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What Is International Financial Contagion?. (2003). Moser, Thomas.
In: International Finance.
RePEc:bla:intfin:v:6:y:2003:i:2:p:157-178.

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  1. Regional and global shock spillovers to Africa’s equity markets: evidence from the global financial crisis and COVID-19 pandemic. (2024). Poku, Kwasi ; Aawaar, Godfred ; Logogye, Louis.
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  2. Balanced Funds in India Amid COVID-19 Crisis: Spreader of Financial Contagion?. (2024). Sinha, Pankaj ; Malhotra, Priya.
    In: IIM Kozhikode Society & Management Review.
    RePEc:sae:iimkoz:v:13:y:2024:i:1:p:7-24.

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  3. On the Risk-based Contagion of G7 Banking System and the COVID-19 Pandemic. (2024). da Silva, Cristiano ; Costa, Antonio ; Matos, Paulo.
    In: Global Business Review.
    RePEc:sae:globus:v:25:y:2024:i:6:p:1634-1654.

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  4. Risk and causality Co-movement of Malaysia’s stock market with its emerging and OECD trading partners. Evidence from the wavelet approach. (2024). Guo, Hui ; Wang, Xiaoyang ; Din, Badariah Haji ; Waris, Muhammad.
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  5. Systematic Contagion Effects of the Global Finance Crisis: Evidence from the World’s Largest Advanced and Emerging Equity Markets. (2023). Dungey, Mardi ; Gajurel, Dinesh.
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    RePEc:gam:jjrfmx:v:16:y:2023:i:3:p:182-:d:1091262.

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  6. Uncovering the repercussions of the USs credit rating downgrade on global equity markets. (2023). Nobanee, Haitham ; Azmi, Wajahat ; Hamill, Philip Anthony.
    In: Finance Research Letters.
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  7. Quantifying the asymmetric spillovers in sustainable investments. (2022). Iqbal, Najaf ; Suleman, Muhammed Tahir ; Naeem, Muhammad Abubakr.
    In: Journal of International Financial Markets, Institutions and Money.
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  8. On the relationship between COVID-19 and G7 banking co-movements. (2022). Matos, Paulo ; da Silva, Cristiano ; Costa, Antonio.
    In: Economics Bulletin.
    RePEc:ebl:ecbull:eb-21-01124.

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  9. Determinants of financial stress in emerging market economies: Are spatial effects important?. (2021). Önder, A. Özlem ; Onder, Ozlem A ; Kosedali, Begum Yurteri.
    In: International Journal of Finance & Economics.
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  10. Return and volatility spillovers to African currencies markets. (2021). MOUGOUE, Mbodja ; Etoundi, Eric Martial.
    In: Journal of International Financial Markets, Institutions and Money.
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  11. Two decades of contagion effect on stock markets: Which events are more contagious?. (2021). Iwanicz-Drozdowska, Małgorzata ; Kurowski, Ukasz ; Smaga, Pawe ; Rogowicz, Karol.
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    RePEc:eee:finsta:v:55:y:2021:i:c:s157230892100067x.

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  12. The contagion effects of volatility indices across the U.S. and Europe. (2020). Huang, Tze-Chin ; Chiang, Shu-Mei ; Chen, Chun-Da.
    In: The North American Journal of Economics and Finance.
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  13. Measuring and Evaluating the Dynamics of Trade Shock Propagation in the Oceania. (2020). EKEOCHA, Patterson ; Ogbuabor, Jonathan.
    In: Conference papers.
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  14. The walking debt crisis. (2019). Kruse, Robinson ; Basse, Tobias ; Wegener, Christoph.
    In: Journal of Economic Behavior & Organization.
    RePEc:eee:jeborg:v:157:y:2019:i:c:p:382-402.

