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Has financial development made the world riskier?. (2005). Rajan, Raghuram.
In: Proceedings - Economic Policy Symposium - Jackson Hole.
RePEc:fip:fedkpr:y:2005:i:aug:p:313-369.

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  72. Foreign expansion, competition and bank risk. (2019). Ottaviano, Gianmarco ; Laffitte, Sébastien ; Faia, Ester.
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  73. The financial market effects of the ECBs asset purchase programs. (2019). Roth, Markus ; Lewis, Vivien.
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  74. A retrospective on the subprime crisis and its aftermath ten years after Lehman’s collapse. (2019). Cukierman, Alex.
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  75. Does monetary policy influence banks’ risk weights under the internal ratings-based approach?. (2019). Malovana, Simona ; Kolcunová, Dominika ; Brož, Václav ; Kolcunova, Dominika.
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  76. Trade-offs between macroeconomic and financial stability objectives. (2019). villieu, patrick ; Fouejieu, Armand ; Popescu, Alexandra.
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  77. (Un)Conventional monetary policy and bank risk-taking: A nonlinear relationship. (2019). Lapteacru, Ion ; Brana, Sophie ; Campmas, Alexandra.
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  78. Monetary policy, macroprudential policy, and financial stability. (2019). Repullo, Rafael ; Martinez-Miera, David.
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  79. Bank intermediation activity in a low interest rate environment. (2019). Gambacorta, Leonardo ; Brei, Michael ; BORIO, Claudio.
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  80. Keynesian Economics - Back from the Dead? The Godley-Tobin Lecture. (2019). Rowthorn, Robert.
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  81. Bank intermediation activity in a low interest rate environment. (2019). Brei, Michael ; BORIO, Claudio.
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  82. Stabiles Geld - eine Illusion? Alternative Währungssysteme - Hayeks Fundamentalkritik - Unabhängigkeit der Notenbanken. (2018). Issing, Otmar.
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  83. Paradise lost? A brief history of DSGE macroeconomics. (2018). Gulan, Adam.
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  84. Getting better? The effect of the single supervisory mechanism on banks loan loss reporting and loan loss reserves. (2018). Ristolainen, Kim.
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  85. Bank Profitability and Risk-Taking in a Low Interest Rate Environment: The Case of Thailand. (2018). Ananchotikul, Nasha ; Ratanavararak, Lathaporn.
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  86. The Literature on the Finance–Growth Nexus in the Aftermath of the Financial Crisis: A Review. (2018). Carré, Emmanuel ; Lillet, Guillaume ; Carre, Emmanuel.
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  87. U.S. Monetary Policy and Emerging Market Credit Cycles. (2018). Bräuning, Falk ; Ivashina, Victoria ; Brauning, Falk.
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  88. Dissecting long-run and short-run causalities between monetary policy and stock prices. (2018). Wiedmann, Marcel.
    In: International Economics and Economic Policy.
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  89. The Literature on the Finance–Growth Nexus in the Aftermath of the Financial Crisis: A Review. (2018). Carré, Emmanuel ; L'Oeillet, Guillaume ; Carre, Emmanuel.
    In: Post-Print.
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  90. Measuring sovereign risk spillovers and assessing the role of transmission channels: A spatial econometrics approach. (2018). Debarsy, Nicolas ; Ertur, Cem ; Gnabo, Jean-Yves ; Dossougoin, Cyrille.
    In: Post-Print.
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  91. Credit contractions and unemployment. (2018). Borsi, Mihály.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:58:y:2018:i:c:p:573-593.

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  92. Macroprudential policy and bank risk. (2018). Gambacorta, Leonardo ; Binici, Mahir ; Altunbas, Yener.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:81:y:2018:i:c:p:203-220.

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  93. Financial development and the occurrence of banking crises. (2018). Minea, Alexandru ; Mathonnat, Clement.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:96:y:2018:i:c:p:344-354.

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  94. The impact of expanded bank powers on loan portfolio decisions. (2018). Torna, Gokhan.
    In: Journal of Financial Stability.
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  95. Measuring sovereign risk spillovers and assessing the role of transmission channels: A spatial econometrics approach. (2018). Dossougoin, Cyrille ; Debarsy, Nicolas ; Gnabo, Jean-Yves ; Ertur, Cem.
    In: Journal of Economic Dynamics and Control.
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  96. Negative Interest Rates and the Signalling Channel: In-Depth Analysis. (2018). Bernoth, Kerstin ; Haas, Alexander.
    In: DIW Berlin: Politikberatung kompakt.
    RePEc:diw:diwpok:pbk130.

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  97. La politique monétaire doit-elle être utilisée à des fins de stabilité financière ?. (2018). Levieuge, Grégory.
    In: Revue française d'économie.
    RePEc:cai:rferfe:rfe_183_0063.

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  98. Getting better? The effect of the single supervisory mechanism on banks loan loss reporting and loan loss reserves. (2018). Ristolainen, Kim.
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  99. Interest rates, capital and bank risk-taking. (2018). Acosta-Smith, Jonathan.
    In: Bank of England working papers.
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  100. Banks’ Interest Rate Risk and Search for Yield: A Theoretical Rationale and Some Empirical Evidence. (2018). Seymen, Atılım ; Memmel, Christoph ; Teichert, Max.
    In: German Economic Review.
    RePEc:bla:germec:v:19:y:2018:i:3:p:330-350.

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  101. FINANCIAL DEVELOPMENT AND MACROECONOMIC VOLATILITY. (2018). Ma, Yong ; Song, KE.
    In: Bulletin of Economic Research.
    RePEc:bla:buecrs:v:70:y:2018:i:3:p:205-225.

