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Monetary Policy as Financial-Stability Regulation. (2011). Stein, Jeremy.
In: NBER Working Papers.
RePEc:nbr:nberwo:16883.

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  1. Network risk and key players: a structural analysis of interbank liquidity. (2021). Yuan, Kathy ; Li, YE ; Julliard, Christian ; Denbee, Edward.
    In: LSE Research Online Documents on Economics.
    RePEc:ehl:lserod:106280.

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  2. Indebted Demand. (2020). Sufi, Amir ; Mian, Atif ; Straub, Ludwig.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:26940.

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  3. Indebted Demand. (2020). Sufi, Amir ; Straub, Ludwig ; Mian, Atif.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_8210.

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  4. The Interaction Between ConventionalMonetary Policy and Financial Stability: Chile, Colombia, Japan, Portugal and the UK. (2019). Venter, Zoe.
    In: Working Papers REM.
    RePEc:ise:remwps:wp0962019.

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  5. The interaction between monetary and macroprudential policy: Should central banks lean against the wind to foster macro-financial stability?. (2018). Krug, Sebastian.
    In: Economics - The Open-Access, Open-Assessment E-Journal.
    RePEc:zbw:ifweej:20187.

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  6. Federal Reserve and Market Confidence. (2018). Boyarchenko, Nina ; Haddad, Valentin ; Plosser, Matthew.
    In: 2018 Meeting Papers.
    RePEc:red:sed018:781.

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  7. Global Imbalances with Safe Assets in Eurozone. (2018). Hung, Ly-Dai ; Ly-Dai, Hung.
    In: MPRA Paper.
    RePEc:pra:mprapa:90238.

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  8. Global Imbalances with Safe Assets in Eurozone. (2018). Hung, Ly-Dai ; Ly-Dai, Hung.
    In: Working Papers.
    RePEc:hal:wpaper:hal-01935158.

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  9. 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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  10. Dynamic Bank Capital Requirements. (2017). Davydiuk, Tetiana .
    In: 2017 Meeting Papers.
    RePEc:red:sed017:1328.

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  11. Optimal Form of Retention for Securitized Loans under Moral Hazard. (2017). Dionne, Georges ; Malekan, Sara .
    In: Risks.
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  12. Elaboration and Application of the Stability Dynamic Model meant for Risks Analysis and Evaluation. (2016). Muntean, Neli .
    In: International Journal of Academic Research in Business and Social Sciences.
    RePEc:hur:ijarbs:v:6:y:2016:i:8:p:146-168.

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  13. Does Fed policy reveal a ternary mandate?. (2016). Peek, Joe ; Rosengren, Eric S.
    In: Working Papers.
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  14. Inefficient investment waves. (2016). Kondor, Péter ; He, Zhiguo ; Zhiguo, HE.
    In: LSE Research Online Documents on Economics.
    RePEc:ehl:lserod:64412.

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  15. Macroprudential policy. (2016). Bank for International Settlements, .
    In: BIS Papers.
    RePEc:bis:bisbps:86.

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  16. A liquidity-based approach to macroprudential policy. (2016). Of, Central Bank.
    In: BIS Papers chapters.
    RePEc:bis:bisbpc:86-19.

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  17. RETHINKING THE INSTITUTIONAL FRAMEWORK FOR FINANCIAL STABILITY IN THE REPUBLIC OF MOLDOVA. (2015). Clichici, Dorina.
    In: Journal of Financial and Monetary Economics.
    RePEc:vls:rojfme:v:2:y:2015:i:1:p:59-66.

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  18. The impact of capital on lending in publicly-traded and privately- held banks in the EU. (2015). Pipień, Mateusz ; Olszak, Małgorzata.
    In: Faculty of Management Working Paper Series.
    RePEc:sgm:fmuwwp:72015.

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  19. The role of investment banking in systemic risk profiles. Evidence from a panel of EU banking sectors. (2015). Karkowska, Renata.
    In: Faculty of Management Working Paper Series.
    RePEc:sgm:fmuwwp:22015.

