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Financial Stability in the Aftermath of the World Crisis – Looking for a New Framework,
Halep Maria, in Ovidius University Annals, Economic Sciences Series (2012)
Keywords: financial crisis, regulation, liberalization, shadow banking
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THE ASIAN FINANCIAL CRISIS: LESSONS LEARNED AND UNLEARNED,
Yılmaz Akyüz, in Ekonomi-tek - International Economics Journal (2017)
Keywords: Financial crisis, Asian economies
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Financial Innovation, Collateral, and Investment,
Ana Fostel and John Geanakoplos, in American Economic Journal: Macroeconomics (2016) Downloads

Macro-prudentiality and financial stability,
Cristian Ionescu, in Studies and Scientific Researches. Economics Edition (2011)
Keywords: financial stability, financial crisis, macro-prudential regulation, macro-prudential instruments
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Debt and Macroeconomic Stability: Debt and the Business Cycle,
Volker Ziemann, from OECD Publishing (2012)
Keywords: amplitude des cycles conjoncturels, amplitude of business cycles, debt, macroeconomic stability, stabilité macroéconomique
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The economic expansion in the US since 2009 and Donald Trump’s ambitions to ‘drain the swamp’,
Trevor Evans, in European Journal of Economics and Economic Policies: Intervention (2018)
Keywords: US economy, profitability, finance, wages, business cycle, crisis
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Islamic Finance: Is it a Time to be Considered as an Alternative during Financial Crisis Times? A Comparative Study in Gulf Cooperation Council,
Badreldin F. Salim and Mohamed H. Mahmoud, in International Journal of Economics and Financial Issues (2016)
Keywords: Islamic Finance, Conventional Banks, Financial Performance, Challenges, Financial Crisis
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Behavioral Finance and Financial Contagion: The Evidence of DCC-MGARCH Model From 63 Equity Markets,
Mariem Talbi, Adel Boubaker and Saber Sebai, in International Journal of Economics and Financial Issues (2017)
Keywords: Dynamic Conditional Correlation, Financial Crisis, Financial Contagion, Interdependence
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Flaws in the Marxian Explanations of the Great Recession,
Ismael Hossein-zadeh, in Review of Radical Political Economics (2014)
Keywords: debt deflation; financial bubbles and bursts; Great Recession; crisis theories
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Determinants of Valuables Area in the Dwelling Property Market Illustrated with an Example of Olsztyn,
Oksana Kuryj-Wysocka and Agnieszka Osiecka, in World of Real Estate Journal (Swiat Nieruchomosci) (2014)
Keywords: real estate development cycle; real estate life cycle; valuables area
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The Systemic Risks – A Main Cause of the Financial Crisis,
Dorin Hoarcã, in Ovidius University Annals, Economic Sciences Series (2012)
Keywords: systemic risk, banks, financial crise, financial system
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Dalla crisi finanziaria alla crisi reale,
Carlo D'Adda, in Moneta e Credito (2010)
Keywords: Cultura economica, Crisi finanziaria, Regole
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La crisi: aspetti economici e sociali,
Alberto Quadrio Curzio, in Moneta e Credito (2010)
Keywords: Cultura economica, Crisi finanziaria, Regole
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Monetary Policy under the Border between Price Stability and Financial Stability,
Irina-Raluca Badea, in Finante - provocarile viitorului (Finance - Challenges of the Future) (2015)
Keywords: financial crisis, central banks, financial stability, price stability, inflation targeting
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Wiedergewinnung von Vertrauen oder Rueckkehr der Vertrauensillusion? Ein Plaedoyer fuer gesundes Misstrauen gegenueber systematischen Tautologien (Regain of Trust or the Return of an Illusion? A Call for Sensible Mistrust in Face of Systemic Tautologies),
Christoph Weber-Berg, in Zeitschrift für Wirtschafts- und Unternehmensethik - Journal for Business, Economics & Ethics (2010)
Keywords: trust, financial crisis, self reference, ethical competence
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Kapitalmarktinformationen: Ihre dienende Rolle fuer eine nachhaltige Entwicklung. Eine Analyse der Aufgaben des Finanzmarktes in ethischer Perspektive (Information about the Money Market: Their Serving Role for Sustainable De-velopment – An Analysis of the Tasks of the Financial Market from the Ethic Point of View),
Joerg Huebner, in Zeitschrift für Wirtschafts- und Unternehmensethik - Journal for Business, Economics & Ethics (2010)
Keywords: financial market, sustainability, development, human rights, globalization
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Politik-sensible CSR-Forschung am Beispiel der Auseinandersetzung um ein europaeisches Rahmenwerk (Political Aspects of CSR Research – Struggling for a European CSR Framework),
Bernhard Ungericht and Christian Hirt, in Zeitschrift für Wirtschafts- und Unternehmensethik - Journal for Business, Economics & Ethics (2010)
Keywords: CSR, legal framework, lobbying, interest groups
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Commercial Banks Liquidity in Pakistan: Firm Specific and Macroeconomic Factors,
Muhammad Farhan Malik and Amir Rafique, in Romanian Economic Journal (2013)
Keywords: Commercial Banks, Determinants of Liquidity, Asian Financial Crisis 2008, Liquidity Risk
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The Effects of Financial Market Uncertainty: Does Regime Change Occur During Financial Market Crises? (in Korean),
Seewon Kim, in Economic Analysis (Quarterly) (2019)
Keywords: Uncertainty, Stochastic volatility, Economic crisis, SV-in-mean VAR model, Regime change
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The Impact of Financial Stress on Iran per Capita GDP over the Period 2000(3)-2011(1),
Nasrin Khazalipoor and Homayoun Ranjbar , in Journal of Money and Economy (2014)
Keywords: Financial crisis, Banking crisis, Stock crisis, Currency crisis, Economic growth, ARDL model
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A Spanish Financial Market Stress Indicator (FMSI),
Leticia Estévez Cerqueira and María Isabel Cambón Murcia, from CNMV- Spanish Securities Markets Commission - Research and Statistics Department (2015)
Keywords: systemic risk, financial crisis, composite indicator, real economy
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China’s Economic Growth, Global Economic Crisis and China’s Policy Responses (The Quaid-i-Azam Lecture),
Yu Yongding, in The Pakistan Development Review (2008)
Keywords: Growth, Global Financial Crisis, Stimulus Package, Structural Adjustment
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Finland's Housing Market: Reducing Risks and Improving Policies,
Laura Vartia, from OECD Publishing (2006)
Keywords: aides au logement, emprunts hypothécaires, house prices, housing support, housing wealth, impôt sur la propriété, logement social, mortgages, prix des logements, property tax, richesse, social housing
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Effects of Intervention in the Spot Currency Market on the BRL/USD Exchange Rate from 1999 to 2008: an Event Study,
Roberto Meurer, Felipe Wolk Teixeira and Eduardo Cardeal Tomazzia, in Brazilian Review of Finance (2010)
Keywords: Foreign Exchange Intervention, Volatility, Exchange rate, Brazil
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Desempeño Económico Agregado y Mercado Accionario: Un Análisis Empírico para el Caso Chileno,
Jorge Gregoire and Leonardo Letelier, in Latin American Journal of Economics-formerly Cuadernos de Economía (1998)
Keywords: Series de tiempo, mercados financieros
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Financial Liberalization and the Asset Price Cycle,
M.P. Moore, from California Irvine - School of Social Sciences (1997)
Keywords: FINANCIAL MARKET ; ASSET PRICES