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  102. Euro area unconventional monetary policy and bank resilience. (2018). Mamatzakis, Emmanuel ; Avalos, Fernando.
    In: BIS Working Papers.
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  103. Macroprudential stability indicators of financial systems: Analysis of Bosnia and Herzegovina and Croatia. (2018). Mei, Mirna ; Kasumovi, Merim.
    In: Theoretical and Applied Economics.
    RePEc:agr:journl:v:1(614):y:2018:i:1(614):p:41-54.

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  104. How to normalize monetary policy in the Euro area. (2017). Wieland, Volker ; Beck, Guenter.
    In: IMFS Working Paper Series.
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  105. The Risk‐Taking Channel of Monetary Policy in the U.S.: Evidence from Corporate Loan Data. (2017). Mylonidis, Nikolaos ; HASAN, IFTEKHAR ; Delis, Manthos.
    In: Journal of Money, Credit and Banking.
    RePEc:wly:jmoncb:v:49:y:2017:i:1:p:187-213.

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  106. Risk Taking Channel of Monetary Policy: A Review of the Evidence and Some Preliminary Results for India. (2017). Sensarma, Rudra ; Rudra, Sensarma ; Sanjukta, Sarkar .
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  107. Risk Taking and Interest Rates : Evidence from Decades in the Global Syndicated Loan Market. (2017). Stebunovs, Viktors ; Liu, Lucy Qian ; Lee, Seung Jung.
    In: International Finance Discussion Papers.
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  108. Quantitative Easing and Bank Risk Taking: Evidence from Lending. (2017). Kandrac, John ; Schlusche, Bernd.
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2017-125.

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  109. Global banking: Risk taking and competition. (2017). Ottaviano, Gianmarco ; Faia, Ester.
    In: LSE Research Online Documents on Economics.
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  110. Securitisation in BRICS: Issues, challenges and prospects. (2017). Chen, Zheyang ; Bavoso, Vincenzo ; Ngwu, Franklin N.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:42:y:2017:i:c:p:1219-1227.

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  111. US monetary policy and global financial stability. (2017). Tong, Eric.
    In: Research in International Business and Finance.
    RePEc:eee:riibaf:v:39:y:2017:i:pa:p:466-485.

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  112. Capital inflows, monetary policy, and financial imbalances. (2017). merrouche, ouarda ; Nier, Erlend.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:77:y:2017:i:c:p:117-142.

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  113. Housing market stability, mortgage market structure, and monetary policy: Evidence from the euro area. (2017). Sebastian, Steffen ; Betzinger, Michael ; Zhu, Bing.
    In: Journal of Housing Economics.
    RePEc:eee:jhouse:v:37:y:2017:i:c:p:1-21.

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  114. Insurance activities, globalization, and economic growth: New methods, new evidence. (2017). Lee, Chien-Chiang ; Chiou, Yan-Yu.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:51:y:2017:i:c:p:155-170.

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  115. The bank-lending channel and monetary policy during pre- and post-2007 crisis. (2017). laopodis, nikiforos ; Kouretas, Georgios ; Salachas, Evangelos N.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:47:y:2017:i:c:p:176-187.

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  116. Monetary policy and macroprudential policy: Rivals or teammates?. (2017). Malovana, Simona ; Frait, Jan.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:32:y:2017:i:c:p:1-16.

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  117. Does easing monetary policy increase financial instability?. (2017). Rebucci, Alessandro ; Cesa-Bianchi, Ambrogio.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:30:y:2017:i:c:p:111-125.

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  118. A stochastic forward-looking model to assess the profitability and solvency of European insurers. (2017). Pancaro, Cosimo ; Kok, Christoffer ; Berdin, Elia.
    In: Working Paper Series.
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  119. Bank profitability and risk-taking under low interest rates. (2017). Vervliet, Tobias ; Bikker, Jacob.
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  120. Macroprudential policy and bank risk. (2017). Gambacorta, Leonardo ; Binici, Mahir ; Altunbas, Yener.
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  121. Global Banking: Endogenous Competition and Risk Taking. (2017). Ottaviano, Gianmarco ; Faia, Ester.
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  122. Global banking: risk taking and competition. (2017). Ottaviano, Gianmarco ; Faia, Ester.
    In: CEP Discussion Papers.
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  123. À quoi servent les (centaines de milliers de milliards de) transactions boursières ?. (2017). CAPELLE-BLANCARD, Gunther.
    In: Revue d'économie financière.
    RePEc:cai:refaef:ecofi_127_0037.

