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Evaluating the effectiveness of the new EU bank regulatory framework: A farewell to bail-out?. (2017). Petracco Giudici, Marco ; Maccaferri, Sara ; Di Girolamo, Francesca Erica ; Cariboni, Jessica ; Benczur, Peter ; Cannas, Giuseppina.
In: Journal of Financial Stability.
RePEc:eee:finsta:v:33:y:2017:i:c:p:207-223.

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  2. Accounting for climate transition risk in banks’ capital requirements. (2024). Alessi, Lucia ; Giudici, Marco Petracco ; di Girolamo, Erica Francesca ; Pagano, Andrea.
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  3. Bail-in and bank funding costs. (2023). Cerasi, Vittoria ; Galfrascoli, Paola.
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  4. Bank resolution mechanisms revisited: Towards a new era of restructuring. (2023). Tsomocos, Dimitrios ; Kryg, Natalia ; Hryckiewicz, Aneta.
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  7. Fluctuating bail-in expectations and effects on market discipline, risk-taking and cost of capital. (2022). Giuliana, Raffaele.
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  11. Bank bond holdings and bail-in regulatory changes: evidence from euro area security registers. (2022). Scopelliti, Alessandro ; Ongena, Steven ; Altavilla, Carlo ; Fernandes, Cecilia Melo.
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  13. The global financial crisis, the EMU sovereign debt crisis and international financial regulation: lessons from a systematic literature review. (2021). Meier, Samira ; Gonzalez, Miguel Rodriguez ; Kunze, Frederik.
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  15. Do CDS markets care about the G-SIB status?. (2020). Schich, Sebastian ; Maccaferri, Sara ; Heynderickx, Wouter ; Bellia, Mario.
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  16. Bail-in regulation and stock market reaction. (2020). Fiordelisi, Franco ; Ricci, Ornella ; Minnucci, Federica ; Previati, Daniele.
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  18. Do board structure and compensation matter for bank stability and bank performance? Evidence from European banks. (2019). PSILLAKI, Maria ; Mavrakana, Christina.
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  19. Insider perspectives on European banking challenges in the post-crisis regulation environment. (2019). Anagnostopoulos, Yiannis ; Kabeega, Jackie.
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  20. Analysis of China Commercial Banks’ Systemic Risk Sustainability through the Leave-One-Out Approach. (2019). Zhang, Xiaoming ; Zedda, Stefano ; Wei, Chunyan.
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  21. Factors influencing the European bank’s probability of default: An application of SYMBOL methodology. (2019). Parrado-Martinez, Purificacion ; Gomez-Fernandez, Pilar ; Partal-Urea, Antonio.
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  22. European bank loan loss provisioning and technological innovative progress. (2019). Simper, Richard ; Bryce, Cormac ; Dadoukis, Aristeidis.
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  23. Bail‐in rules and the pricing of Italian bank bonds. (2019). Crespi, Fabrizio ; Giacomini, Emanuela ; Mascia, Danilo V.
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  24. Banks, debt and risk: assessing the spillovers of corporate taxes. (2018). Heynderickx, Wouter ; Fatica, Serena ; Pagano, Andrea.
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  25. Risk Profile Indicators and Spanish Banks’ Probability of Default from a Regulatory Approach. (2018). Parrado-Martinez, Purificacion ; Gomez-Fernandez, Pilar ; Partal-Urea, Antonio.
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  26. Bail-In: A Sustainable Mechanism for Rescuing Banks. (2018). Oliver-Alfonso, Maria Dolores ; Sanchez-Roger, Marc ; Sanchis-Pedregosa, Carlos.
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  27. The European Deposit Insurance Scheme: Assessing risk absorption via SYMBOL. (2017). Petracco Giudici, Marco ; Maccaferri, Sara ; Alessi, Lucia ; Marco, Petracco Giudici ; Giuseppina, Cannas ; Lucia, Alessi.
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  28. Modigliani-Miller Doesn’t Hold in a “Bailinable” World: A New Capital Structure to Reduce the Banks’ Funding Cost.. (2016). Baglioni, Angelo ; Esposito, Marcello.
    In: DISCE - Working Papers del Dipartimento di Economia e Finanza.
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    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:33:y:2017:i:c:p:207-223.

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  15. Macroprudential policy: A review. (2017). Lehar, Alfred ; Kahou, Mahdi Ebrahimi.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:29:y:2017:i:c:p:92-105.