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  15. Financial Contagion in the BRICS Stock Markets: An empirical analysis of the Lehman Brothers Collapse and European Sovereign Debt Crisis. (2018). Pereira, Dirceu.
    In: Journal of Economics and Financial Analysis.
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  16. Contagion Risks in Emerging Stock Markets: New Evidence from Asia and Latin America. (2018). Ngoc, Thi Bich.
    In: JRFM.
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  17. The Effect of Alternative Measures of Distance on the Correlation of Real Effective Exchange Rate Returns: An Approach to Contagion Analysis. (2018). Shenai, Vijay ; Coulom, Jean.
    In: IJFS.
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  18. Estimating the contagion effect through the portfolio channel using a network approach. (2018). Schiavone, Alessandro.
    In: Questioni di Economia e Finanza (Occasional Papers).
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  19. Asymmetric effects of the international transmission of US financial stress. A threshold-VAR approach. (2017). Evgenidis, Anastasios ; Tsagkanos, Athanasios.
    In: International Review of Financial Analysis.
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  20. Return and volatility spillovers effects: Evaluating the impact of Shanghai-Hong Kong Stock Connect. (2017). Ahmed, Abdullahi ; Huo, Rui.
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  21. How Has the Behavior of Cross-Market Correlations Altered During Financial and Debt Crises?. (2017). Ulusoy, Veysel ; demiralay, sercan.
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  22. The Walking Debt Crisis. (2017). Wegener, Christoph ; Kruse, Robinson ; Basse, Tobias.
    In: CREATES Research Papers.
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  23. Contagion: Recent Models in International Finance Literature. (2016). Sever, Can.
    In: Bulletin of Business and Economics (BBE).
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  24. Causes and hazards of the euro area sovereign debt crisis: Pure and fundamentals-based contagion. (2016). Sosvilla-Rivero, Simon ; Gómez-Puig, Marta ; Gomez-Puig, Marta.
    In: Economic Modelling.
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  25. No contagion from Russia toward global equity markets after the 2014 international sanctions. (2016). Nivorozhkin, Eugene ; Castagneto-Gissey, G.
    In: Economic Analysis and Policy.
    RePEc:eee:ecanpo:v:52:y:2016:i:c:p:79-98.

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  26. Crisis Determination and Financial Contagion: An Analysis of the Hong Kong and Tokyo Stock Markets using an MSBVAR Approach. (2015). Troug, Haytem ; Murray, Matt.
    In: MPRA Paper.
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  27. Is Loan Dollarization Contagious across Countries? Evidence from Transition Economies. (2015). Savva, Christos ; Neanidis, Kyriakos.
    In: Centre for Growth and Business Cycle Research Discussion Paper Series.
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  28. Information Mirages and Financial Contagion in Asset Market Experiment. (2014). Xu, Yilong ; Noussair, Charles.
    In: Other publications TiSEM.
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  29. Information Mirages and Financial Contagion in Asset Market Experiment. (2014). Noussair, Charles ; Xu, Yilong.
    In: Discussion Paper.
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  30. Price limit and financial contagion: protection or illusion? The tunisian stock exchange case. (2014). Silem, Ahmed ; Dabbou, Halim.
    In: Post-Print.
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  31. Determinants of financial stress in emerging market economies. (2014). Park, Cyn-Young ; Mercado, Rogelio.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:45:y:2014:i:c:p:199-224.