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  124. Neuere Finanzmarktaspekte von Bankenkrise, QE-Politik und EU-Bankenaufsicht. (2017). Kadiric, Samir.
    In: EIIW Discussion paper.
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  125. The interplay between quantitative easing and risk: the case of the Japanese banking. (2017). Mamatzakis, Emmanuel ; Vu, Anh N.
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  126. 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.
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  127. Tipping the (Im)balance: Capital inflows, financial market structure, and banking crises. (2017). Copelovitch, Mark ; Singer, David A.
    In: Economics and Politics.
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  128. Macroprudential policy and bank risk. (2017). Gambacorta, Leonardo ; Binici, Mahir ; Altunbas, Yener.
    In: BIS Working Papers.
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  129. 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.
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  130. The International Bank Lending Channel of Monetary Policy Rates and QE: Credit Supply, Reach-for-Yield, and Real Effects. (2017). Ruiz Ortega, Claudia ; Roldan Peña, Jessica ; Peydro, Jose-Luis ; Claudia, Ruiz ; Jessica, Roldan-Pea ; Jose-Luis, Peydro ; Bernardo, Morais .
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  131. A stochastic forward-looking model to assess the profitability and solvency of European insurers. (2016). Pancaro, Cosimo ; Kok, Christoffer ; Berdin, Elia ; Sorensen, Christoffer Kok.
    In: SAFE Working Paper Series.
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  132. Euro area shadow banking activities in a low-interest-rate environment: A flow-of-funds perspective. (2016). Beck, Guenter ; Kotz, Hans-Helmut.
    In: SAFE White Paper Series.
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  133. Lost in translation? ECBs monetary impulses and financial intermediaries responses. (2016). Beck, Guenter ; Kotz, Hans-Helmut ; Zabelina, Natalia.
    In: SAFE White Paper Series.
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  134. A stochastic forward-looking model to assess the profitability and solvency of European insurers. (2016). Pancaro, Cosimo ; Kok, Christoffer ; Berdin, Elia ; Sorensen, Christoffer Kok.
    In: ICIR Working Paper Series.
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  135. Banks interest rate risk and search for yield: A theoretical rationale and some empirical evidence. (2016). Seymen, Atılım ; Memmel, Christoph ; Teichert, Max.
    In: Discussion Papers.
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  136. Global Crisis, Regulatory Reform and International Policy Coordination. (2016). .
    In: South Asian Journal of Macroeconomics and Public Finance.
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  137. Measuring Sovereign Risk Spillovers and Assessing the Role of Transmission Channels: A Spatial Econometrics Approach. (2016). Debarsy, Nicolas ; Gnabo, Jean-Yves ; Dossougoin, Cyrille ; Ertur, Cem.
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  138. Financing Economic Development. Theoretical Debates and Empirical Trends. (2016). Bargawi, Hannah ; van Waeyenberge, Elisa.
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  139. Have financial markets become more informative?. (2016). Savov, Alexi ; PHILIPPON, Thomas ; Bai, Jennie.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:122:y:2016:i:3:p:625-654.

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  140. Derivatives usage, securitization, and the crash sensitivity of bank stocks. (2016). Trapp, Rouven.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:71:y:2016:i:c:p:183-205.

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  141. How does credit supply respond to monetary policy and bank minimum capital requirements?. (2016). Wieladek, Tomasz ; Aiyar, Shekhar ; Calomiris, Charles W.
    In: European Economic Review.
    RePEc:eee:eecrev:v:82:y:2016:i:c:p:142-165.

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  142. Economic growth and insurance development: The role of institutional environments. (2016). Lee, Chien-Chiang ; AROURI, Mohamed ; Chang, Chi-Hung.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:59:y:2016:i:c:p:361-369.

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  143. How does capital regulation react to monetary policy? New evidence on the risk-taking channel. (2016). Montes, Gabriel ; de Moraes, Claudio ; Pereira, Jose Americo.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:56:y:2016:i:c:p:177-186.

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  144. Monetary Policy, Financial Conditions, and Financial Stability. (2016). Adrian, Tobias ; Liang, Nellie.
    In: CEPR Discussion Papers.
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  145. Measuring sovereign risk spillovers and assessing the role of transmission channels: a spatial econometrics approach. (2016). Gnabo, Jean-Yves ; Dossougoin, Cyrille ; Debarsy, Nicolas ; Ertur, Cem.
    In: LIDAM Discussion Papers CORE.
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  146. Review of the Reference Rate in Israel: Telbor and Makam Markets. (2016). Stein, Roy.
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  147. Bonus caps, deferrals and bankers risk-taking. (2016). Yuan, Xuchuan ; Keppo, Jussi ; Jokivuolle, Esa.
    In: Research Discussion Papers.
    RePEc:bof:bofrdp:urn:nbn:fi:bof-201503041096.

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  148. Financial Innovation, Derivatives and the UK and US Interest Rate Swap Scandals: Drawing New Boundaries for the Regulation of Financial Innovation. (2016). Bavoso, Vincenzo.
    In: Global Policy.
    RePEc:bla:glopol:v:7:y:2016:i:2:p:227-236.

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  149. Measuring bank risk-taking behaviour - The risk-taking channel of Monetary Policy in Malaysia. (2016). Huey, Teh Tian ; Shen, Daniel Chin.
    In: IFC Working Papers.
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  150. BANK REGULATORY CAPITAL, RISK-TAKING CHANNEL AND MONETARY POLICY: EVIDENCE FROM AN INFLATION TARGETING EMERGING ECONOMY. (2016). Montes, Gabriel ; de Moraes, Claudio ; Pereira, Jose Americo.
    In: Anais do XLIII Encontro Nacional de Economia [Proceedings of the 43rd Brazilian Economics Meeting].
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  151. The effects of a low interest rate environment on life insurers. (2015). Gründl, Helmut ; Grundl, Helmut ; Berdin, Elia.
    In: SAFE Working Paper Series.
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  152. Bonus caps, deferrals and bankers risk-taking. (2015). Yuan, Xuchuan ; Keppo, Jussi ; Jokivuolle, Esa.
    In: Bank of Finland Research Discussion Papers.
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  153. Housing Bubbles and Monetary Policy: A Reassessment. (2015). O'Meara, Graeme.
    In: Open Access publications.
    RePEc:ucn:oapubs:10197/6435.

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  154. The role of shadow banking entities in the financial crisis: a disaggregated view. (2015). Nesvetailova, Anastasia ; Lysandrou, Photis.
    In: Review of International Political Economy.
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  155. International Coordination and Precautionary Policies. (2015). Aizenman, Joshua.
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  156. In search for appropriate lower bound.Zero lower bound vs. positive lower bound under discretion and commitment. (2015). Torój, Andrzej ; Rzońca, Andrzej ; Ciżkowicz, Piotr ; Cikowicz, Piotr ; Torj, Andrzej ; Rzoca, Andrzej.
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  157. A monetáris politika globális tendenciái és a stabilitási kockázatok. (2015). Abel, Istvan.
    In: Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences).
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  158. Financial innovation and risk: the role of information. (2015). Piazza, Roberto.
    In: Annals of Finance.
    RePEc:kap:annfin:v:11:y:2015:i:3:p:477-502.