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  20. Optimal form of retention for securitized loans under moral hazard. (2015). Dionne, Georges ; Malekan, Sara .
    In: Working Papers.
    RePEc:ris:crcrmw:2015_004.

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  21. Trusting the Bankers: A New Look at the Credit Channel of Monetary Policy. (2015). Peydro, Jose-Luis ; Maddaloni, Angela ; Ciccarelli, Matteo.
    In: Review of Economic Dynamics.
    RePEc:red:issued:13-203.

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  22. Jordan Banks Financial Soundness Indicators. (2015). Al-Jaberi, Khaled ; Kutum, Imad .
    In: International Journal of Finance & Banking Studies.
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  23. Bank Leverage Ratios and Financial Stability: A Micro- and Macroprudential Perspective. (2015). Avgouleas, Emilios.
    In: Economics Working Paper Archive.
    RePEc:lev:wrkpap:wp_849.

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  24. Minsky Financial Instability, Interscale Feedback, Percolation and Marshall-Walras Disequilibrium. (2014). Golo, Natasa ; Solomon, Sorin.
    In: Papers.
    RePEc:arx:papers:1402.0176.

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  25. Register, cap and trade: A proposal for containing systemic liquidy risk. (2013). Milne, Alistair.
    In: Economics - The Open-Access, Open-Assessment E-Journal.
    RePEc:zbw:ifweej:20137.

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  26. Contextualizing Systemic Risk. (2013). Scheffknecht, Lukas.
    In: ROME Working Papers.
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  27. Monetary policy and financial stability risks: an example. (2013). Clouse, James A..
    In: Finance and Economics Discussion Series.
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  28. Macroprudential, Microprudential and Monetary Policies: Policies, Complementarities and Trade-Offs. (2013). Visco, Ignazio ; Nicoletti-Altimari, Sergio ; Angelini, Paolo .
    In: Chapters.
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  29. Market-oriented banking, financial stability and macro-prudential indicators of leverage. (2013). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:27:y:2013:i:c:p:13-34.

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  30. Minsky Financial Instability, Interscale Feedback, Percolation and Marshall–Walras Disequilibrium. (2013). Golo, Natasa ; Natasa, Golo ; Sorin, Solomon .
    In: Accounting, Economics, and Law: A Convivium.
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  31. Competition And Bank Risk: The Role Of Securitization And Bank Capital. (2013). Van Leuvensteijn, Michiel ; Marques-Ibanez, David ; Altunbas, Yener.
    In: Working Papers.
    RePEc:bng:wpaper:13005.

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  32. The procyclicality of Basel III leverage: Elasticity-based indicators and the Kalman filter. (2012). Calmès, Christian ; Calmes, Christian ; Theoret, Raymond .
    In: RePAd Working Paper Series.
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  33. Macro-Prudential Policy in a Fisherian model of Financial Innovation. (2012). Mendoza, Enrique ; Boz, Emine ; Bianchi, Javier.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:18036.

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  34. Debt and Creative Destruction: Why Could Subsidizing Corporate Debt be Optimal?. (2012). He, Zhiguo ; Matvos, Gregor.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:17920.

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  35. Transparency in the Financial System: Rollover Risk and Crises. (2012). Chaigneau, Pierre ; de Motta, Adolfo ; Bouvard, Matthieu.
    In: Cahiers de recherche.
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  36. Transparency in the financial system: rollover risk and crises. (2012). Chaigneau, Pierre ; de Motta, Adolfo ; Bouvard, Matthieu.
    In: FMG Discussion Papers.
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  37. Neglected risks, financial innovation, and financial fragility. (2012). Shleifer, Andrei ; Gennaioli, Nicola ; Vishny, Robert.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:104:y:2012:i:3:p:452-468.