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  32. Price Limit and Financial Contagion: Protection or Illusion? The Tunisian Stock Exchange Case. (2014). Dabbou, Halim ; Silem, Ahmed.
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  33. CONTAGION AND FLIGHT-TO-QUALITY: EVIDENCES FROM THE ASIA-PACIFIC ECONOMIC COOPERATION (APEC) REGION. (2014). Au Yong, Hue Hwa ; Peng, Yu-Tung ; Treepongkaruna, Sirimon.
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  34. Determinants of Financial Stress in Emerging Market Economies. (2013). Park, Cyn-Young ; Mercado, Rogelio ; Mercado, Jr., Rogelio V., .
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  35. AN INQUIRY INTO CONTAGION TRANSMISSION AND SPILLOVER EFFECTS IN STOCK MARKETS. (2013). Trenca, Ioan ; Petria, Nicolae ; Dezsi, Eva ; Ioan, Trenca ; Nicolae, Petria ; Eva, DEZSI .
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  36. Volatility Spillovers, Comovements and Contagion in Securitized Real Estate Markets. (2013). Hoesli, Martin ; Reka, Kustrim .
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  37. A new approach of contagion based on smooth transition conditional correlation GARCH models: An empirical application to the Greek crisis. (2013). Audige, Henri.
    In: Working Papers.
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  38. Bank/sovereign risk spillovers in the European debt crisis. (2013). Vander Vennet, Rudi ; Schepens, Glenn ; de Bruyckere, Valerie ; Gerhardt, Maria.
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  39. Has the structural break slowed down growth rates of stock markets?. (2013). Narayan, Seema ; Mishra, Sagarika.
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  40. Global financial crisis, financial contagion and emerging markets. (2012). Unsal, Filiz ; Ozkan, Gulcin.
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  41. Kuresel Kriz, Avrupa Borc Krizi ve Gelismekte Olan Piyasalarda Bulasicilik Etkisi. (2012). Özbay Özlü, Pınar ; Ünalmış, Deren ; Küçüksaraç, Doruk ; Kucuksarac, Doruk.
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  42. Kuresel Kriz, Avrupa Borc Krizi ve Gelismekte Olan Piyasalarda Bulasicilik Etkisi (Global Crisis, European Debt Crisis and Contagion in Emerging Markets). (2012). Özbay Özlü, Pınar ; Ünalmış, Deren ; Küçüksaraç, Doruk ; Ozlu, Pinar ; Kucuksarac, Doruk ; Unalmis, Deren.
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  43. The impact of terrorism on global equity market integration. (2012). .
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  44. International Capital Mobility and Financial Fragility - Part 4. Which Structural Policies Stabilise Capital Flows When Investors Suddenly Change Their Mind?: Evidence from Bilateral Bank Data. (2012). Schwellnus, Cyrille ; Ahrend, Rudiger.
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  45. Global Financial Crisis, Financial Contagion, and Emerging Markets. (2012). Unsal, Filiz ; Ozkan, Gulcin.
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  46. Sucker Punched by the Invisible Hand. (2012). Fligstein, Neil ; Goldstein, Adam.
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  47. Capital Flows and Financial Stability: Monetary Policy and Macroprudential Responses. (2011). Unsal, Filiz.
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  48. Volatility Spillovers, Comovements and Contagion in Securitized Real Estate Markets. (2011). Hoesli, Martin ; Reka, Kustrim .
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  49. Efectos de las Crisis Anticipadas y No Anticipadas sobre El Contagio Financiero Internacional.. (2009). Lagunes, Mario ; Watkins, Karen.
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  50. Fatal attraction: Using distance to measure contagion in good times as well as bad. (2007). MacDonald, Ronald ; Fazio, Giorgio ; Bayoumi, Tamim ; Kumar, Manmohan.
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  51. Fatal attraction: Using distance to measure contagion in good times as well as bad. (2007). MacDonald, Ronald ; Fazio, Giorgio ; Bayoumi, Tamim ; Kumar, Manmohan.
    In: Review of Financial Economics.
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  53. Robust Lessons about Practical Early Warning Systems. (2005). Menkhoff, Lukas ; Beckmann, Daniela ; Sawischlewski, Katja .
    In: Proceedings of the German Development Economics Conference, Kiel 2005.
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  54. Robust Lessons about Practical Early Warning Systems. (2005). Menkhoff, Lukas ; Beckmann, Daniela ; Sawischlewski, Katja .
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  55. Financial contagion vulnerability and resistance: A comparison of European stock markets. (2005). Serwa, Dobromił ; Bohl, Martin T..
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  56. External finance, sudden stops and financial crisis: what is different this time?. (). Unsal, Filiz ; Ozkan, Gulcin.
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  1. Deposit Withdrawals from Distressed Commercial Banks: The Importance of Switching Costs. (2017). Morkoetter, Stefan ; Guin, Benjamin ; Brown, Martin.
    In: Working Papers on Finance.
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  2. Network Contagion and Interbank Amplification during the Great Depression. (2016). Richardson, Gary ; Mitchener, Kris James.
    In: Working Paper.
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  3. Network Contagion and Interbank Amplification during the Great Depression. (2016). Richardson, Gary ; Mitchener, Kris James.
    In: CEPR Discussion Papers.
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  4. Interbank networks in the national banking era: their purpose and their role in the panic of 1893. (2016). Carlson, Mark ; Calomiris, Charles.
    In: BIS Working Papers.
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  5. Deposit Withdrawals from Distressed Commercial Banks. (2015). Morkoetter, Stefan ; Guin, Benjamin ; Brown, Martin ; Morkotter, Stefan .
    In: VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy.
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  6. Economics and the Modern Economic Historian. (2015). Abramitzky, Ran.
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  7. Playing with Fire? Internationalization and Condition of Mexican Banks Prior to The 1982 Debt Crisis. (2015). Alvarez, Sebastian.
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  8. Tail risk and systemic risk of US and Eurozone financial institutions in the wake of the global financial crisis. (2015). Straetmans, Stefan ; Chaudhry, Sajid M.
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  9. Size, leverage, and risk-taking of financial institutions. (2015). Bhagat, Sanjai ; Lu, Jun ; Bolton, Brian.
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  10. Market discipline by bank creditors during the 2008–2010 crisis. (2015). Bennett, Rosalind ; Hwa, Vivian ; Kwast, Myron L.
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  11. Does the Geographic Expansion of Bank Assets Reduce Risk?. (2014). Levine, Ross ; Laeven, Luc ; Goetz, Martin.
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  12. Banking on Experiments?. (2014). Dufwenberg, Martin.
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  13. Basel III, capital stability, risk-taking, ownership: Evidence from Asia. (2014). Jiraporn, Pornsit ; Jumreornvong, Seksak ; Chalermchatvichien, Pichaphop .
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  14. The dark and the bright side of liquidity risks: Evidence from open-end real estate funds in Germany. (2014). Wedow, Michael ; Fecht, Falko.
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  15. Did bank distress stifle innovation during the Great Depression?. (2014). Nanda, Ramana ; Nicholas, Tom.
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  16. Understanding bank-run contagion. (2014). Vlahu, Razvan ; Trautmann, Stefan ; Brown, Martin.
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  17. “When the cats away the mice will play”: Does regulation at home affect bank risk-taking abroad?. (2013). Udell, Gregory ; Popov, Alexander ; Ongena, Steven.
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  18. The effects of reconstruction finance corporation assistance on Michigans banks survival in the 1930s. (2013). Calomiris, Charles ; Weidenmier, Marc ; Bobroff, Katherine ; Mason, Joseph R..
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  19. CONTROL RIGHTS (AND WRONGS). (2012). HALDANE, ANDREW.
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  20. Bank Risk-Taking Abroad : Does Home-Country Regulation and Supervision Matter. (2011). Udell, Gregory ; Popov, Alexander ; Ongena, Steven.
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  23. How well do aggregate prudential ratios identify banking system problems?. (2010). Schaeck, Klaus ; Cihak, Martin.
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  24. Information-based contagion and the implications for financial fragility. (2010). MANZ, MICHAEL .
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  25. The dark and the bright side of liquidity risks: evidence from open-end real estate funds in Germany. (2009). Wedow, Michael ; Fecht, Falko.
    In: Discussion Paper Series 2: Banking and Financial Studies.
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  26. Bank Crises and Investor Confidence. (2009). Paulson, Anna ; Osili, Una Okonkwo.
    In: NFI Working Papers.
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  27. Should increased regulation of bank risk-taking come from regulators or from the market?. (2009). Hetzel, Robert L..
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  28. Bank governance, regulation and risk taking. (2009). Levine, Ross ; Laeven, Luc.
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  29. The Subprime Panic. (2008). Gorton, Gary.
    In: NBER Working Papers.
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  30. The Panic of 2007. (2008). Gorton, Gary.
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  31. Understanding Bank Runs: The Importance of Depositor-Bank Relationships and Networks. (2008). Puri, Manju ; Iyer, Rajkamal.
    In: NBER Working Papers.
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  32. Bank Governance, Regulation, and Risk Taking. (2008). Levine, Ross ; Laeven, Luc.
    In: NBER Working Papers.
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  33. The panic of 2007. (2008). Gorton, Gary.
    In: Proceedings - Economic Policy Symposium - Jackson Hole.
    RePEc:fip:fedkpr:y:2008:p:131-262.