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  16. Systemic risk with endogenous loss given default. (2017). Ijtsma, Pieter ; Spierdijk, Laura.
    In: Journal of Empirical Finance.
    RePEc:eee:empfin:v:44:y:2017:i:c:p:145-157.

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  17. Expected default based score for identifying systemically important banks. (2017). Li, jianping ; Yao, Yanzhen ; Zhu, Xiaoqian ; Wei, LU.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:64:y:2017:i:c:p:589-600.

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  18. The Implicit Costs of Government Deposit Insurance. (2016). Luther, William ; Hogan, Thomas.
    In: Journal of Private Enterprise.
    RePEc:jpe:journl:1269.

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  19. Bank credit default swaps and deposit insurance around the world. (2016). Fang, Yiwei ; Liu, Liuling ; Zhang, Gaiyan.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:69:y:2016:i:c:p:339-363.

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  20. The pricing of deposit insurance in the presence of systematic risk. (2015). Lee, Shih-Cheng ; Tsai, Ming-Shann ; Lin, Chien-Ting.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:51:y:2015:i:c:p:1-11.

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  21. Measuring systemic risk-adjusted liquidity (SRL)—A model approach. (2014). Jobst, Andreas.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:45:y:2014:i:c:p:270-287.

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  22. How do asset encumbrance and debt regulations affect bank capital and bond risk?. (2014). Lindset, Snorre ; Helberg, Stig.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:44:y:2014:i:c:p:39-54.

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  23. Novel three-bank model for measuring the systemic importance of commercial banks. (2014). Lu, Jing ; Hu, Xiaohong.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:43:y:2014:i:c:p:238-246.

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  24. European Deposit Insurance and Resolution in the Banking Union. (2014). Schoenmaker, Dirk ; Gros, Daniel.
    In: Journal of Common Market Studies.
    RePEc:bla:jcmkts:v:52:y:2014:i:3:p:529-546.

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  25. Evaluating the effects of the EU directive proposal for risk-based deposit insurance premiums in Spain. (2013). Trujillo-Ponce, Antonio ; Pilar Gomez-Fernandez-Aguado, ; Partal-Urea, Antonio.
    In: Working Papers.
    RePEc:pab:fiecac:13.01.

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  26. Weathering the crisis and beyond: perspectives for the Euro area. (2013). Weigert, Benjamin ; Schmidt, Christoph.
    In: International Tax and Public Finance.
    RePEc:kap:itaxpf:v:20:y:2013:i:4:p:564-595.

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  27. Measuring the systemic importance of interconnected banks. (2013). Tarashev, Nikola ; Drehmann, Mathias.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:22:y:2013:i:4:p:586-607.

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  28. A theory of failed bank resolution: Technological change and political economics. (2013). Kowalik, Michal ; Deyoung, Robert ; Reidhill, Jack .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:4:p:612-627.

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  29. Are Banks Passive Liquidity Backstops? Deposit Rates and Flows during the 2007-2009 Crisis. (2012). Mora, Nada ; Acharya, Viral.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:17838.

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  30. Macroprudential capital requirements and systemic risk. (2012). Lehar, Alfred ; Souissi, Moez ; Gauthier, Celine .
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:21:y:2012:i:4:p:594-618.

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  31. Market Failures and Regulatory Failures: Lessons from Past and Present Financial Crises. (2011). Acharya, Viral ; Cooley, Thomas ; Richardson, Matthew ; Walter, Ingo.
    In: ADBI Working Papers.
    RePEc:ris:adbiwp:0264.

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  32. Modeling Correlated Systemic Liquidity and Solvency Risks in a Financial Environment with Incomplete Information. (2011). Barnhill, Theodore M ; Schumacher, Liliana B.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2011/263.

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  33. Robust capital regulation. (2011). Thakor, Anjan ; Schuermann, Til ; Mehran, Hamid ; Acharya, Viral.
    In: Staff Reports.
    RePEc:fip:fednsr:490.

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  34. Are banks passive liquidity backstops? deposit rates and flows during the 2007-2009 crisis. (2011). Mora, Nada ; Acharya, Viral.
    In: Research Working Paper.
    RePEc:fip:fedkrw:rwp11-06.

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  35. Are Banks Passive Liquidity Backstops? Deposit Rates and Flows during the 2007-2009 Crisis. (2011). Mora, Nada ; Acharya, Viral.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:8706.

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  36. Partial Deposit Insurance and Moral Hazard in Banking. (2010). Wang, Grace ; Gan, Li ; Wen-Yao, Wang ; Li, Gan.
    In: MPRA Paper.
    RePEc:pra:mprapa:25798.

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