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Do banks fuel climate change?. (2022). Reghezza, Alessio ; Marques-Ibanez, David ; Altunbas, Yener ; Spaggiari, Martina ; Dacri, Costanza Rodriguez.
In: Journal of Financial Stability.
RePEc:eee:finsta:v:62:y:2022:i:c:s1572308922000717.

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  2. Bank lending to fossil fuel firms. (2025). Politsidis, Panagiotis ; Demetriades, Elias.
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  3. The Paris Agreement and firms’ carbon information disclosure: Honesty or catering?. (2025). Wang, Daoping ; Zhou, Cier ; Shen, Xinyan ; Fan, Xiaoyun.
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  4. Bank lending to fossil fuel firms. (2025). Demetriades, Elias ; Politsidis, Panagiotis N.
    In: Journal of Financial Stability.
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  5. Does green credit accelerate green transformation of heavily polluting enterprises?. (2025). Luo, Xuehua ; Zhang, Zeyi ; Xu, Baoliang ; Du, Jiating.
    In: International Review of Financial Analysis.
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  6. Spotlight on physical risk: Assessing the banks stock reaction to the ECB climate stress test. (2025). Fiordelisi, Franco ; Ricci, Ornella ; Santilli, Gianluca.
    In: International Review of Financial Analysis.
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  7. How does carbon transition risk drive corporate diversification? Evidence from heavy emitter firms in China. (2025). Duc, Toan Luu ; Thuy, Van Thi ; Zhang, Hailiang ; Nguyen, Cuong ; Hoang, Khanh.
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  8. Green banking illusion? The influence of “Eco-Conscious” bank shareholders on credit allocation. (2025). Sakasai, Yuki ; Kadach, Igor ; Eufinger, Christian ; Bhm, Adrian.
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  9. Carbon transition risk and corporate loan securitization. (2024). Nguyen, Huyen ; Muller, Isabella.
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  10. Does credit growth mitigate emission intensity in ASEAN countries?. (2024). Kumari, Sonia ; Akhtar, Rulia ; Masud, Muhammad Mehedi ; Hanifa, Abu ; al Mamun, Abdullah.
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  11. Financial Deepening and Carbon Emissions Intensity : Evidence from a Global Sample of Countries. (2024). Singer, Dorothe ; Melecký, Martin ; Fisera, Boris.
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  12. Is there a direct benefit of using electronic commerce and electronic banking in mitigating climate change?. (2024). Doran, Marius Dalian ; Bdircea, Roxana Maria ; Hurduzeu, Gheorghe ; Manta, Alina Georgiana.
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  13. The Green Trilemma: Energy Efficiency, Banking Stability and Climate Risk in the ESG Context at World Level. (2024). LEOGRANDE, ANGELO ; Arnone, Massimo.
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  14. Global Bank Lending Under Climate Policy. (2024). Demirguc-Kunt, Asli ; Pulga, Fredy ; Ruiz-Ortega, Claudia ; Demirgu-Kunt, Asli ; Pedraza, Alvaro.
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  15. The challenge of phasing-out fossil fuel finance in the banking sector. (2024). Ameli, N ; Grubb, M ; Falkenberg, M ; Rickman, J ; Larosa, F ; Kothari, S.
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  16. Bank lending to fossil fuel firms. (2024). Politsidis, Panagiotis N ; Demetriades, Elias.
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  17. Family firms and carbon emissions. (2024). Kowalewski, Oskar ; Eugster, Nicolas ; Klein, Paul-Olivier ; Borsuk, Marcin.
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  18. Banking on Deforestation: The Cost of Nonenforcement. (2024). Roman, Raluca ; Ossandon Busch, Matias ; Ortega, Cristina ; Berger, Allen N.
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  19. Sustainability and bank credit access: New evidence from Italian SMEs. (2024). Labini, Stefania Sylos ; Galletta, Simona ; Dapolito, Elisabetta ; Iannuzzi, Antonia Patrizia.
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  20. Do banks price ESG risks? A critical review of empirical research. (2024). Drago, Danilo ; Carnevale, Concetta.
