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Are Leading Indicators of Financial Crises Useful for Assessing Country Vulnerability? Evidence from the 2008-09 Global Crisis. (2010). Saravelos, George ; Frankel, Jeffrey.
In: NBER Working Papers.
RePEc:nbr:nberwo:16047.

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  45. Growth and imbalances in Spain: a reassessment of the output gap. (2014). Santabárbara, Daniel ; estrada, Angel ; Alberola, Enrique ; Santabarbara, Daniel.
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  48. Current account balance and dollar standard: Exploring the linkages. (2014). Steiner, Andreas.
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  49. Banking systemic vulnerabilities: A tail-risk dynamic CIMDO approach. (2014). Nadal De Simone, Francisco ; Nadal De Simone, Francisco de A., ; Jin, Xisong.
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  50. Reserve accumulation and financial crises: From individual protection to systemic risk. (2014). Steiner, Andreas.
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  51. How to foresee banking crises? A survey of the empirical literature. (2014). Kauko, Karlo.
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  52. European crises and the Asian economies. (2014). Pomfret, Richard.
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  53. The Global Crisis and Equity Market Contagion. (2014). Mehl, Arnaud ; Fratzscher, Marcel ; Ehrmann, Michael ; Bekaert, Geert.
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  54. Banking Fragility in Colombia: An Empirical Analysis Based on Balance Sheets. (2014). Guarín López, Alexander ; Lozano-Espitia, Ignacio ; Guarin, Alexander .
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  55. Early Warning for Currency Crises: What Is the Role of Financial Openness?. (2014). Saiki, Ayako ; Frost, Jon.
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  56. The Global Crisis and Equity Market Contagion. (2014). Mehl, Arnaud ; Fratzscher, Marcel ; Ehrmann, Michael ; Bekaert, Geert.
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  57. Fragilidad Bancaria en Colombia: Un Análisis Basado en las Hojas de Balance. (2014). Guarín López, Alexander ; Lozano-Espitia, Ignacio ; Guarin, Alexander .
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  59. Exchange Rate Policy and Sovereign Bond Spreads in Developing Countries. (2013). Yue, Vivian ; Wei, Bin ; JAHJAH, SAMIR .
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  60. Adjustment mechanisms and exchange rate regimes in 2004 new EU members during the financial crisis. (2013). Josifidis, Kosta ; Allegret, Jean-Pierre ; Pucar, Emilija Beker.
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  61. Bretton Woods II and the East Asian Emerging Economies: Lazarus, Phoenix, or Humpty Dumpty?. (2013). Razmi, Arslan.
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  62. Policy Responses to the Global Financial Crisis: What Did Emerging Economies Do Differently?. (2013). Schmukler, Sergio ; Hevia, Constantino ; Didier, Tatiana ; Ceballos, Francisco.
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  63. Exchange Rate Policy and Sovereign Bond Spreads in Developing Countries. (2013). Wei, Bin ; Jahjah, Samir ; Yue, Zhanwei .
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  64. Was Unofficial Dollarisation/Euroisation an Amplifier of the ‘Great Recession’ of 2007–2009 in Emerging Economies?. (2013). Chitu, Livia ; Livia Chiţu, .
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  65. Crowding Out Redefined: The Role of Reserve Accumulation. (2013). Reinhart, Carmen ; Tashiro, Takeshi .
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  66. Noncore Bank Liabilities and Financial Vulnerability. (2013). Shin, Hyun Song ; HAHM, JOONHO .
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  67. Gini’s transvariation analysis: an application on financial crises in developing countries. (2013). Bragoli, Daniela ; Ganugi, Piero ; Ianulardo, Giancarlo.
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  68. Resilience in Latin America; Lessons from Macroeconomic Management and Financial Policies. (2013). de Gregorio, Jose ; DeGregorio, Jose .
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  73. Does Short-Term Debt Increase Vulnerability to Crisis? Evidence from the East Asian Financial Crisis. (2013). Dvir, Eyal ; Benmelech, Efraim.
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  75. Crowding Out Redefined: The Role of Reserve Accumulation. (2013). Reinhart, Carmen ; Tashiro, Takeshi .
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  77. The Latvian financial stress index as an important element of the financial system stability monitoring framework. (2013). Titarenko, Deniss ; Sinenko, Nadeda ; Arin, Mikus .