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  38. Macroprudential, microprudential and monetary policies: conflicts, complementarities and trade-offs. (2012). Angelini, Paolo.
    In: Questioni di Economia e Finanza (Occasional Papers).
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  39. Vulnerable Banks. (2011). thesmar, david ; Landier, Augustin ; Greenwood, Robin.
    In: TSE Working Papers.
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  40. Inefficient Provision of Liquidity. (2011). Zingales, Luigi ; Hart, Oliver.
    In: NBER Working Papers.
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  41. Institutional Cash Pools and the Triffin Dilemma of the U.S. Banking System. (2011). Pozsar, Zoltan.
    In: IMF Working Papers.
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  42. Vulnerable Banks. (2011). thesmar, david ; Landier, Augustin ; Greenwood, Robin.
    In: IDEI Working Papers.
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  43. Repo Runs. (2011). von Thadden, Ernst-Ludwig ; Skeie, David ; Martin, Antoine.
    In: FMG Discussion Papers.
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  44. Central Banks and the Financial System. (2011). Giovannini, Alberto ; Giavazzi, Francesco.
    In: Chapters.
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  45. Repo runs. (2011). Skeie, David ; Thadden, Ernst-Ludwig ; Martin, Antoine.
    In: LSE Research Online Documents on Economics.
    RePEc:ehl:lserod:119064.

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  46. Inefficient Provision of Liquidity. (2011). Zingales, Luigi ; Hart, Oliver.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:8525.

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  47. Local versus aggregate lending channels: the effects of securitization on corporate credit supply. (2011). Saurina, Jesús ; Peydro, Jose-Luis ; Mian, Atif ; Jimenez, Gabriel.
    In: Working Papers.
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    RePEc:nbr:nberwo:16994.

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  19. Monetary Policy as Financial-Stability Regulation. (2011). Stein, Jeremy.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:16883.

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  20. A Macroprudential Perspective in Central Banking. (2011). Shiratsuka, Shigenori.
    In: IMES Discussion Paper Series.
    RePEc:ime:imedps:11-e-03.

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  21. Cross-country causes and consequences of the crisis: an update. (2011). Spiegel, Mark ; Rose, Andrew.
    In: Working Paper Series.
    RePEc:fip:fedfwp:2011-02.

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  22. Monetary Policy in a Small Economy after Tsunami: A New Consensus on the Horizon?. (2011). Komarek, Lubos ; Komarkova, Zlatuse ; Frait, Jan.
    In: Czech Journal of Economics and Finance (Finance a uver).
    RePEc:fau:fauart:v:61:y:2011:i:1:p:5-33.

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  23. The role of macroeconomic policies in the global crisis. (2011). Pagano, Patrizio ; Cova, Pietro ; Visco, Ignazio ; Catte, Pietro .
    In: Journal of Policy Modeling.
    RePEc:eee:jpolmo:v:33:y:2011:i:6:p:787-803.

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  24. Leaning Against the Wind and the Timing of Monetary Pollicy. (2011). Demertzis, Maria ; Agur, Itai.
    In: DNB Working Papers.
    RePEc:dnb:dnbwpp:303.

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  25. Banking Crises: A Review. (2011). Laeven, Luc.
    In: Annual Review of Financial Economics.
    RePEc:anr:refeco:v:3:y:2011:p:17-40.

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  26. Collective Moral Hazard, Maturity Mismatch and Systemic Bailouts. (2010). Tirole, Jean ; Farhi, Emmanuel.
    In: TSE Working Papers.
    RePEc:tse:wpaper:21951.

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  27. Cross-Country Causes and Consequences of the Crisis: An Update. (2010). Spiegel, Mark ; Rose, Andrew.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:16243.

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  28. Issuer Quality and Corporate Bond Returns. (2010). Hanson, Samuel ; Greenwood, Robin.
    In: Harvard Business School Working Papers.
    RePEc:hbs:wpaper:11-065.

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  29. Financial amplification of foreign exchange risk premia. (2010). Groen, Jan ; Etula, Erkko ; Adrian, Tobias ; Jan J. J. Groen, .
    In: Staff Reports.
    RePEc:fip:fednsr:461.

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  30. Yield spreads as predictors of economic activity: a real-time VAR analysis. (2010). Koenig, Evan ; Kishor, N.
    In: Working Papers.
    RePEc:fip:feddwp:1008.

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  31. The adverse feedback loop and the effects of risk in both the real and financial sectors. (2010). Davis, Jonathan.
    In: Globalization Institute Working Papers.
    RePEc:fip:feddgw:66.