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  21. Is climate change fueling commercial banks’ non-performing loan ratio? Empirical evidence from 31 provinces in China. (2024). Wang, Feng ; Fan, Wenna ; Jiang, Hongfei ; Ling, Rui ; Yan, Bin ; Zhang, Hao.
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  22. Credit rationing and sustainable activities: A firm-level investigation. (2024). Rancan, Michela ; Pietrovito, Filomena.
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  23. Banking sustainability in a large emerging economy: Focus on Brazilian banks. (2024). Galvis Ciro, Juan Camilo ; de Moraes, Claudio Oliveira ; Galvis-Ciro, Juan Camilo ; Cunha, Leonardo Vieira.
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  24. Climate risk and the systemic risk of banks: A global perspective. (2024). Huang, Zhijian ; Zhang, Yun ; Wen, Fenghua ; Wu, Baohui.
    In: Journal of International Financial Markets, Institutions and Money.
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  25. Banks’ environmental policies and banks’ financial stability. (2024). Pisera, Stefano ; Chiaramonte, Laura ; Goodell, John W ; Paltrinieri, Andrea ; Dreassi, Alberto.
    In: Journal of International Financial Markets, Institutions and Money.
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  26. ESG activity and bank lending during financial crises. (2024). TARAZI, Amine ; Danisman, Gamze Ozturk.
    In: Journal of Financial Stability.
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  27. Banks fossil fuel divestment and corporate governance: The role of board gender diversity. (2024). Rimo, Giuseppe ; Cosma, Simona ; Mazz, Sebastiano ; Galletta, Simona.
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  28. Climate change exposure and cost of equity. (2024). Sensoy, Ahmet ; Cepni, Oguzhan ; Yilmaz, Muhammed Hasan.
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  29. Does energy efficiency of UK SMEs affect their access to finance?. (2024). cowling, marc ; Calabrese, Raffaella ; Chen, Jingyuan.
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  30. Family firms and carbon emissions. (2024). Kowalewski, Oskar ; Borsuk, Marcin ; Klein, Paul-Olivier ; Eugster, Nicolas.
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  31. Climate risk, bank lending and monetary policy. (2024). Pagano, Marco ; Altavilla, Carlo ; Boucinha, Miguel ; Polo, Andrea.
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  32. Loan guarantee and portfolio greening: evidence from European credit registers. (2024). Reghezza, Alessio ; Perdichizzi, Salvatore ; Miquel-Flores, Ixart ; Buchetti, Bruno.
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  33. Climate supervisory shocks and bank lending: empirical evidence from microdata. (2024). Aiello, Maria Alessia ; Ricco, Giovanni ; Hong, Seokki Simon ; Degasperi, Riccardo.
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  35. How does climate risk affect bank loan supply? Empirical evidence from China. (2023). Wu, Xin ; Li, Shouwei.
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  36. Family Ownership and Carbon Emissions. (2023). Kowalewski, Oskar ; Eugster, Nicolas ; Klein, Paul-Olivier ; Borsuk, Marcin.
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  38. Environmental engagement and stock price crash risk: Evidence from the European banking industry. (2023). Ricci, Ornella ; Santilli, Gianluca ; Fiordelisi, Franco.
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  39. Do M&As impact firm carbon intensity?11The views expressed in this paper are those of the authors and should not be attributed to the institutions with which they are affiliated.,. (2023). Thornton, John ; Altunbas, Yener ; Khan, Atiqur.
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  40. The greening of lending: Evidence from banks’ pricing of energy efficiency before climate-related regulation. (2023). Guin, Benjamin ; Battisti, Giuliana ; Bell, Jennifer.
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  42. Do banks practice what they preach? Brown lending and environmental disclosure in the euro area. (2023). Reghezza, Alessio ; Gambacorta, Leonardo ; Polizzi, Salvatore ; Scannella, Enzo.
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  6. Bank liquidity creation and real economic output. (2017). Sedunov, John ; Berger, Allen N.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:81:y:2017:i:c:p:1-19.