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  159. Asset Bubbles: Re-thinking Policy for the Age of Asset Management. (2015). Jones, Bradley.
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  160. Asian Development Outlook 2015 Financing Asia’s Future Growth. (2015). Bank, Asian Development.
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  161. Housing Bubbles and Monetary Policy: A Reassessment. (2015). O'Meara, Graeme.
    In: The Economic and Social Review.
    RePEc:eso:journl:v:46:y:2015:i:4:p:521-565.

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  162. Money, Finance and the Real Economy: What went wrong?. (2015). Pisani, Florence ; Gagna, Emile ; Brender, Anton.
    In: CEPS Papers.
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  163. Monetary policy and long-term real rates. (2015). Stein, Jeremy ; Hanson, Samuel.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:115:y:2015:i:3:p:429-448.

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  164. Monetary policy and stock prices – Cross-country evidence from cointegrated VAR models. (2015). Beckmann, Joscha.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:54:y:2015:i:c:p:254-265.

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  165. Monetary policy and risk taking. (2015). Lo Duca, Marco ; Faia, Ester ; Angeloni, Ignazio.
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:52:y:2015:i:c:p:285-307.

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  166. Financial Development, Financial Instability and Economic Growth: The Case of Maghreb Countries. (2015). Mpabe Bodjongo, Mathieu Juliot ; Mathieu, Mpabe Bodjongo ; Ahmed, Khattab ; Abid, Ihadiyan .
    In: International Journal of Economics and Financial Issues.
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  167. Banking and currency crises: differential diagnostics for developed countries. (2015). Vašíček, Bořek ; Rusnák, Marek ; Joy, Mark ; Midkova, Kateina ; Vaiek, Boek.
    In: Working Paper Series.
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  168. Short-termism of long-term investors? The investment behaviour of Dutch insurance companies and pension funds. (2015). Bisschop, Sophie Steins ; Duijm, Patty.
    In: Working Papers.
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  169. The importance of prudential regulations in the process of transmitting monetary policy to economy. (2015). Redo, Magdalena.
    In: Copernican Journal of Finance & Accounting.
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  170. Riesgo de crédito y la transmisión de la política monetaria en Colombia. (2015). Zarate-Solano, Hector ; López, Enrique ; Galarza, Fernando Tenjo ; Enciso, Enrique Lopez.
    In: Borradores de Economia.
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  171. Overcoming the Euro Crisis and Prospects for a Political Union. (2015). , Paul.
    In: EIIW Discussion paper.
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  172. Die Komplexitätsökonomik und ihre Implikationen für die Wirtschaftspolitik. (2015). Roos, Michael ; Michael, Roos.
    In: Perspektiven der Wirtschaftspolitik.
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  173. Bonus caps, deferrals and bankers risk-taking. (2015). Jokivuolle, Esa ; Yuan, Xuchuan ; Keppo, Jussi.
    In: Research Discussion Papers.
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  174. The Hedgehog and the Fox: From DSGE to Macro-Pru. (2015). Miller, Marcus ; Zhang, Lei.
    In: Manchester School.
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  175. Assessing the Financial Landscape for the Association of Southeast Asian Nations Economic Community, 2015. (2015). Takagi, Shinji ; Lee, Choong Lyol.
    In: Asia and the Pacific Policy Studies.
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  176. The influence of monetary policy on bank profitability. (2015). Hofmann, Boris ; Gambacorta, Leonardo ; BORIO, Claudio.
    In: BIS Working Papers.
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  177. Niedrigzinsumfeld und die Auswirkungen auf die Immobilienwirtschaft. (2015). Bienert, Sven ; Sebastian, Steffen P.
    In: Beiträge zur Immobilienwirtschaft.
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  178. The effects of a low interest rate environment on life insurers. (2014). Gründl, Helmut ; Grundl, Helmut ; Berdin, Elia.
    In: ICIR Working Paper Series.
    RePEc:zbw:icirwp:1514.