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  34. Bank failures and bank fundamentals: A comparative analysis of Latin America and East Asia during the nineties using bank-level data. (2008). Arena, Marco.
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  35. Credit Contagion and Trade Credit Supply: Evidence from Small Business Data in Japan. (2007). Tsuruta, Daisuke ; Daisuke, Tsuruta.
    In: Discussion papers.
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  36. Banking Fragility & Disclosure: International Evidence. (2006). Tadesse, Solomon.
    In: William Davidson Institute Working Papers Series.
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  37. The transparency of the banking system and the efficiency of information-based bank runs. (2006). HASAN, IFTEKHAR ; Chen, Yehning.
    In: Journal of Financial Intermediation.
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  38. Cross-country empirical studies of systemic bank distress : a survey. (2005). Detragiache, Enrica ; Demirguc-Kunt, Asli.
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  39. Measuring systemic risk: A risk management approach. (2005). Lehar, Alfred.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:29:y:2005:i:10:p:2577-2603.

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  40. Causes of bank suspensions in the panic of 1893. (2005). Carlson, Mark.
    In: Explorations in Economic History.
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  41. Market evidence on the opaqueness of banking firms assets. (2004). Kwan, Simon ; Flannery, Mark ; Nimalendran, M..
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  42. Cyclical correlations, credit contagion, and portfolio losses. (2004). Weber, Stefan ; Giesecke, Kay.
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  43. Réglementation prudentielle et discipline de marché. (2003). Rochet, Jean.
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  44. The great banks depression : deposit withdrawals in the German crisis of 1931. (2003). Schnabel, Isabel.
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  45. Reconsidering equilibrium: a socio-economic perspective. (2002). Zafirovski, Milan.
    In: Journal of Behavioral and Experimental Economics (formerly The Journal of Socio-Economics).
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  46. Do Depositors Punish Banks for Bad Behavior? Market Discipline, Deposit Insurance, and Banking Crises. (2002). Schmukler, Sergio ; Martinez-Peria, Maria Soledad.
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  47. Apec competition principles: application to financial services. (2001). Grimes, Arthur.
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  48. The impact of bank failures on local bank pricing decisions. (2000). Hendrickson, Jill M..
    In: The Quarterly Review of Economics and Finance.
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  49. Systemic Risk: A Survey. (2000). Hartmann, Philipp ; DE BANDT, OLIVIER.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:2634.

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  50. Contagious bank runs. (1999). Bougheas, Spiros.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:8:y:1999:i:2:p:131-146.

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