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Monetary policy and bank lending in the Euro area: Is there a stock market channel or an interest rate channel?. (2014). Krainer, Robert E..
In: Journal of International Money and Finance.
RePEc:eee:jimfin:v:49:y:2014:i:pb:p:283-298.

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    In: International Journal of Finance & Economics.
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  2. Financial contracting as behavior towards risk: The corporate finance of business cycles 8/3/22. (2023). Krainer, Robert E.
    In: Journal of Financial Stability.
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  3. ECB’s unconventional monetary policy and bank lending supply and performance in the euro area. (2021). Kenourgios, Dimitris ; Ntaikou, Despoina.
    In: Journal of Economics and Finance.
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  4. Modelización de la solvencia bancaria en escenarios adversos: aplicación a los «PIIGS». (2016). Abad-González, Julio ; Abad-Gonzalez, Julio ; Gutierrez-Lopez, Cristina.
    In: Revista de Contabilidad - Spanish Accounting Review.
    RePEc:eee:spacre:v:19:y:2016:i:2:p:227-238.

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  5. Credit market disequilibrium in Greece (2003-2011) - a Bayesian approach. (2015). Vouldis, Angelos.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20151805.

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  6. Explaining and forecasting bank loans. Good times and crisis. (2015). Levieuge, Grégory.
    In: Working papers.
    RePEc:bfr:banfra:566.

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