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  7. The role of governance on bank liquidity creation. (2017). Huang, Ying ; Diaz, Violeta.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:77:y:2017:i:c:p:137-156.

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  8. How do banks determine their spreads under credit and liquidity risks during business cycles?. (2017). Guloglu, Bulent ; Aydemir, Resul.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:46:y:2017:i:c:p:147-157.

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  9. Monetary policy and bank risk-taking: Evidence from emerging economies. (2017). Wu, Ji ; Jeon, Bang ; Wang, Rui ; Chen, Minghua.
    In: Emerging Markets Review.
    RePEc:eee:ememar:v:31:y:2017:i:c:p:116-140.

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  10. Taxation and Corporate Risk-Taking. (2017). Langenmayr, Dominika ; Lester, Rebecca.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_6566.

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  11. The risk-taking channel of monetary policy in the US : Evidence from corporate loan data. (2017). Mylonidis, Nikolaos ; HASAN, IFTEKHAR ; Delis, Manthos.
    In: Research Discussion Papers.
    RePEc:bof:bofrdp:2017_018.

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  12. Measuring bank risk-taking behaviour: the risk-taking channel of monetary policy in Malaysia. (2017). Huey, Teh Tian ; Shen, Daniel Chin.
    In: IFC Bulletins chapters.
    RePEc:bis:bisifc:43-17.

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  13. Macroprudential supervision: From theory to policy. (2016). Wierts, Peter ; Schoenmaker, Dirk.
    In: ESRB Working Paper Series.
    RePEc:srk:srkwps:201602.

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  14. Collateralized Borrowing and Risk Taking at Low Interest Rates. (2016). Ueberfeldt, Alexander ; Shukayev, Malik ; Cociuba, Simona.
    In: Working Papers.
    RePEc:ris:albaec:2016_002.

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  15. The Consequences of Bank Loan Growth: Evidence from Asia. (2016). Vithessonthi, Chaiporn.
    In: PIER Discussion Papers.
    RePEc:pui:dpaper:19..

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  16. Capital Buffer, Credit Risk and Liquidity Behaviour: Evidence for GCC Banks. (2016). Ghosh, Saibal.
    In: Comparative Economic Studies.
    RePEc:pal:compes:v:58:y:2016:i:4:d:10.1057_s41294-016-0005-1.

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  17. Monetary Policy and Long-Run Risk-Taking. (2016). Levieuge, Grégory ; Colletaz, Gilbert ; Popescu, Alexandra.
    In: LEO Working Papers / DR LEO.
    RePEc:leo:wpaper:2409.

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  18. Corporate culture in banking. (2016). Thakor, Anjan.
    In: Economic Policy Review.
    RePEc:fip:fednep:00028.

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  19. Financial markets development, business cycles, and bank risk in South America. (2016). Vithessonthi, Chaiporn ; Tongurai, Jittima.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:36:y:2016:i:c:p:472-484.

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  20. The early warnings of banking crises: Interaction of broad liquidity and demand deposits. (2016). Schmidt, Paul G ; Lang, Michael.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:61:y:2016:i:c:p:1-29.

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  21. The highs and the lows: A theory of credit risk assessment and pricing through the business cycle. (2016). Thakor, Anjan.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:25:y:2016:i:c:p:1-29.

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  22. Deflation, bank credit growth, and non-performing loans: Evidence from Japan. (2016). Vithessonthi, Chaiporn.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:45:y:2016:i:c:p:295-305.

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  23. Bank Leverage and Monetary Policys Risk-Taking Channel: Evidence from the United States. (2016). Laeven, Luc ; Dell'ariccia, Giovanni ; Suarez, Gustavo ; Dellariccia, Giovanni.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:11230.

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  24. Banks and Market Liquidity. (2015). Arping, Stefan.
    In: Tinbergen Institute Discussion Papers.
    RePEc:tin:wpaper:20150020.

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  25. Bank Bias in Europe: Effects on Systemic Risk and Growth. (2015). Pagano, Marco ; Langfield, Sam.
    In: CSEF Working Papers.
    RePEc:sef:csefwp:408.

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  26. The Legacy of the Crisis: Policy Options in a Favorable Environment. (2015). Manzano Mazzali, Osmel ; LaGarda, Guillermo ; Prat, Jordi.
    In: MPRA Paper.
    RePEc:pra:mprapa:72151.

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  27. The Impact of a Low Interest Rate Environment: Empirical Evidence from the Euro Area Bank Lending Survey. (2015). Khosravi, Taha.
    In: MPRA Paper.
    RePEc:pra:mprapa:67363.

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  28. Banks’ Risk Endogenous to Strategic Management Choices. (2015). Tsionas, Mike ; HASAN, IFTEKHAR ; Delis, Manthos.
    In: MPRA Paper.
    RePEc:pra:mprapa:64907.

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  29. Macro-prudential Policies, Moral Hazard and Financial Fragility. (2015). Valencia, Oscar ; Arango, Carlos Alberto.
    In: IHEID Working Papers.
    RePEc:gii:giihei:heidwp06-2015.

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  30. Financial innovation and endogenous growth. (2015). Michalopoulos, Stelios ; Levine, Ross ; Laeven, Luc.
    In: Journal of Financial Intermediation.
    RePEc:eee:jfinin:v:24:y:2015:i:1:p:1-24.

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  31. Banking crises and the lender of last resort: How crucial is the role of information?. (2015). Naqvi, Hassan.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:54:y:2015:i:c:p:20-29.

