32 documents matched the search for the 2023-01-16 issue of the NEP report on Banking (nep-ban), currently edited by Sergio Castellanos-Gamboa.
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1112131
Decentralized lending and its users: Insights from Compound, Kanis Saengchote,
from arXiv.org
(2022)
Evaluating Human Factors in Third-Party Services in Banking Sector, , Adedamola,
from Center for Open Science
(2022)
Consumer credit in the age of AI: Beyond anti-discrimination law, Katja Langenbucher,
from Leibniz Institute for Financial Research SAFE
(2022)
Keywords: credit scoring methodology, AI enabled credit scoring, AI borrower classification, responsible lending, credit scoring regulation, financial privacy, statistical discrimination
Toxic Liquidation Spirals, Jakub Warmuz, Amit Chaudhary and Daniele Pinna,
from arXiv.org
(2023)
Blockchain Network Analysis: A Comparative Study of Decentralized Banks, Yufan Zhang, Zichao Chen, Yutong Sun, Yulin Liu and Luyao Zhang,
from arXiv.org
(2023)
On the macroeconomic effects of reinvestments in asset purchase programmes, Rafael Gerke, Daniel Kienzler and Alexander Scheer,
from Deutsche Bundesbank
(2022)
Keywords: Reinvestment, Stock effect, State-dependent asset purchases, Cognitive discounting, Bayesian estimation
Open banking and customer data sharing: Implications for FinTech borrowers, Rachel J. Nam,
from Leibniz Institute for Financial Research SAFE
(2022)
Keywords: Open banking, FinTech, Marketplace lending, P2P lending, Big data, Customer data sharing, Data access, Data portability, Digital footprints
Sustainability and trust: financial inclusion in the Global South, Fernando Úbeda, Alvaro Mendez and Francisco Forcadell,
from London School of Economics and Political Science, LSE Library
(2023)
Keywords: sustainable banking; finance inclusion; ESG criteria; trust in banking; multinational banks; SDGs
Inequality-Constrained Monetary Policy in a Financialized Economy, Luca Eduardo Fierro, Federico Giri and Alberto Russo,
from University Library of Munich, Germany
(2022)
Keywords: Inequality; Financial Fragility; Monetary Policy; Agent-Based Model
Bank credit risk and macro-prudential policies: role of counter-cyclical capital buffer, Nadia Benbouzid, Abhishek Kumar, Sushanta K. Mallick, Ricardo Sousa and Aleksandar Stojanovic,
from London School of Economics and Political Science, LSE Library
(2022)
Keywords: Bank CDS; Macro-prudential policy; Bank-level characteristics; Macroeconomic environment; Uncertainty
The Relative Benefits and Risks of Stablecoins as a Means of Payment: A Case Study Perspective, Annetta Ho, Sriram Darbha, Yuliya Gorelkina and Alejandro Garcia,
from Bank of Canada
(2022)
Keywords: Digital currencies and fintech; Payment clearing and settlement systems
A look offshore: unpacking the routes of misinvoicing in international trade, Catalin Dragomirescu-Gaina and Leandro Elia,
from World Institute for Development Economic Research (UNU-WIDER)
(2022)
Keywords: Misinvoicing, Banking, Offshore financial centres, Natural resources, International trade, Rent-seeking, Elites, Capital flight
CANVAS: A Canadian Behavioral Agent-Based Model, Cars Hommes, Mario He, Sebastian Poledna, Melissa Siqueira and Yang Zhang,
from Bank of Canada
(2022)
Keywords: Central bank research; Econometric and statistical methods; Economic models; Firms dynamics; Inflation and prices
Theories of crowdfunding and token issues: a review, Anton Miglo,
from University Library of Munich, Germany
(2022)
Keywords: entrepreneurial finance, crowdfunding, token issues, initial coin offerings (ICO), initial exchange offerings (IEO), security token issues (STO)
Banks’ Balance-Sheet Costs, Monetary Policy, and the ON RRP, Gara Afonso, Marco Cipriani and Gabriele La Spada,
from Federal Reserve Bank of New York
(2022)
Keywords: balance sheet constraints; banks; leverage ratio; monetary policy; money market funds; overnight reverse repo (ON RRP)
Bank Funding Risk, Reference Rates, and Credit Supply, Darrell Duffie, Cooperman Harry, Stephan Luck, Zachry Wang and Yilin Yang,