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  179. Bankers compensation: Sprint swimming in short bonus pools?. (2014). Keppo, Jussi ; Jokivuolle, Esa.
    In: Bank of Finland Research Discussion Papers.
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  180. Shocks to Bank Lending, Risk-Taking, Securitization, and Their Role for U.S. Business Cycle Fluctuations. (2014). Peersman, Gert ; Wagner, W B.
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  181. Shocks to Bank Lending, Risk-Taking, Securitization, and Their Role for U.S. Business Cycle Fluctuations. (2014). Peersman, Gert ; Wagner, W B.
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  182. Shocks to Bank Lending, Risk-Taking, Securitization, and Their Role for U.S. Business Cycle Fluctuations. (2014). Wagner, Wolf ; Peersman, Gert.
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  183. Complexity and financial stability in a large random economy. (2014). Marsili, Matteo.
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  184. Shocks to Bank Lending, Risk-Taking, Securitization, and their Role for U.S. Business Cycle Fluctuations. (2014). Wagner, Wolf ; Peersman, Gert.
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  185. Issues of modern macroeconomics: new post-crisis perspectives on the world economy. (2014). Welfens, Paul.
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  186. Monetary Policy, Financial Conditions, and Financial Stability. (2014). Adrian, Tobias ; Liang, Nellie.
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  187. Does Monetary Policy Affect Bank Risk?. (2014). Marques-Ibanez, David ; Gambacorta, Leonardo ; Altunbas, Yener.
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  188. Monetary policy, financial conditions, and financial stability. (2014). Adrian, Tobias ; Liang, Nellie J..
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  189. Behavioral Economics and Macroeconomic Models. (2014). Holden, Steinar ; Driscoll, John.
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  190. The international monetary and financial system: its Achilles heel and what to do about it. (2014). BORIO, Claudio.
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  191. Complexity and endogenous instability. (2014). Al-Suwailem, Sami.
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  192. Behavioral economics and macroeconomic models. (2014). Holden, Steinar ; Driscoll, John.
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  193. Bank procyclicality and output: Issues and policies. (2014). Delis, Manthos ; Athanasoglou, Panayiotis ; Daniilidis, Ioannis .
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  194. External Adjustment, Global Imbalances, Valuation Effects. (2014). Gourinchas, Pierre-Olivier ; Rey, Hlne.
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  195. Is more finance better? Disentangling intermediation and size effects of financial systems. (2014). Degryse, Hans ; Beck, Thorsten ; Kneer, Christiane.
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  196. Risk-taking channel, bank lending channel and the “paradox of credibility”. (2014). Montes, Gabriel ; Peixoto, Gabriel Barros Tavares, .
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  197. In search for yield? Survey-based evidence on bank risk taking. (2014). Prieto, Esteban ; Eickmeier, Sandra ; Buch, Claudia.
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  198. The role of financial intermediaries in monetary policy transmission. (2014). Pfajfar, Damjan ; Colciago, Andrea ; Beck, Thorsten.
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  199. Adapting financial rationality: Is a new paradigm emerging?. (2014). Hudson, Robert ; Forbes, William ; Soufian, Mona.
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  200. Banking and Currency Crises: Differential Diagnostics for Developed Countries. (2014). Vašíček, Bořek ; Rusnák, Marek ; Joy, Mark ; Smidkova, Katerina.
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  201. Behavioral Economics and Macroeconomic Models. (2014). Holden, Steinar ; Driscoll, John.
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  202. Shocks to Bank Lending, Risk-Taking, Securitization, and their Role for U.S. Business Cycle Fluctuations. (2014). Wagner, Wolf ; Peersman, Gert.
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  203. Chapter 10 External Adjustment, Global Imbalances, Valuation Effects. (2014). Rey, Helene ; Gourinchas, Pierre-Olivier.
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  204. External Adjustment, Global Imbalances, Valuation Effects. (2014). Rey, Helene ; Gourinchas, Pierre-Olivier.
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  205. Bankers compensation: : Sprint swimming in short bonus pools?. (2014). Jokivuolle, Esa ; Keppo, Jussi.
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  206. GLOBAL FINANCIAL CRISIS AND THE INTERNATIONAL MONETARY SYSTEM. (2014). Sebastian-Ilie, DRAGOE .
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  207. CAPITAL INFLOWS, FINANCIAL STRUCTURE AND HOUSING BOOMS. (2014). Wieladek, Tomasz ; Towbin, Pascal ; Sa, Filipa.
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  208. DID INEQUALITY CAUSE THE U.S. FINANCIAL CRISIS?. (2014). Treeck, Till .
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  209. The international monetary and financial system: its Achilles heel and what to do about it. (2014). BORIO, Claudio.
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  210. Monetary policy and financial stability: what role in prevention and recovery?. (2014). BORIO, Claudio.
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  211. Pre-crisis credit standards: monetary policy or the savings glut?. (2014). Penalver, Adrian.
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  212. RISK-TAKING CHANNEL, BANK LENDINGCHANNEL AND THE “PARADOX OF CREDIBILITY”: EMPIRICAL EVIDENCE FOR BRAZIL. (2014). Montes, Gabriel ; GABRIEL BARROS TAVARES PEIXOTO, .
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  213. Monetary policy and risk taking. (2013). Lo Duca, Marco ; Faia, Ester ; Angeloni, Ignazio.
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  214. Rescue by regulation? Key points of the Liikanen report. (2013). Krahnen, Jan.
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  215. Rettung durch Regulierung? Eckpunkte des Liikanen-Berichts. (2013). Krahnen, Jan.
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  216. Monetary Policy, Stock Prices and Central Banks - Cross-Country Comparisons of Cointegrated VAR Models. (2013). Wiedmann, Marcel ; Belke, Ansgar.
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  217. The conceptual foundations of macroprudential policy : a roadmap. (2013). Ize, Alain ; de la Torre, Augusto.
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  218. Monetary Policy, Stock Prices and Central Banks - Cross-Country Comparisons of Cointegrated VAR Models. (2013). Wiedmann, Marcel.
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  219. Money, Stock Prices and Central Banks – Cross-Country Comparisons of Cointegrated VAR Models. (2013). Wiedmann, Marcel ; Belke, Ansgar.
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  220. Short and long-term forecasting by the Netherlands Bureau for Economic Policy Analysis (CPB): science, witchcraft, or practical tool for policy?. (2013). Teulings, C. N. ; Bos, Frits.
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  221. Fragility Of Interest-Based Debt Financing: Is It Worth Sustaining A Regime Uncertainty?. (2013). Mirakhor, Abbas ; Krichene, Noureddine ; Shaukat, Mughees.
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  222. Time-Varying Leverage and Basel III: A Look at Canadian Evidence. (2013). Calmès, Christian ; Theoret, Raymond ; Bergevin, Philippe ; Calmes, Christian.
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  223. Monetary Policy, macroprudential Policy, and Banking Stability: Evidence from the Euro Area. (2013). Peydro, Jose-Luis ; Maddalonia, Angela .
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  224. Bank Opacity, Intermediation Cost and Globalization: Evidence from a Sample of Publicly Traded Banks in Asia. (2013). TARAZI, Amine ; Soedarmono, Wahyoe.
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  225. Bank opacity, intermediation cost and globalization: Evidence from a sample of publicly traded banks in Asia. (2013). TARAZI, Amine ; Soedarmono, Wahyoe.
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  226. Shadow bank monitoring. (2013). Cetorelli, Nicola ; Ashcraft, Adam ; Adrian, Tobias.
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  227. Canal de Transmissão da Política Monetária Por Meio dos Seguros Contratados Pelo Setor Bancário. (2013). Montes, Gabriel ; Guillén, Osmani ; Guillen, Osmani Teixeira de Carvalho, ; Tavares, Debora Pereira .
