journal of International Economics.
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  28. Between capture and discretion - The determinants of distressed bank treatment and expected government support. (2015). Ignatowski, Magdalena ; Korte, Josef ; Werger, Charlotte .
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  29. Monetary Policy, Bank Bailouts and the Sovereign-Bank Risk Nexus in the Euro Area. (2015). Rieth, Malte ; Fratzscher, Marcel.
    In: Discussion Papers of DIW Berlin.
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  30. Monetary policy, bank bailouts and the sovereign-bank risk nexus in the euro area. (2015). Rieth, Malte ; Fratzscher, Marcel.
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  31. Squaring the cycle- capital flows, financial cycles, and macro-prudential policy in the euro area. (2015). Merler, Silvia.
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  32. Monetary policy, bank bailouts and the sovereign-bank risk nexus in the euro area. (2014). Rieth, Malte ; Fratzscher, Marcel.
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  33. Tax Treatment of Public and Private Pensions. (2014). Vostatek, Jaroslav.
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  35. Impact of Non-cooperative Oligopoly of the Banking System on Its Pro-cyclicality in the Czech Republic. (2014). Tison, David .
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  36. The Developmnet of the Self-employed Sector in the Czech Republic in the Years 2006 - 2010. (2014). Pavlicek, Tomas.
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  37. Bank bailouts and bank-sovereign risk contagion channels. (2014). Stang, Irina M..
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  38. The dynamics of spillover effects during the European sovereign debt turmoil. (2014). Beyer, Andreas ; Alter, Adrian.
    In: Journal of Banking & Finance.
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  39. Banken treiben Eurokrise. (2013). Lindner, Fabian.
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  40. Should Non-Euro Area Countries Join the Single Supervisory Mechanism?. (2013). Wolff, Guntram ; Darvas, Zsolt.
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  41. The dynamics of spillover effects during the European sovereign debt crisis. (2013). Beyer, Andreas ; Alter, Adrian.
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  42. Should Non-Euro Area Countries Join the Single Supervisory Mechanism?. (2013). Wolff, Guntram ; Darvas, Zsolt.
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  44. The dynamics of spillover effects during the European sovereign debt turmoil. (2012). Beyer, Andreas ; Alter, Adrian.
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  45. Sovereign Risk: A Macro-Financial Perspective. (2012). Das, Udaibir S. ; Tsuda, Takahiro ; Oliva, Maria A..
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  46. Sovereign Risk: A Macro-Financial Perspective. (2012). Das, Udaibir S. ; Tsuda, Takahiro ; Oliva, Maria A..
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  47. Where now for the euro area crisis? Interim assessment and a model for a stable euro area. (2012). Watt, Andrew ; Tober, Silke ; Lindner, Fabian ; Horn, Gustav.
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  48. Quo vadis Krise? Zwischenbilanz und Konzept für einen stabilen Euroraum. (2012). Watt, Andrew ; Tober, Silke ; Lindner, Fabian ; Horn, Gustav.
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  49. Tracking Global Demand for Advanced Economy Sovereign Debt. (2012). Tsuda, Takahiro ; Arslanalp, Serkan.
    In: IMF Working Papers.
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    In: Working Paper Series.
    RePEc:ecb:ecbwps:20141666.

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  31. Systemic risk and bank business models. (2014). van Oordt, Maarten ; Zhou, Chen.
    In: Working Papers.
    RePEc:dnb:dnbwpp:442.

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  32. The Euro and the Geography of International Debt Flows. (2014). Obstfeld, Maurice ; Hale, Galina.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:9937.

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  33. Nonlinearities in Sovereign Risk Pricing: The Role of CDS Index Contracts. (2014). Portes, Richard ; Fouquau, Julien ; Delatte, Anne-Laure.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:9898.

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  34. A case for redistribution? Income inequality and wealth concentration in the recent crisis. (2014). Stockhammer, Engelbert ; Onaran, Ozlem ; Goda, Thomas.
    In: Documentos de Trabajo de Valor Público.
    RePEc:col:000122:012186.

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  35. Assessing contagion risks from the CDS market. (2013). Peltonen, Tuomas ; Gabrieli, Silvia ; CLERC, Laurent ; Brunnermeier, Markus ; el Omari, Yanis ; Kern, Steffen.
    In: ESRB Occasional Paper Series.
    RePEc:srk:srkops:201304.

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  36. The Euro and the Geography of International Debt Flows. (2013). Obstfeld, Maurice ; Hale, Galina.
    In: NBER Chapters.
    RePEc:nbr:nberch:13313.

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  37. The “forward premium puzzle” and the sovereign default risk. (2013). Mignon, Valérie ; Coudert, Virginie.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:32:y:2013:i:c:p:491-511.

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  38. On the time-varying relationship between EMU sovereign spreads and their determinants. (2013). Kontonikas, Alexandros ; Arghyrou, Michael ; Afonso, Antonio ; Bagdatoglou, George .
    In: SIRE Discussion Papers.
    RePEc:edn:sirdps:474.

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  39. Information Management in Banking Crises. (2013). Skeie, David ; Shapiro, Joel.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:9612.

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  40. Public debt and financial crises in the twentieth century. (2012). Schularick, Moritz.
    In: Discussion Papers.
    RePEc:zbw:fubsbe:20121.

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  41. When Is There a Strong Transfer Risk from the Sovereigns to the Corporates? Property Rights Gaps and CDS Spreads. (2012). Wei, Shang-Jin ; Bai, Jennie.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:18600.

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  42. When is there a strong transfer risk from the sovereigns to the corporates? Property rights gaps and CDS spreads. (2012). Wei, Shang-Jin ; Bai, Jennie.
    In: Staff Reports.
    RePEc:fip:fednsr:579.

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  43. The “Big C”: identifying and mitigating contagion. (2012). Forbes, Kristin.
    In: Proceedings - Economic Policy Symposium - Jackson Hole.
    RePEc:fip:fedkpr:y:2012:p:23-87.

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  44. Sovereign credit risk, banks government support, and bank stock returns around the world. (2012). Suarez, Gustavo ; Sapriza, Horacio ; Correa, Ricardo ; Lee, Kuan-Hui.
    In: International Finance Discussion Papers.
    RePEc:fip:fedgif:1069.

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  45. The determinants of sovereign bond yield spreads in the EMU. (2012). Kontonikas, Alexandros ; Arghyrou, Michael ; Afonso, Antonio.
    In: SIRE Discussion Papers.
    RePEc:edn:sirdps:387.

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  46. When Is There a Strong Transfer Risk from the Sovereigns to the Corporates? Property Rights Gaps and CDS Spreads. (2012). Wei, Shang-Jin ; Bai, Jennie.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:9252.

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  47. Robust Capital Regulation. (2012). Thakor, Anjan ; Schuermann, Til ; Mehran, Hamid ; Acharya, Viral.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:8792.

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  48. The Euros Three Crises. (2012). .
    In: Brookings Papers on Economic Activity.
    RePEc:bin:bpeajo:v:44:y:2012:i:2012-01:p:157-231.

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  49. Hazardous tango: sovereign-bank interdependence and financial stability in the euro area.. (2012). Pisani-Ferry, Jean ; Merler, Silvia.
    In: Financial Stability Review.
    RePEc:bfr:fisrev:2011:16:19.

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  50. Sovereign creditworthiness and financial stability:an international perspective.. (2012). Avdjiev, Stefan ; Caruana, J..
    In: Financial Stability Review.
    RePEc:bfr:fisrev:2011:16:07.

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