The Crisis in the Real Economy and the Stability of the Bulgarian Banking System,
Ekaterina Sotirova, in Economic Alternatives (2012)
Keywords: macroeconomics, banks, business fluctuations
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La specificità italiana nella crisi in atto,
Pierluigi Ciocca, in Moneta e Credito (2010)
Keywords: Cultura economica, Crisi finanziaria, Regole
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Monetary and Macroprudential Policies Considering Business and Financial Cycles (in Korean),
Yong Min Kim and Jung Yeoun Lee, in Economic Analysis (Quarterly) (2015)
Keywords: Business cycle, Financial cycle, Monetary policy, Macroprudential policy
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La crisi finanziaria globale 2008-2009,
Carlo D’adda, in Rivista Internazionale di Scienze Sociali (2009)
Keywords: ABS, CDS, crisis, financial crisis, global crisis, MBS, stock markets, vehicle
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Determinants of Credit Growth: The Case of Montenegro,
Maja Ivanović, in Journal of Central Banking Theory and Practice (2016)
Keywords: credit growth, global financial crisis, fixed effects linear model.
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Kazimierz Å aski's Lectures in Macroeconomics under financial capitalism,
Jerzy Osiatyński, in European Journal of Economics and Economic Policies: Intervention (2019)
Keywords: Michał Kalecki, Kazimierz Šaski, financial capitalism, business cycle, money and interest
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A predator–prey model to explain cycles in credit-led economies,
Óscar Dejuán and Daniel Dejuán-Bitriá, in Review of Keynesian Economics (2018)
Keywords: business cycles, financial instability, predator–prey models, post-Keynesian economics
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THE ROLE OF COUNTERCYCLICAL MEASURES IN CONTROLLING THE PROCYCLICAL BEHAVIOUR OF BANKS,
Irina – Raluca Badea, in Annals of University of Craiova - Economic Sciences Series (2015)
Keywords: monetary policy; central banks; procyclicality; countercyclical measures; Basel III; capital requirements
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Booms de Consumo e Inversión: El Rol del Crédito a las Firmas y de los Hábitos en el Consumo,
Natalia Pecorari, in Revista de Analisis Economico – Economic Analysis Review (2017)
Keywords: Investments and consumption booms, credit, financial accelerator, habits
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An Analysis of the Main Debtors Behavior in the Formation of Non-Performing Loans (in Persian),
Ahmad Baharvandi, Mohamad Reza Falah Ranjbar and Asghar Abolhasani, in Journal of Monetary and Banking Research (فصلنامه پژوهش‌های پولی-بانکی) (2015) Downloads