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  228. Canal de Transmissão da Política Monetária Por Meio dos Seguros Contratados Pelo Setor Bancário. (2013). Osmani Teixeira de Carvalho Guillen, ; Montes, Gabriel Caldas ; Tavares, Debora Pereira .
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  229. Macroprudential, Microprudential and Monetary Policies: Policies, Complementarities and Trade-Offs. (2013). Nicoletti-Altimari, Sergio ; Angelini, Paolo ; Visco, Ignazio.
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  230. Financial frictions and the strength of monetary transmission. (2013). Honig, Adam ; Brady, Ryan ; Aysun, Uluc.
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  231. Why high productivity growth of banks preceded the financial crisis. (2013). Martin-Oliver, Alfredo ; Salas-Fumas, Vicente ; Ruano, Sonia.
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  232. Nontraditional banking activities and bank failures during the financial crisis. (2013). Deyoung, Robert ; Torna, Gokhan.
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  233. Diverging derivatives: Law, governance and modern financial markets. (2013). Carruthers, Bruce G..
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  234. Securitization and systemic risk: An empirical investigation on Italian banks over the financial crisis. (2013). Gallo, Angela ; Battaglia, Francesca.
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  235. Bank Lending, Risk Taking, and the Transmission of Monetary Policy: New Evidence for Colombia. (2013). Reyes, Nidia ; Ojeda-Joya, Jair ; Gomez-Gonzalez, Jose ; Jose Eduardo Gomez G., .
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  236. Bank Lending, Risk Taking, and the Transmission of Monetary Policy: New Evidence for Colombia. (2013). Joya, Jair Ojeda .
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  237. Financial Development and Long-term Growth. (2013). Wongswan, Jon ; Boonthaveepat, Watcharida ; Luengnaruemitchai, Pipat.
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  238. Back to Basics in Banking Theory and Varieties of Finance Capitalism. (2013). Kurt, Mettenheim .
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  239. Bank Lending, Risk Taking, and the Transmission of Monetary Policy: New Evidence for Colombia. (2013). Reyes, Nidia ; Ojeda-Joya, Jair ; Gomez-Gonzalez, Jose ; Jose Eduardo Gomez G., .
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  240. Did the Recent Housing Boom Signal the Global Financial Crisis?. (2012). Kemme, David ; Roy, Saktinil.
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  241. Is More Finance Better? Disentangling Intermediation and Size Effects of Financial Systems. (2012). Degryse, Hans ; Beck, Thorsten ; Kneer, E C ; Beck, T. H. L., .
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  242. Is More Finance Better? Disentangling Intermediation and Size Effects of Financial Systems. (2012). Degryse, Hans ; Beck, Thorsten ; Kneer, E C ; Beck, T. H. L., .
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  243. Is More Finance Better? Disentangling Intermediation and Size Effects of Financial Systems. (2012). Degryse, Hans ; Beck, Thorsten ; Kneer, E. C. ; Beck, T. H. L., .
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  244. L’intermédiation financière dans l’analyse macroéconomique : Le défi de la crise. (2012). Sopraseuth, Thepthida ; Iliopulos, Eleni.
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  245. Fault Lines by Raghuram G. Rajan. (2012). Barlas, Yasemin.
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  246. Politique monétaire, choix de portefeuille du secteur bancaire et canal de la prise de risque. (2012). huchet, nicolas ; gauvin, marie-sophie ; Gilles, Philippe.
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  247. Politique monétaire, choix de portefeuille du secteur bancaire et canal de la prise de risque. (2012). huchet, nicolas ; gauvin, marie-sophie ; Gilles, Philippe.
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  248. Lintermédiation financière dans lanalyse macroéconomique : le défi de la crise. (2012). Sopraseuth, Thepthida ; Iliopulos, Eleni.
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  249. Az euró bevezetésének újragondolása. (2012). Nemenyi, Judit ; Oblath, Gabor.
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  250. Implications of insights from behavioral economics for macroeconomic models. (2012). Holden, Steinar.
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  251. Did inequality cause the U.S. financial crisis?. (2012). van Treeck, Till.
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  252. Exceso de Toma de Riesgo Crediticio en Chile. (2012). Sagner, Andres ; García, Carlos ; Garcia, Carlos.
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  253. Implications of Insights from Behavioral Economics for Macroeconomic Models. (2012). Holden, Steinar.
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  254. Lintermédiation financière dans lanalyse macroéconomique : Le défi de la crise. (2012). Sopraseuth, Thepthida ; Iliopulos, Eleni.
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  255. Lintermédiation financière dans lanalyse macroéconomique : Le défi de la crise. (2012). .
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  256. Lintermédiation financière dans lanalyse macroéconomique : Le défi de la crise. (2012). Sopraseuth, Thepthida ; Iliopulos, Eleni.
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  257. The 2007-2008 financial crisis: Is there evidence of disaster myopia?. (2012). Gimet, Céline ; Cornand, Camille.
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  258. Shadow banking: a review of the literature. (2012). Ashcraft, Adam ; Adrian, Tobias.
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  259. Liquidity Illusions in the Global Financial Architecture. (2012). Nesvetailova, Anastasia.
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  260. Causes of banking crises: Deregulation, credit booms and asset bubbles, then and now. (2012). Kemme, David ; Roy, Saktinil.
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  261. Securitization, risk-transferring and financial instability: The case of Spain. (2012). Marques-Ibanez, David ; Carbo Valverde, Santiago ; Carb-Valverde, Santiago ; Rodrguez-Fernndez, Francisco.
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  262. The seeds of a crisis: A theory of bank liquidity and risk taking over the business cycle. (2012). Naqvi, Hassan ; Acharya, Viral.
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  263. On the international transmission of shocks: Micro-evidence from mutual fund portfolios. (2012). Schmukler, Sergio ; Raddatz, Claudio.
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  264. Capital regulation, risk-taking and monetary policy: A missing link in the transmission mechanism?. (2012). BORIO, Claudio ; Zhu, Haibin.
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  265. The 2007–2008 financial crisis: Is there evidence of disaster myopia?. (2012). Gimet, Céline ; Cornand, Camille.
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  266. Do bank characteristics influence the effect of monetary policy on bank risk?. (2012). Marques-Ibanez, David ; Gambacorta, Leonardo ; Altunbas, Yener.
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  267. Public banks and financial stability. (2012). ANDRIANOVA, SVETLANA.
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  268. Financial development shocks and contemporaneous feedback effect on key macroeconomic indicators: A post Keynesian time series analysis. (2012). Chaiechi, Taha.
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  269. Do bank characteristics influence the effect of monetary policy on bank risk?. (2012). Marques-Ibanez, David ; Gambacorta, Leonardo ; Altunbas, Yener.
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  270. Do bank characteristics influence the effect of monetary policy on bank risk?. (2012). Gambacorta, Leonardo ; Marques-Ibanez, David.
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  271. Implications of insights from behavioral economics for macroeconomic models. (2012). Holden, Steinar.
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  272. Monetary policy in a downturn: Are financial crises special?. (2012). Gambacorta, Leonardo ; Bech, Morten.
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  27. Kaminsky, Gabriella L., and Carmen M. Reinhart. 1999. The Twin Crises: The Causes of Banking and Balance-of-Payment Problems, American Economic Review, vol. 89, no. 3: 473-500.