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  32. Why do (or did?) banks securitize their loans? Evidence from Italy. (2010). Affinito, Massimiliano ; Tagliaferri, Edoardo .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:6:y:2010:i:4:p:189-202.

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  33. Monetary Policy and Excessive Bank Risk Taking. (2010). Demertzis, Maria ; Agur, Itai.
    In: DNB Working Papers.
    RePEc:dnb:dnbwpp:271.

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  34. Monetary Policy and Risk Taking. (2010). Angeloni, Ignazio.
    In: Working Papers.
    RePEc:bre:wpaper:380.

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  35. Empowering the ECB to Supervise Banks: A Choice-Based Approach. (2010). Gerard, Hertig ; McCahery Joseph A., ; Ruben, Lee .
    In: European Company and Financial Law Review.
    RePEc:bpj:eucflr:v:7:y:2010:i:2:p:171-215:n:2.

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  36. Why do (or did?) banks securitize their loans? Evidence from Italy. (2010). Affinito, Massimiliano ; Tagliaferri, Edoardo .
    In: Temi di discussione (Economic working papers).
    RePEc:bdi:wptemi:td_741_10.

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  37. Regulatory reform : integrating paradigms. (2009). Ize, Alain ; de la Torre, Augusto.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:4842.

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  38. Illiquidity and Interest Rate Policy. (2009). Rajan, Raghuram ; Diamond, Douglas.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:15197.

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  39. Collective Moral Hazard, Maturity Mismatch and Systemic Bailouts. (2009). Tirole, Jean ; Farhi, Emmanuel.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:15138.

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  40. Amplification Mechanisms in Liquidity Crises. (2009). Krishnamurthy, Arvind.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:15040.

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  41. Financial Stability Frameworks and the Role of Central Banks; Lessons From the Crisis. (2009). Nier, Erlend.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2009/070.

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  42. A Financial System Perspective on Japans Experience in the Late 1980s. (2009). Takahashi, Wataru ; Shin, Hyun Song ; Hattori, Masazumi.
    In: IMES Discussion Paper Series.
    RePEc:ime:imedps:09-e-19.

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  43. Broker-dealer risk appetite and commodity returns. (2009). Etula, Erkko.
    In: Staff Reports.
    RePEc:fip:fednsr:406.

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  44. Money, liquidity, and monetary policy. (2009). Shin, Hyun Song ; Adrian, Tobias.
    In: Staff Reports.
    RePEc:fip:fednsr:360.

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  45. Collective Moral Hazard, Maturity Mismatch and Systemic Bailouts. (2009). Tirole, Jean ; Farhi, Emmanuel.
    In: Working Papers.
    RePEc:fem:femwpa:2009.57.

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  46. The Crux of the Matter: Ratings and Credit Risk Valuation at the heart of the Structured Finance Crisis. (2009). ROCHE, Adrian ; Aglietta, Michel ; Moreau, Ludovic .
    In: EconomiX Working Papers.
    RePEc:drm:wpaper:2009-3.

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  47. Chapter 2: The Financial Crisis. (2009). Vives, Xavier ; Sturm, Jan-Egbert ; Sinn, Hans-Werner ; Saint-Paul, Gilles ; Jenkinson, Tim ; Hassler, John ; Devereux, Michael ; Corsetti, Giancarlo.
    In: EEAG Report on the European Economy.
    RePEc:ces:eeagre:v::y:2009:i::p:59-122.

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  48. Global imbalances and the financial crisis. (2009). Hume, Michael ; Giese, Julia ; Kubelec, Chris ; Astley, Mark .
    In: Bank of England Quarterly Bulletin.
    RePEc:boe:qbullt:0001.

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  49. Financial Structure and the Impact of Monetary Policy on Asset Prices. (2008). Assenmacher, Katrin ; Gerlach, Stefan ; Assenmacher-Wesche, Katrin .
    In: Working Papers.
    RePEc:snb:snbwpa:2008-16.

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  50. Credit Crises, Risk Management Systems and Liquidity Modelling. (2008). Milne, Frank.
    In: Working Papers.
    RePEc:jdi:wpaper:1.

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