Heterogeneity in the Relationship Between NPLs and Real Economy: Evidence from the Mongolian Banking System,
Enkhzaya Demid, in Journal of Central Banking Theory and Practice (2021)
Keywords: NPLs, macroeconomic determinants, bank heterogeneity.
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Ciclos crediticios y políticas macroprudenciales,
Oscar Díaz Quevedo and Sergio Palma Cuenca, from Banco Central de Bolivia (2016)
Keywords: Ciclo económico, ciclo financiero, colchones de capital
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Romanian economy evolution's risks in conditions of U.S. housing and real estate market crisis,
Jenica Popescu, Sabin Rizescu and Alia Duta, in Finante - provocarile viitorului (Finance - Challenges of the Future) (2008)
Keywords: mortgage crisis, real estate market, banking system, monetary policy
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The causes of the 1997 Asian crisis. The start of subprime crisis,
Mihut Marius, in Ovidius University Annals, Economic Sciences Series (2010)
Keywords: increase/decrease model, Asian Crisis, foreign debt, investments, exports, profit rates, speculative bubble.
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Leverage Behavior of Turkish Banks: How Did They Escape The Global Crisis?,
Ahmet Çalişkan, in Iktisat Isletme ve Finans (2011)
Keywords: Global Financial Crisis, Leverage, Turkish Banking System

BANKING CRISIS AND CYCLIC SHOCKS: A PERSPECTIVE ON VOLATILITY CLUSTERING,
Mingyuan Sun, in The International Journal of Business and Finance Research (2018)
Keywords: EGARCH, Volatility Clustering, Cyclic Shocks, Leverage Effect
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The Role of Bank Credits on Effectiveness of Fiscal Policy: A TVAR Approach (in Persian),
Ahmad Ezzati Shourgholi and Parisa Sahraiee, in Journal of Monetary and Banking Research (فصلنامه پژوهش‌های پولی-بانکی) (2019) Downloads

Companies’ Bank Lending in European Union: Principles, Forms and a Brief Analysis of Competition,
Voroneanu Constantin-Bogdan and Scântee Roxana, in Ovidius University Annals, Economic Sciences Series (2012)
Keywords: European Union, bank lending, competition, companies.
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A Predictive Model for Financial Crises: An Exploratory Public Policy Tool,
Yap Kok Wei and Yap Su Fei, in Institutions and Economies (formerly known as International Journal of Institutions and Economies) (2010)
Keywords: - financial crisis, economic modelling, policy modelling, monetary policy
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Global financial crisis and its effects on the bank lending channel in the Colombian economy,
David Rodríguez-González and Inés María Ulloa-Villegas, in Lecturas de Economía (2020)
Keywords: central bank, monetary policy, interest rate, global financial crisis, bank lending
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EARLY WARNING SYSTEMS FOR FINANCIAL CRISES.A CRITICAL APPROACH,
Stanislav Percic, Constantin-Marius Apostoaie and Vasile Cocris, in CES Working Papers (2013)
Keywords: financial crisis, currency crisis, Early Warning System, signal extraction, crisis prediction Romania
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La crisi della macroeconomia,
Terenzio Cozzi, in Moneta e Credito (2011)
Keywords: macroeconomic equilibrium, representative agent, financial markets
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Finance and reproduction: Rudolf Hilferding’s crisis theory,
Christian Tutin, in Cahiers d’économie politique / Papers in Political Economy (2006) Downloads

