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Preferential Regulatory Treatment and Banks Demand for Government Bonds. (2015). Bonner, Clemens.
In: Discussion Paper.
RePEc:tiu:tiucen:049e0e5e-f57b-4ef8-ab8b-bcbd00568d6e.

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  1. The relationship between capital and liquidity prudential instruments. (2021). Pfeifer, Lukáš ; Hodula, Martin ; Komarkova, Zlatue.
    In: Journal of Regulatory Economics.
    RePEc:kap:regeco:v:59:y:2021:i:1:d:10.1007_s11149-020-09420-1.

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  2. The Relationship between Capital and Liquidity Prudential Instruments. (2020). Komarkova, Zlatuse ; Hodula, Martin ; Pfeifer, Lukas.
    In: Occasional Publications - Chapters in Edited Volumes.
    RePEc:cnb:ocpubc:tafs2020/1.

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  3. Systemic liquidity concept, measurement and macroprudential instruments. (2018). Wedow, Michael ; Schmitz, Stefan ; Marques, Aurea ; Lamas, Matías ; Kok, Christoffer ; Duijm, Patty ; Couaillier, Cyril ; Budnik, Katarzyna ; Bonner, Clemens ; Force, Ecb Task.
    In: Occasional Paper Series.
    RePEc:ecb:ecbops:2018214.

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  4. Sovereign collateral as a Trojan Horse: Why do we need an LCR+. (2017). Schmaltz, Christian ; Buschmann, Christian.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:33:y:2017:i:c:p:311-330.

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  5. Why Do Banks in Developing Countries Hold Government Securities?. (2016). Espinoza, Raphael ; Abbas, S. M..
    In: UCL SSEES Economics and Business working paper series.
    RePEc:see:wpaper:2016:1.

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  6. Home bias in bank sovereign bond purchases and the bank-sovereign nexus. (2016). Vlassopoulos, Thomas ; Andreeva, Desislava C.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20161977.

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  7. A DGSE Model to Assess the Post-Crisis Regulation of Universal Banks.. (2016). DE BANDT, OLIVIER ; Chahad, Mohammed.
    In: Working papers.
    RePEc:bfr:banfra:602.

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References

References cited by this document

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Cocites

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  1. Banks, government bonds, and default: what do the data say?. (2017). Rossi, Stefano ; Martin, Alberto ; Gennaioli, Nicola.
    In: Economics Working Papers.
    RePEc:upf:upfgen:1378.

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  2. Tackling sovereign risk in European banks. (2016). Lenarčič, Andreja ; Mevis, Dirk ; Ia, Andreja Lenara .
    In: Discussion Papers.
    RePEc:stm:dpaper:1.

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  3. Bailouts, moral hazard and banks׳ home bias for Sovereign debt. (2016). Zetlin-Jones, Ariel ; Gaballo, Gaetano.
    In: Journal of Monetary Economics.
    RePEc:eee:moneco:v:81:y:2016:i:c:p:70-85.

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  4. Lending-of-last-resort is as lending-of-last-resort does: central bank liquidity provision and interbank market functioning in the euro area. (2016). Manganelli, Simone ; Hoerova, Marie ; Heider, Florian ; Garcia-de-Andoain, Carlos.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20161886.

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  5. REPATRIATION OF DEBT IN THE EURO CRISIS. (2016). Sauré, Philip ; Brutti, Filippo ; Saure, Philip.
    In: Journal of the European Economic Association.
    RePEc:bla:jeurec:v:14:y:2016:i:1:p:145-174.

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  6. Purchases of sovereign debt securities by Italian banks during the crisis: the role of balance-sheet conditions. (2016). Santioni, Raffaele ; Albareto, Giorgio ; Affinito, Massimiliano.
    In: Questioni di Economia e Finanza (Occasional Papers).
    RePEc:bdi:opques:qef_330_16.

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  7. Preferential Regulatory Treatment and Banks Demand for Government Bonds. (2015). Bonner, Clemens.
    In: Discussion Paper.
    RePEc:tiu:tiucen:049e0e5e-f57b-4ef8-ab8b-bcbd00568d6e.

    Full description at Econpapers || Download paper

  8. The Euros Savior? Assessing the ECBs Crisis Management Performance and Potential for Crisis Resolution. (2015). Bibow, Jörg.
    In: Economics Working Paper Archive.
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  9. The euros savior? Assessing the ECBs crisis management performance and potential for crisis resolution. (2015). Bibow, Jörg.
    In: IMK Studies.
    RePEc:imk:studie:42-2015.

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  10. Systemic Risk in the European Union: A Network Approach to Banks’ Sovereign Debt Exposures. (2015). Westphal, Annika .
    In: IJFS.
    RePEc:gam:jijfss:v:3:y:2015:i:3:p:244-279:d:53101.

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  11. Systemic Sovereign Risk and Asset Prices: Evidence from the CDS Market, Stressed European Economies and Nonlinear Causality Tests. (2015). Apergis, Nicholas ; Ajmi, Ahdi Noomen.
    In: Czech Journal of Economics and Finance (Finance a uver).
    RePEc:fau:fauart:v:65:y:2015:i:2:p:127-143.

