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Measuring the Debt Service Ratio in Russia: A Micro-Level Data Approach. (2022). Burova, Anna.
In: Russian Journal of Money and Finance.
RePEc:bkr:journl:v:81:y:2022:i:3:p:72-88.

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  1. Alessi, L. and Detken, C. (2018). Identifying Excessive Credit Growth and Leverage. Journal of Financial Stability, 35, pp. 215–225. https://doi.org/10.1016/j.jfs.2017.06.005 Arcand, J. L., Berkes, E. and Panizza, U. (2015). Too Much Finance? Journal of Economic Growth, 20(2), pp. 105–148. https://doi.org/10.1007/s10887-015-9115-2 Bank for International Settlements (2017). BIS Database for Debt Service Ratios for the Private Non-Financial Sector. Data Documentation. Last updated 23 May 2017.

  2. Bank of Russia (2019). O vozmozhnykh makroprudentsialʹnykh merakh po ogranicheniyu dolgovoy nagruzki nefinansovykh organizatsiy [Possible Macroprudential Measures to Limit Debt Burden for Private Non-Financial Companies]. Bank of Russia Consultation Paper. [In Russian].
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  3. Donets, S. and Ponomarenko, A. (2017). Indikatory dolgovoy nagruzki [Measuring Debt Burden]. Dengi i Credit, 4, pp. 5–13. [In Russian].
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  4. Drehmann, M. and Juselius, M. (2012). Do Debt Service Costs Affect Macroeconomic and Financial Stability? BIS Quarterly Review, September Issue, pp. 21–35.

  5. Drehmann, M. and Juselius, M. (2013). Evaluating Early Warning Indicators of Banking Crises: Satisfying Policy Requirements. BIS Working Papers, N 421.

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  8. Goncharenko, R., Mamonov, M., Ongena, S., Popova, S. and Turdyeva, N. (2021). Quo Vadis? Evidence on New Firm-Bank Matching and Firm Performance Following Bad Bank Closures. Bank of Russia Working Paper Series, N 90.
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  9. Juselius, M. and Drehmann, M. (2015). Leverage Dynamics and the Real Burden of Debt. BIS Working Paper, N 501.

  10. Mian, A. and Sufi, A. (2009). The Consequences of Mortgage Credit Expansion: Evidence from the U.S. Mortgage Default Crisis. The Quarterly Journal of Economics, 124(4), pp. 1449–1496. https://doi.org/10.1162/qjec.2009.124.4.1449 Russian Journal of Money and Finance 88 september 2022 Mian, A., Sufi, A. and Verner, E. (2017). Household Debt and Business Cycles Worldwide. The Quarterly Journal of Economics, 132(4), pp. 1755–1817. https://doi.org/10.1093/qje/qjx017 Müller, K. and Verner, E. (2021). Credit Allocation and Macroeconomic Fluctuations.

  11. Productivity and Lending During the Pandemic Period. Voprosy Ekonomiki, 7, pp. 123–141. [In Russian]. https://doi.org/10.32609/0042-8736-2021-7-123-141 Cecchetti, S. G. and Kharroubi, E. (2012). Reassessing the Impact of Finance on Growth. BIS Working Papers, N 381.
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