Forms of globalisation: from ‘capitalism unleashed’ to a global green new deal,
Jonathan Michie, in European Journal of Economics and Economic Policies: Intervention (2018)
Keywords: globalisation, global financial crisis, green new deal
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The Core of a New Type of Crisis: Subprime Crisis,
Anca Gabriela Ilie, Oana Antonia Colibasanu, Dan Dumitriu and Roxana Sarbu, in Romanian Economic Journal (2009)
Keywords: subprime crisis, subprime loans, Federal Reserves, The European Central Bank
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Growth effect of aid and its volatility: An individual country study in South Asian economies,
Vesna Bucevska, in Business and Economic Horizons (BEH) (2011)
Keywords: Financial crisis, early warning system model, logit model, the EU candidate countries.
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Hoarding, saving, and the paradox of thrift in a financial economy,
Srinivas Thiruvadanthai, in Review of Keynesian Economics (2019)
Keywords: Keynes, saving, thrift, hoarding, money, financial assets
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A Model of Financial Shocks at Bank and Interbank of Iran (DSGE),
Abbas Shakeri and Azam Ahmadian , in Journal of Money and Economy (2013)
Keywords: Banks, Interbank market, Financial shocks, Monetary policy
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Degree of Leverage Ratio Analysis in the Iranian Banking Network,
Mohammad Valipour Pasha and Ali Arshadi , in Journal of Money and Economy (2015)
Keywords: Profitability, Degree of leverage ratio, Economic boom and bust
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Modeling financial instability,
Toichiro Asada, in European Journal of Economics and Economic Policies: Intervention (2012)
Keywords: Minsky's financial instability hypothesis, Lotka-Volterra system, private debt, income, public debt, inflation expectation, stabilization policy
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The Impact of the Global Crisis on the Labour Market in Romania,
Balanescu Madalina, in Ovidius University Annals, Economic Sciences Series (2010)
Keywords: financial crisis, global and national economies, labour market, unemployment
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Using State Pension Shocks to Estimate Fiscal Multipliers since the Great Recession,
Daniel Shoag, in American Economic Review (2013) Downloads

Failure to Launch: Housing, Debt Overhang, and the Inflation Option,
Aaron Hedlund, in American Economic Journal: Macroeconomics (2019) Downloads

Kritische Finanzethik (Critical Financial Ethics),
Uwe Demele, in Zeitschrift für Wirtschafts- und Unternehmensethik - Journal for Business, Economics & Ethics (2010)
Keywords: financial markets, socially responsible investments, sustainability, business ethics
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Determinanty i implikacje poszerzania strefy euro. Kwestia polska,
Grzegorz Kołodko and Marta Postuła, in Gospodarka Narodowa. The Polish Journal of Economics (2018)
Keywords: integracja, euro konwergencja, kryteria z Maastricht, procedura nadmiernego deficytu, dług publiczny
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Can austerity work?,
Alfredo Calcagno, in Review of Keynesian Economics (2012)
Keywords: austerity, financial crisis, multipliers, debt, confidence, macroeconomic policy
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Regionalni razvoj – uvjet opstanka eurozone,
Sandra Bebek and Guste Santini, in Ekonomija Economics (2012)
Keywords: maastrichtski kriteriji, deficit na teku?em ra?unu platne bilance, neizravna devalvacija, odnos dvostrukih deficita, ravnomjerniji razvoj ?lanica eurozone, neoliberalna politika
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Are Basel Capital Standards Implemented Successfully in Pakistan?,
Romila Qamar, Shahid Mansoor Hashmi and Mughees Tahir Bhalli, in Romanian Economic Journal (2016)
Keywords: Pro-cyclicality, Basel, Capital Buffer, Capital Management, risk management
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Macroeconomic efault Modeling and Stress Testing,
Dietske Simons and Ferdinand Rolwes, in International Journal of Central Banking (2009) Downloads