from Federal Reserve Bank of New York
(2022)
Keywords: credit supply; reference rates; credit lines; London Interbank Offered Rate (LIBOR); Secured Overnight Financing Rate (SOFR); bank funding risk
Robust real rate rules, Tom Holden,
from Deutsche Bundesbank
(2022)
Keywords: robust monetary rules, determinacy, Taylor principle, inflation dynamics, monetary transmission mechanism
Regional divides in firms’ take-up of bank debt moratoria and public guarantee schemes during the pandemic in Italy, Davide Arnaudo, Michele Cascarano, Rosalia Greco, Valentina Michelangeli, Litterio Mirenda and Davide Revelli,
from Bank of Italy, Economic Research and International Relations Area
(2022)
Keywords: regional divide, Southern Italy, credit access, debt moratorium, public guarantee, Covid-19
Macroeconomic uncertainty and bank lending, Vegard Larsen and Ragnar Juelsrud,
from Centre for Applied Macro- and Petroleum economics (CAMP), BI Norwegian Business School
(2022)
Keywords: Macroeconomic uncertainty, Textual analysis, Bank lending
Public Banks and Development in Egypt: Overview, Issues and the Way Forward, Jasmin Fouad, Moheb Said, Wesam Sherif and Chahir Zaki,
from Economic Research Forum
(2022)
Debt advice for consumers: nature, European debate and implications for Italy, Diletta Antenucci and Gioia Caldarelli,
from Bank of Italy, Economic Research and International Relations Area
(2022)
Keywords: debt advice, debt counselling, overindebtness
Digitalization, financial knowledge and financial decisions, Daniela Marconi, Marco Marinucci and Giovanna Paladino,
from Bank of Italy, Economic Research and International Relations Area
(2022)
Keywords: Financial knowledge, digital skills, financial behavior, digital payments, digitalization, financial inclusion
The Consequences of Low Interest Rates for the Australian Banking Sector, Anthony Brassil,
from Reserve Bank of Australia
(2022)
Keywords: banking; interest rates; monetary policy
Real interest rates, bank borrowing, and fragility, Toni Ahnert, Kartik Anand and Philipp Johann König,
from Deutsche Bundesbank
(2022)
Keywords: bank borrowing, rollover risk, fragility, real interest rates, global games, funding liquidity risk channel
Unemployment in the Euro Area and Unconventional Monetary Policy Surprises, Oliver Hülsewig and Horst Rottmann,
from CESifo
(2022)
Keywords: Euro area, unconventional monetary policy, labor markets, local projections
Is a State Bank a Useful Economic Development Tool in the United States?, Bob Chirinko,
from CESifo
(2022)
Keywords: state bank, public bank, credit allocation, economic development
FX Intervention to Stabilize or Manipulate the Exchange Rate? Inference from Profitability, Damiano Sandri,
from Bank for International Settlements
(2022)
Keywords: FX intervention, profitability, exchange rate
The burst of high inflation in 2021–22: how and why did we get here?, Ricardo Reis,
from Bank for International Settlements
(2022)
Keywords: Price level, central bank independence, r-star, dove, hawk
Cryptocurrencies and Decentralised Finance, Igor Makarov and Antoinette Schoar,
from Bank for International Settlements
(2022)
Keywords: Decentralized finance, blockchain technology, financial intermediation, system risk
Systemic fragility in decentralised markets, Alfred Lehar and Christine A Parlour,
from Bank for International Settlements
(2022)
Keywords: Decentralized lending, blockchain, decentralized finance, system risk
International Liquidity Shock and Bank Resilience: Evidence from Matched Bank-Firm Data, Youngju Kim, Hyunjoon Lim and Youngjin Yun,
from Inha University, Institute of Business and Economic Research
(2022)
Keywords: international liquidity shock, FX loan, credit register, real effect
Difficult issues in financial regulation for financial stability, Peterson Ozili,
from University Library of Munich, Germany
(2022)
Keywords: financial regulation, financial stability, bank supervision, crisis, central bank, banks, financial institutions, financial innovations, banking and finance.
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