  28. Kashyap, Anil, Raghuram Rajan, and Jeremy Stein. 2002. Banks as Providers of Liquidity: An Explanation for the Co-Existence of Lending and DepositTaking, Journal of Finance, vol. 57, no. 1: 33-73.

  29. Kiyotaki, Nobuhiro and John Moore. 1997. Credit Cycles, The Journal of Political Economy, vol. 105, no. 2: 211-248.
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  30. Knight, Malcolm. 2004. Markets and Institutions: Managing the Evolving Financial Risk, Speech to 25th SUERF Colloquium in Madrid on Oct. 14.
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  31. Kohn, Donald. 2004. How Should Policymakers Deal with Low-Probability, High-Impact Events? speech at European Central Bank Conference on Monetary Policy and Imperfect Knowledge, Oct. 15, 2004.
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  32. Large, Andrew. 2003. Basel II and Systemic Stability, speech given at the Barbican Center, 13 March 2003.
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  33. Mian, Atif. 2004. Distance Constraints: The Limits of Foreign Lcnding in Poor Economies, mimeo, Graduate School of Business, University of Chicago, forthcoming Journal of Finance.

  34. Morgan, Donald P. 2002. Rating Banks: Risk and Uncertainty in an Opaque Industry, American Economic Review, vol. 92, no. 4: 874-888.

  35. Myers, Stewart C., and Raghuram G. Rajan. 1998. The Paradox of Liquidity, The Quarterly Journal of Economics, vol. 113, no. 3: 733-771.

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  37. Qian, Jun, and Philip E. Strahan. 2005. How Law and Institutions Shape Financial Contracts: The Case of Bank Loans, National Bureau of Economic Research working paper 11052.

  38. Rajan, Raghuram, and Luigi Zingales. 2003. Saving Cap italism from the Capitalists (New York: Crown Business Division of Random House).
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  39. Rajan, Raghuram. 1998. The Past and Future of Commercial Banking Viewed Through an Incomplete Contract Lcns, Journal of Money, Credit, and Banking, vol. 30, no. 3: 524-550.

  40. Shiller, Robert. 2002. The New Financial Order: Risk in the 21st Century, Princeton University Press, Princeton, NJ.
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  41. Simons, Henry. 1948. Economic Policy for a Free Society (Chicago: University of Chicago Press).
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  43. Stern, Gary, and Ron Feldman. 2004. Too Big To Fail: The Hazards ofBank Bailouts (Washington: Brookings Institute).
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Cocites