The Business Cycle in a Changing Economy: Conceptualization, Measurement, Dating,
Allen Sinai, in American Economic Review (2010) Downloads

stabilization policies and banking behaviors: a rereading of Minsky’s conception of business cycles,
Eric Nasica, in Cahiers d’économie politique / Papers in Political Economy (2014)
Keywords: Minsky, financial instability hypothesis, business cycles, stabilization policies, monetary policies, fiscal policy.
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The Effect of Solvency Regulations and Accounting Standards on Long-Term Investing: Implications for Insurers and Pension Funds,
Clara Severinson and Juan Yermo, from OECD Publishing (2012)
Keywords: accounting, assureur, comptabilité, defined benefit, economic value, fair value, financement, fonds de pension, funding, insurer, investissement à long terme, juste valeur, long-term investing, pension fund, prestations définies, solvabilité, solvency, valeur économique
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The Impact of the Financial Crisis on Defined Benefit Plans and the Need for Counter-Cyclical Funding Regulations,
Juan Yermo and Clara Severinson, from OECD Publishing (2010)
Keywords: anticyclique, contribution, cotisation, counter-cyclical, crise financière, deficit, defined benefit, déficit, excédent, financement, financial crisis, funding, marked-to-market, pensions, prestations définies, regulation, retraites, réglementation, surplus, valorisation au prix du marché
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Finance, Market, Globalization: Lessons from the 2007-09 Crisis,
Salvatore Rossi, in Review of Economic Analysis (2010)
Keywords: Financial Crises, Financial Systems, Bank Supervision, Crisis Management, Liberalism, Globalization, Regulation
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The Effects of 2008 Global Economic Crisis to Financial Statements and to Liquidity Ratio which one are Cote in BIST Energy Sector,
Selcuk Kendirli, in International Conference on Economic Sciences and Business Administration (2016)
Keywords: Financial Crisis, Balance Sheets, Financial Analysis
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Romania is Suffocating from Economic Point of View,
Negoescu Gheorghe, in Ovidius University Annals, Economic Sciences Series (2011)
Keywords: investor, employee, economy, crisis, promotion
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Annual Financial Statements and the Financial Information Supply,
Genu Alexandru Cãruntu and Loredana Ciurlãu, in Ovidius University Annals, Economic Sciences Series (2015)
Keywords: cash-flow, annual reports, the balance sheet, the profit, loss account
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Une bulle auto-validante est-elle possible?,
P. Artus, from Caisse des Depots et Consignations - Cahiers de recherche (1999)
Keywords: MONNAIE ; MARCHE FINANCIER ; MACROECONOMIE

Frankfurt güleryüzlü, Wall Street daha zorlu 24 saat borsa,
Hermann Kutzer, in Iktisat Isletme ve Finans (1996)

MACROECONOMICS, FIRM-SPECIFIC FACTORS AND EXCESS RETURN: AN EMPIRICAL INVESTIGATION FROM AMMAN STOCK EXCHANGE,
Wasfi AL Salamat, Walid Masadeh and Ebrahim Mansour, in Global Journal of Business Research (2016)
Keywords: Excess Stock Return, Excess Market Return, Macroeconomics Variables, Firm-Specific Variables, Industrial Firms, Panel Data, ASE
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CRISES CAMBIAIS E BANCÁRIAS NA DÉCADA DE 1990: UMA ANÁLISE DE PAINEL APLICADA A MERCADOS EMERGENTES,
Ana Paula Menezes Pereira and Fernando Seabra, from ANPEC - Associação Nacional dos Centros de Pós-Graduação em Economia [Brazilian Association of Graduate Programs in Economics] (2004) Downloads