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  79. LIQUIDITY AND THE BUSINESS CYCLE: EMPIRICAL EVIDENCE FROM THE GREEK BANKING SECTOR. (2013). Vogiazas, Sofoklis ; Alexiou, Constantinos.
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  80. Growth beyond imbalances. Sustainable growth rates and output gap reassessment. (2013). Santabárbara, Daniel ; estrada, Angel ; Alberola, Enrique ; Santabarbara, Daniel.
    In: Working Papers.
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  81. Banking Systemic Vulnerabilities: A Tail-risk Dynamic CIMDO Approach. (2013). Nadal De Simone, Francisco ; Jin, Xisong.
    In: BCL working papers.
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  82. Assessing Financial System Vulnerabilities: An Early Warning Approach. (2013). Roberts, Tom ; Pasricha, Gurnain ; Howell, Brad ; Christensen, Ian .
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  83. Did Established Early Warning Signals Predict the 2008 Crises?*. (2012). Papageorgiou, Chris ; Eicher, Theo ; Christofides, Charis .
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  84. The Post-2007 Crises and Europes Place in the Global Economy.. (2012). Pomfret, Richard.
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  85. Financial Globalization in Emerging Countries: Diversification vs. Offshoring. (2012). Schmukler, Sergio ; Didier, Tatiana ; Ceballos, Francisco.
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  86. Drivers of Output Loss during the 2008–09 Crisis: A Focus on Emerging Europe. (2012). .
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  87. Drivers of Output Loss during the 2008–09 Crisis: A Focus on Emerging Europe. (2012). Feldkircher, Martin ; Crespo Cuaresma, Jesus.
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  88. Non-Core Bank Liabilities and Financial Vulnerability. (2012). Shin, Hyun Song ; Hahm, Joon-Ho .
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  47. Nag, A., and A. Mitra, 1999. Neural Networks and Early Warning Indicators of Currency Crisis, Reserve Bank of India Occasional Papers, 20 (2), pp. 183-222.
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  48. Nitithanprapas, Ekniti, and Thomas Willett, 2000. A Currency Crises Model That Works: A Payments Disequilibrium Approach, Claremont Colleges Working Papers 2000-25.
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  12. The impact of monetary policy announcements on the stock price of large European banks during the financial crisis. (2015). Ricci, Ornella.
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  30. Monetary Policy after the Crisis. (2011). McCauley, Robert ; Kokoszczyński, Ryszard ; Pagano, Patrizio ; Lahiani, Amine ; Nenovsky, Nikolay ; Belka, Marek ; Abildgren, Kim ; Thomsen, Jens ; Przystypa, Jan ; Szczerbowicz, Urszula ; Visco, Ignazio ; Yziak, Tomasz ; Levieuge, Gregory ; Cova, Pietro ; Wrobel, Ewa ; Catte, Pietro ; Stanisawska, Ewa ; Chobanov, Petar ; Badarau, Cristina.
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  34. Response of the Financial Markets to the European Central Bank’s Policy Announcements during the Subprime and Global Financial Crisis. (2010). AYOKI, Milton.
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  35. Over The Cliff: From the Subprime to the Global Financial Crisis. (2010). Mishkin, Frederic.
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  36. Uncertainty about Government Policy and Stock Prices. (2010). Pastor, Lubos ; Lubos Pastor, Pietro Veronesi, .
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  37. Are Leading Indicators of Financial Crises Useful for Assessing Country Vulnerability? Evidence from the 2008-09 Global Crisis. (2010). Saravelos, George ; Frankel, Jeffrey.
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  38. United States; Publication of Financial Sector Assessment Program Documentation: Technical Note on Stress Testing. (2010). International Monetary Fund, .
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  39. The large scale asset purchases had large international effects. (2010). Neely, Christopher.
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  40. Uncertainty about Government Policy and Stock Prices. (2010). Pastor, Lubos ; Veronesi, Pietro.
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  41. Uncertainty about Government Policy and Stock Prices. (2010). Pastor, Lubos ; Veronesi, Pietro.
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  42. The Effectiveness of Central Bank Interventions During the First Phase of the Subprime Crisis. (2009). Frank, Nathaniel ; Hesse, Heiko.
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