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THE CYCLICALITY OF PRICE‐COST MARGINS IN BANKING: AN EMPIRICAL ANALYSIS OF ITS DETERMINANTS. (2011). Olivero, Maria ; Aliaga-Diaz, Roger ; ALIAGADAZ, ROGER .
In: Economic Inquiry.
RePEc:bla:ecinqu:v:49:y:2011:i:1:p:26-46.

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  2. Risky mortgages, credit shocks and cross-border spillovers. (2021). de Quinto, Alicia ; Buesa, Alejandro ; Poblacion, Francisco Javier.
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  3. Identifying the risk-Taking channel of monetary transmission and the connection to economic activity. (2020). Segev, Nimrod.
    In: Journal of Banking & Finance.
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  4. Fiscal policy and credit spreads: Evidence from a SVAR. (2019). Olivero, Maria Pia.
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  5. Retail Bank Interest Margins in Low Interest Rate Environments. (2018). Saaskilahti, Jaakko.
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  6. Cyclical Properties of Bank Margins: Small versus Large Banks. (2018). Zhang, Yuzhe ; Grochulski, Borys ; Schwam, Daniel.
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  9. Understanding the Cyclical Nature of Financial Intermediation Costs. (2017). Sapci, Ayse ; Jaremski, Matthew.
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  10. Costly financial intermediation and excess consumption volatility. (2017). Sapci, Ayse.
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  11. Endogenous credit standards and aggregate fluctuations. (2016). Ravn, Søren Hove.
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  12. FINANCIAL FRICTIONS IN THE EURO AREA AND THE UNITED STATES: A BAYESIAN ASSESSMENT. (2016). Villa, Stefania.
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  13. The domestic and international effects of interstate U.S. banking. (2015). Stebunovs, Viktors ; Ghironi, Fabio ; Cacciatore, Matteo.
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  15. Credit Frictions, Collateral and the Cyclical Behavior of the Finance Premium. (2014). Pfajfar, Damjan ; Bratsiotis, George ; Agénor, Pierre-Richard ; Agenor, Pierre-Richard.
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  16. The Domestic and International Effects of Interstate U.S. Banking. (2014). Stebunovs, Viktors ; Ghironi, Fabio ; Cacciatore, Matteo.
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  17. FISCAL POLICY AND LENDING RELATIONSHIPS. (2014). Villa, Stefania ; Melina, Giovanni.
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  18. Financial frictions in the Euro Area and the United States: a Bayesian assessment. (2014). Villa, Stefania.
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  19. Leaning Against Windy Bank Lending. (2014). Villa, Stefania ; Melina, Giovanni.
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  20. Fiscal Policy and Lending Relationships. (2013). Villa, Stefania ; Melina, Giovanni.
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  48. Creditor Protection and Financial Cycles. (2001). Micco, Alejandro ; Galindo, Arturo.
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  49. The Determinants of Bank Interest Spread in Brazil. (2001). Nakane, Marcio ; Afanasieff, Tarsila Segalla ; Priscilla Maria Villa Lhacer, .
    In: Anais do XXIX Encontro Nacional de Economia [Proceedings of the 29th Brazilian Economics Meeting].
    RePEc:anp:en2001:051.

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  50. Understanding the behavior of bank spreads in Latin America. (2000). ROJAS-SUAREZ, LILIANA ; Brock, Philip L..
    In: Journal of Development Economics.
    RePEc:eee:deveco:v:63:y:2000:i:1:p:113-134.

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