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  12. Time-varying systematic and idiosyncratic risk exposures of US bank holding companies. (2015). Bessler, Wolfgang ; Nohel, Tom ; Kurmann, Philipp .
    In: Journal of International Financial Markets, Institutions and Money.
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  13. Lending-of-last-resort is as lending-of-last-resort does: Central bank liquidity provision and interbank market functioning in the euro area. (2015). Manganelli, Simone ; Hoerova, Marie ; Heider, Florian ; Garcia-de-Andoain, Carlos ; de Andoain, Carlos Garcia .
    In: CEPR Discussion Papers.
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  14. Sovereign Spreads in the Eurozone: Is Market Discipline Working?. (2015). Igor, Zuccardi Huertas .
    In: Working Papers.
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  15. Sovereign debt exposure and the bank lending channel: impact on credit supply and the real economy. (2015). Mezzanotti, Filippo ; Lenzu, Simone ; Bottero, Margherita.
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  16. De-leveraging, de-risking and moral suasion in the banking sector. (2015). Marchionne, Francesco ; Fratianni, Michele.
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  17. Spillover dynamics for systemic risk measurement using spatial financial time series models. (2014). Schaumburg, Julia ; Lucas, Andre ; Koopman, Siem Jan ; Blasques, Francisco.
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  18. Nonlinearities in sovereign risk pricing the role of cds index contracts. (2014). Portes, Richard ; Fouquau, Julien ; Delatte, Anne-Laure.
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  19. Effectiveness and Transmission of the ECB’s Balance Sheet Policies. (2014). Peersman, Gert ; Dossche, Maarten ; Boeckx, Jef.
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  20. The Euro and The Geography of International Debt Flows. (2014). Obstfeld, Maurice ; Hale, Galina.
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  21. Yes Virginia, There is a European Banking Union! But It May Not Make Your Wishes Come True. (2014). Hellwig, Martin.
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  22. Contagion in the Euro crisis: capital flows and trade linkages. (2014). Cutrini, Eleonora ; Galeazzi, Giorgio.
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  23. Bank asset reallocation and sovereign debt. (2014). Marchionne, Francesco ; Fratianni, Michele.
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  24. Foreign Investor Flows and Sovereign Bond Yields in Advanced Economies. (2014). Poghosyan, Tigran ; Arslanalp, Serkan.
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  25. What Makes Systemic Risk Systemic? Contagion and Spillovers in the International Sovereign Debt Market. (2014). Wu, Eliza ; Remolona, Eli ; Kalotychou, Elena.
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  26. Banking and Sovereign Debt Crises in a Monetary Union Without Central Bank Intervention. (2014). Dufourt, Frédéric ; Dai, Meixing ; CHENG, Jin.
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  27. Sovereign Debt Crises. (2014). Sapriza, Horacio ; Correa, Ricardo.
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  28. The Euro and the Geography of International Debt Flows. (2014). Obstfeld, Maurice ; Hale, Galina.
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  29. Nonlinearities in sovereign risk pricing the role of cds index contracts. (2014). Delatte, Anne-Laure.
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  30. Testing macroprudential stress tests: The risk of regulatory risk weights. (2014). Pierret, Diane ; Engle, Robert ; Acharya, Viral.
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  31. Nonlinearities in Sovereign Risk Pricing: The Role of CDS Index Contract. (2014). Portes, Richard ; Fouquau, Julien ; Delatte, Anne-Laure.
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  32. The Euro and the Geography of International Debt Flows. (2014). Obstfeld, Maurice ; Hale, Galina.
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  33. Nonlinearities in Sovereign Risk Pricing: The Role of CDS Index Contracts. (2014). Portes, Richard ; Fouquau, Julien ; Delatte, Anne-Laure.
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  34. Deglobalization of Banking: The World is Getting Smaller. (2014). Weder di Mauro, Beatrice ; van Rijckeghem, Caroline.
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  35. Real Effects of the Sovereign Debt Crisis in Europe: Evidence from Syndicated Loans. (2014). Hirsch, Christian ; Eufinger, Christian ; Acharya, Viral ; Eisert, Tim.
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  36. Banks, Government Bonds, and Default: What do the Data Say?. (2014). Rossi, Stefano ; Martin, Alberto ; Gennaioli, Nicola.
    In: CEPR Discussion Papers.
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  37. Effectiveness and Transmission of the ECBs Balance Sheet Policies. (2014). Peersman, Gert ; Dossche, Maarten ; Boeckx, Jef.
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  38. The negative feedback loop between banks and sovereigns. (2014). Grande, Giuseppe ; Angelini, Paolo ; Panetta, Fabio.
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  39. Bank asset reallocation and sovereign debt. (2014). Marchionne, Francesco ; Fratianni, Michele.
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  40. Banking and Sovereign Debt Crises in a Monetary Union Without Central Bank Intervention. (2014). Dufourt, Frédéric ; Dai, Meixing ; CHENG, Jin.
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  41. Banks and sovereign risk: A granular view. (2013). Ohls, Jana ; Koetter, Michael ; Buch, Claudia.
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  42. Lending concentration, bank performance and systemic risk : exploring cross-country variation. (2013). De Jonghe, Olivier ; Beck, Thorsten.
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  43. Sovereign Default Risk and Banks in a Monetary Union. (2013). Uhlig, Harald.
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  44. Government Debt and Banking Fragility: The Spreading of Strategic Uncertainty. (2013). Nikolov, Kalin ; Cooper, Russell.
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  45. The Euro and the Geography of International Debt Flows. (2013). Obstfeld, Maurice ; Hale, Galina.
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  46. Assessing asset purchases within the ECB’s securities markets programme. (2013). Schwaab, Bernd ; Eser, Fabian.
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  47. Sovereign Default Risk and Banks in a Monetary Union. (2013). Uhlig, Harald.
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  48. Bankenunion: Teil einer finanz- und fiskalpolitischen Strategie für Europa?. (2013). Gruner, Hans Peter.
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  49. Currency Union with and without Banking Union.. (2013). Rojas-Breu, Mariana ; Breton, Régis ; Bignon, Vincent.
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  50. The impact of interbank and public debt markets on the competition for bank deposits. (2013). Montes, Carlos Perez.
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