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  1. Model uncertainty in financial forecasting. (2019). Ajdler, Thibaut ; Feiler, Matthias J.
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  2. Diversity in Cognitive Ability Enlarges Mispricing. (2015). Ishikawa, Ryuichiro ; Hanaki, Nobuyuki ; Funaki, Yukihiko ; AKIYAMA, Eizo.
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  3. Learning from experience in the stock market. (2015). Nuño Barrau, Galo ; Nakov, Anton ; Nuo, Galo.
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  4. Weekly momentum by return interval ranking. (2013). Tang, YA ; Pan, LI ; Xu, Jianguo.
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  5. Sovereign debt: financial market over-reliance on credit rating agencies. (2013). Bank for International Settlements, .
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  6. The Role of Speculation in Oil Markets: What Have We Learned So Far?. (2013). Mahadeva, Lavan ; Kilian, Lutz ; Bassam Fattouh, Lutz Kilian,, .
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  7. Speculation and Oil Price Formation. (2012). Fattouh, Bassam.
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  8. Chasing noise. (2012). Shleifer, Andrei ; Mendel, Brock .
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  9. Forecasting the forecasts of others: Implications for asset pricing. (2012). Rytchkov, Oleg ; Makarov, Igor.
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  10. Irrationality and beliefs in a laboratory asset market: Is it me or is it you?. (2012). Qi, Li ; Li, Qi ; Ackert, Lucy ; Kluger, Brian D..
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  11. Higher-order Beliefs in Simple Trading Models.. (2012). Shields, Timothy ; Xin, Baohua.
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  12. Diverse beliefs and time variability of risk premia. (2011). Motolese, Maurizio ; Kurz, Mordecai.
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  13. Internal rationality, imperfect market knowledge and asset prices. (2011). Marcet, Albert ; Adam, Klaus.
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  14. Higher order expectations, illiquidity, and short-term trading. (2011). Vives, Xavier ; Cespa, Giovanni.
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  15. Expectations, Liquidity, and Short-term Trading. (2011). Vives, Xavier ; Cespa, Giovanni.
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  16. Sources of Momentum Profits: Evidence on the Irrelevance of Characteristics. (2011). Hilscher, Jens ; Bandarchuk, Pavel .
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  17. A behavioral model of bubbles and crashes. (2010). Kaizoji, Taisei.
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  18. The financial reporting environment: Review of the recent literature. (2010). Lys, Thomas Z. ; Cohen, Daniel A. ; Walther, Beverly R. ; Beyer, Anne.
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  19. Learning and Complementarities: Implications for Speculative Attacks. (2010). Yuan, Kathy ; Ozdenoren, Emre ; Goldstein, Itay.
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  20. Measuring Agents Reaction to Private and Public Information in Games with Strategic Complementarities. (2010). Heinemann, Frank ; Cornand, Camille.
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  21. Diverse Beliefs. (2010). Rogers, Leonard ; L C G Rogers, ; Brown, Angus A.
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  22. Higher-order beliefs among professional stock market forecasters: some first empirical tests. (2009). Schrimpf, Andreas ; Schmeling, Maik ; Rangvid, Jesper.
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  23. Dynamic Trading and Asset Prices: Keynes vs. Hayek. (2009). Vives, Xavier ; Cespa, Giovanni.
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  24. Dynamic Trading and Asset Prices: Keynes vs. Hayek. (2009). Vives, Xavier ; Cespa, Giovanni.
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  25. Can Optimism about Technology Stocks Be Good for Welfare? Positive Spillovers vs. Equity Market Losses. (2009). Vourvachaki, Evangelia ; Tinn, Katrin.
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  26. A Theory of Demand Shocks. (2009). Lorenzoni, Guido.
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  27. Liquidity and the dynamic pattern of price adjustment: a global view. (2008). Setzer, Ralph ; Orth, Walter ; Belke, Ansgar.
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  28. Dynamic Trading and Asset Prices: Keynes vs. Hayek. (2008). Vives, Xavier ; Cespa, Giovanni.
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  29. On the Sources and Value of Information: Public Announcements and Macroeconomic Performance. (2008). Wallace, Chris ; Myatt, David.
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  30. Asset Management, Human Capital, and the Market for Risky Assets. (2008). Yin, Yong ; Ehrlich, Isaac ; Hamlen, William A..
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  31. Beauty contests under private information and diverse beliefs: How different?. (2008). Kurz, Mordecai.
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  32. Higher Order Expectations in Asset Pricing. (2008). van Wincoop, Eric ; Bacchetta, Philippe.
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  33. Rational Diverse Beliefs and Economic Volatility. (2007). Kurz, Mordecai.
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  34. Diverse Beliefs and Time Variability of Risk Premia. (2007). Motolese, Maurizio ; Kurz, Mordecai.
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  35. Keynesian Beauty Contest, Accounting Disclosure, and Market Efficiency. (2007). Gao, Pingyang.
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  36. Credit Constraints and Stock Price Volatility. (2007). Tong, Hui ; Razin, Assaf ; Hale, Galina.
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  37. Dynamic trading and asset prices: Keynes vs. Hayek. (2007). Vives, Xavier ; Cespa, Giovanni.
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  38. Stock Market Volatility and Learning. (2007). Nicolini, Juan Pablo ; Marcet, Albert ; Adam, Klaus.
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  39. Credit Constraints and Stock Price Volatility. (2007). Tong, Hui ; Razin, Assaf ; Hale, Galina.
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  40. Coordinating Expectations in Monetary Policy. (2007). Shin, Hyun Song ; Morris, Stephen.
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  41. Risk Premia, diverse belief and beauty contests. (2006). Motolese, Maurizio ; Kurz, Mordecai.
    In: MPRA Paper.
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  42. Can Information Heterogeneity Explain the Exchange Rate Determination Puzzle?. (2006). van Wincoop, Eric ; Bacchetta, Philippe.
    In: American Economic Review.
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  43. Inertia of Forward-Looking Expectations. (2006). Shin, Hyun Song ; Morris, Stephen.
    In: American Economic Review.
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  44. What Can Rational Investors Do About Excessive Volatility and Sentiment Fluctuations?. (2005). Uppal, Raman ; Dumas, Bernard ; Kurshev, Alexander.
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  45. Has Financial Development Made the World Riskier?. (2005). Rajan, Raghuram.
    In: NBER Working Papers.
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  46. Has financial development made the world riskier?. (2005). Rajan, Raghuram.
    In: Proceedings - Economic Policy Symposium - Jackson Hole.
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  47. What Can Rational Investors Do About Excessive Volatility and Sentiment Fluctuations?. (2005). Uppal, Raman ; Dumas, Bernard ; Kurshev, Alexander.
    In: CEPR Discussion Papers.
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  48. Do Stock Price Bubbles Influence Corporate Investment?. (2004). Huberman, Gur ; Gilchrist, Simon ; Himmelberg, Charles P..
    In: NBER Working Papers.
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  49. Do stock price bubbles influence corporate investment?. (2004). Huberman, Gur ; Gilchrist, Simon ; Himmelberg, Charles P..
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  50. A Scapegoat Model of Exchange-Rate Fluctuations. (2004). van Wincoop, Eric ; Bacchetta, Philippe.
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