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  32. Corruption and bank risk-taking: Evidence from emerging economies. (2015). Wu, Ji ; Jeon, Bang ; Wang, Rui ; Chen, Minghua.
    In: Emerging Markets Review.
    RePEc:eee:ememar:v:24:y:2015:i:c:p:122-148.

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  33. Bank bias in Europe: effects on systemic risk and growth. (2015). Pagano, Marco ; Langfield, Sam.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20151797.

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  34. Macro-Prudential Policy under Moral Hazard and Financial Fragility. (2015). Valencia, Oscar ; Arango, Carlos Alberto.
    In: Borradores de Economia.
    RePEc:col:000094:012695.

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  35. Firms’ risk endogenous to strategic management choices. (2015). Delis, Manthos D ; Hasan, Iftekhar ; Tsionas, Efthymios G.
    In: Research Discussion Papers.
    RePEc:bof:bofrdp:urn:nbn:fi:bof-201508211363.

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  36. Firms’ risk endogenous to strategic management choices. (2015). Tsionas, Mike ; HASAN, IFTEKHAR ; Delis, Manthos.
    In: Research Discussion Papers.
    RePEc:bof:bofrdp:2015_016.

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  37. Macro-Prudential Policy under Moral Hazard and Financial Fragility. (2015). Valencia, Oscar ; Arango, Carlos Alberto.
    In: Borradores de Economia.
    RePEc:bdr:borrec:878.

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  38. Is Europe Overbanked?. (2014). Sapir, Andre ; Pagano, Marco ; Langfield, Sam ; Hellwig, Martin ; Brunnermeier, Markus ; Boot, Arnoud ; Acharya, Viral ; van den Burg, Ieke ; Buch, Claudia.
    In: Report of the Advisory Scientific Committee.
    RePEc:srk:srkasc:20144.

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  39. The relationship between liquidity risk and credit risk in banks. (2014). Imbierowicz, Bjorn ; Rauch, Christian.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:40:y:2014:i:c:p:242-256.

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  40. The effect of financial market development on bank risk: evidence from Southeast Asian countries. (2014). Vithessonthi, Chaiporn.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:35:y:2014:i:c:p:249-260.

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  41. In search for yield? Survey-based evidence on bank risk taking. (2014). Prieto, Esteban ; Eickmeier, Sandra ; Buch, Claudia.
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:43:y:2014:i:c:p:12-30.

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  42. The role of financial intermediaries in monetary policy transmission. (2014). Pfajfar, Damjan ; Colciago, Andrea ; Beck, Thorsten.
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:43:y:2014:i:c:p:1-11.

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  43. The Impact of Monetary Policy on Financing of Czech Firms. (2014). Hájková, Dana ; Aliyev, Ruslan ; Kubicova, Ivana ; Hajkova, Dana.
    In: Working Papers.
    RePEc:cnb:wpaper:2014/05.

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  44. Tales of Two Recessions in Chile: Financial Frictions in 1999 and 2009. (2014). Miguel Fuentes D., ; Saravia, Diego.
    In: Central Banking, Analysis, and Economic Policies Book Series.
    RePEc:chb:bcchsb:v18c05pp137-163.

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  45. Pre-crisis credit standards: monetary policy or the savings glut?. (2014). Penalver, Adrian.
    In: Working papers.
    RePEc:bfr:banfra:519.

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  46. Banking Systemic Risk, Foreign Funding, Exchange Rate Exposure and Carry Trade: is there a relation?. (2014). Tabak, Benjamin ; Bruno Freitas Boynard de Vasconcelos, .
    In: Working Papers Series.
    RePEc:bcb:wpaper:365.

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  47. Unconventional Monetary Policy and bank supervision. (2013). Bricco ('Gieck'), Jana ; Traczyk, Adam .
    In: MPRA Paper.
    RePEc:pra:mprapa:62014.

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  48. Finance: Economic Lifeblood or Toxin?. (2012). Pagano, Marco.
    In: CSEF Working Papers.
    RePEc:sef:csefwp:326.

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  49. Credit allocation, capital requirements and output. (2010). Jokivuolle, Esa ; Vesala, Timo ; Kiema, Ilkka.
    In: Research Discussion Papers.
    RePEc:bof:bofrdp:2010_017.

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  50. Is the 2007 US Sub-Prime Financial Crisis So Different? An International Historical Comparison. (2008). Rogoff, Kenneth ; Reinhart, Carmen.
    In: Scholarly Articles.
    RePEc:hrv:faseco:11129156.

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