Influența variabilelor macro-economice asupra ratei riscului de credit și impactul asupra capitalurilor și locurilor de muncă disponibile,
Florin Andrei, in Journal of Financial Studies (2017)
Keywords: credit, risc, model VAR, capital, locuri de muncă, dobândă
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Aversión al riesgo implícita en los precios de mercado de diferentes activos financieros de Argentina,
Etelvina Stefani Chavez, Gastón Milanesi and Gabriela Pesce, in Remef - Revista Mexicana de Economía y Finanzas Nueva Época REMEF (The Mexican Journal of Economics and Finance) (2021)
Keywords: aversión al riesgo; dólar estadounidense; tasa de política monetaria; acciones; CRRA; FTP
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Financial sustainability of union digital center in Bangladesh,
Md. Gofran Faroqi, in Journal of Developing Areas (2015)
Keywords: Financial sustainability, telecenter, entrepreneur, e-government, public-private partnership
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Financial market regulation 2013–2016: new subjects and new requirements,
Natalia Polezhaeva, from Gaidar Institute for Economic Policy (2017)
Keywords: Russian economy, financial market regulation
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Compliance with the Corporate Governance Code: are there any improvements,
Natalia Polezhaeva, from Gaidar Institute for Economic Policy (2018)
Keywords: Russian economy, financial market regulation
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Calculation of the index of prerequisites for the functioning of the European insurance space in the context of integration directions of Ukraine,
Bunin Serhii, in Technology audit and production reserves, 1(45) 2019 (2019)
Keywords: insurance market of Ukraine; European insurance space; human development index; index calculation method
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The Fractal Market Analysis and Its Application on Czech Conditions,
Tran Van Quang, in Acta Oeconomica Pragensia (2005)
Keywords: fractal market hypothesis, Hurst exponent, Hurst persistent process
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A Simple Open Economy Model: A Non-Linear Dynamic Approach,
Jan Kodera and Tran Van Quang, in European Financial and Accounting Journal (2017)
Keywords: Uncovered interest rate parity, Money market dynamics, Limit cycle, Exchange rate dynamics, Dynamic model
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Credit Horizons,
Shengxing Zhang, Nobuhiro Kiyotaki and John Moore, from C.E.P.R. Discussion Papers (2021)
Keywords: Credit horizon; Low interest rate; Productivity; Growth
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Dynamical Elements of the Monetary Theory,
Alexei Krouglov, from University Library of Munich, Germany (2003)
Keywords: Monetary Theory
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Bringing Islamic Banking into the Mainstream is not an Alternative to Conventional Finance,
Ewa Karwowski, in Journal of Financial Transformation (2010)
Keywords: Financial Crisis; Islamic Banking; Financial Markets
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Nexus between Financial Development and Investment in Pakistan:A Vector Auto-regressive Model Approach,
Arslan Khalid, in Journal of Quantitative Methods (2019)
Keywords: financial development; investment; foreign direct investment; principal component analysis; vector autoregressive model; augmented dickey fuller test
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Money, Stock Prices and Industrial Activity in India Long-Run Relationships and Causality,
Prakash G. Apte, in Indian Economic Review (1997)

Modeling Money Demand in India: Testing Weak, Strong & Super Exogeneity,
Samarjit Das and Kumarjit Mandal, in Indian Economic Review (2000)

¿Se ha desarrollado el mercado secundario de acciones colombiano durante el período 1988-2002?,
Humberto Bernal Castro, Humberto Bernal Castro and Byron Ortega, from Universidad Externado de Colombia (2004)
Keywords: Mercadobursátil
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LA PROCICLICIDAD DEL SISTEMA BANCARIO EN ESPAÑA. ESTUDIO DEL COMPORTAMIENTO DEL NEGOCIO BANCARIO ANTE EL CAMBIO DE CICLO,
Irene Clara PISÓN Fernández, Félix PUIME Guillén and Miguel Ángel CRESPO Cibrán, in Revista Galega de Economía (2015)
Keywords: prociclicidad, crisis financiera, gestión del riesgo bancario, procyclicality, financial crisis, bank risk management.
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Leverage constraints and real interest rates,
Jukka Isohätälä, Feo Kusmartsev, Alistair Milne and Donald Robertson, from Bank of Finland (2014)
Keywords: borrowing constraints, debt management, incomplete financial markets, international macroeconomics, finance and macroeconomics, macroeconomic propagation, precautionary saving, systemic risk
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Wie mobil ist Kapital? Empirische Evidenz für Deutschland,
Susanne Lapp, from Kiel Institute for the World Economy (IfW Kiel) (1996) Downloads

Network topography and default contagion in China's financial system,
Jens Fittje and Helmut Wagner, from Verein für Socialpolitik / German Economic Association (2020)
Keywords: Interbank Network, Financial Contagion, China's interbank market, Financial market stability, Complex networks, Network topography
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Nominal Rigidity and Monetary Uncertainty,
Neil Rankin, from C.E.P.R. Discussion Papers (1994)
Keywords: Interest Rates; Monetary Uncertainty; Nominal Rigidity; Output
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Asset Price Bubbles in the Kiyotaki-Moore Model,
Tomohiro Hirano and Masaru Inaba, from University Library of Munich, Germany (2010)
Keywords: Bubbly Dynamics, Contagion, Welfare Effects of Bubbles
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Criza financiara 2007-2008: cauze si consecinte,
Ionica Munteanu, from University Library of Munich, Germany (2009)
Keywords: financial crisis, systemic risk, securitization, globalization
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Finansal Liberalizasyon ve Küresel Krizin Yapısal Nedenleri: Gelişmekte Olan Ülkeler İçin Dersler,
Cem Okan Tuncel, from University Library of Munich, Germany (2012)
Keywords: Financial Liberalization, Financialization, Financial Crises, Developing Countries
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