29 documents matched the search for the 2023-05-22 issue of the NEP report on Banking (nep-ban), currently edited by Sergio Castellanos-Gamboa.
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11121
Assessing biodiversity-related financial risks: Navigating the landscape of existing approaches, Oecd,
from OECD Publishing
(2023)
Keywords: biodiversity, biodiversity loss, central banks, ecosystem services, ecosystems, financial risk, financial system, nature
A Review of the Bank of Canada’s Support of Key Financial Markets During the COVID-19 Crisis, Joshua Fernandes and Thomas Mueller,
from Bank of Canada
(2023)
Keywords: Coronavirus disease (COVID-19); Financial markets; Market structure and pricing; Monetary policy and uncertainty
Dollar Dominance in Cross-border Bank Loans and Its Response to Uncertainties, Hiro Ito and Ying Xu,
from Research Institute of Economy, Trade and Industry (RIETI)
(2023)
Imperfect Banking Competition and the Propagation of Uncertainty Shocks, Tommaso Gasparini,
from University of Bonn and University of Mannheim, Germany
(2023)
Keywords: Financial Frictions, Financial Intermediaries, Heterogeneous Agents, Market Power, Uncertainty
Less Bank Regulation, More Non-Bank Lending, Mary Chen, Seung Jung Lee, Daniel Neuhann and Farzad Saidi,
from University of Bonn and University of Mannheim, Germany
(2023)
Keywords: Non-bank lending, bank deregulation, credit supply, loan liquidity, industrial organization of financial markets
How Banks Create Gridlock to Save Liquidity in Canada's Large Value Payment System, Rodney Garratt, Zhentong Lu and Phoebe Tian,
from Bank of Canada
(2023)
Keywords: Financial institutions; Payment clearing and settlement systems
Trade Shocks and Credit Reallocation, Stefano Federico, Fadi Hassan and Veronica Rappoport,
from National Bureau of Economic Research, Inc
(2023)
Derisking Real Estate in China’s Hybrid Economy, Wei Xiong,
from National Bureau of Economic Research, Inc
(2023)
FinTech Lending with LowTech Pricing, Mark J. Johnson, Itzhak Ben-David, Jason Lee and Vincent Yao,
from National Bureau of Economic Research, Inc
(2023)
Collateral Advantage: Exchange Rates, Capital Flows and Global Cycles, Michael Devereux, Charles Engel and Steve Pak Yeung Wu,
from National Bureau of Economic Research, Inc
(2023)
Do Banks Hedge Using Interest Rate Swaps?, Lihong McPhail, Philipp Schnabl and Bruce Tuckman,
from National Bureau of Economic Research, Inc
(2023)
Does Monetary Policy Matter? The Narrative Approach after 35 Years, Christina Romer and David Romer,
from National Bureau of Economic Research, Inc
(2023)
The strange case of Romania’s Nicolae Ceaușescu: when the liquidation of sovereign debt results in country total damaging, George Georgescu,
from University Library of Munich, Germany
(2023)
Keywords: foreign debt crisis; oil crisis shocks; IMF; FED monetary policy; inflation; interest rates; sovereign debt restructuring; Romania
The taxation of Financial Transactions: An estimate of Global Tax Revenues, Gunther Capelle-Blancard,
from HAL
(2023)
Keywords: Securities Transaction Tax,Tobin tax,Innovative financing,Financial transaction tax,Taxe sur les transactions financières,taxe Tobin,financements innovants
Improving the effectiveness of financial education programs. A targeting approach, Ginevra Buratti and Alessio D'Ignazio,
from Bank of Italy, Economic Research and International Relations Area
(2023)
Keywords: financial education, machine learning, policy targeting, randomized controlled trials
On the drivers of financial literacy: the role of intergenerational mobility, Sara Lamboglia and Massimiliano Stacchini,
from Bank of Italy, Economic Research and International Relations Area
(2023)
Keywords: financial literacy, intergenerational mobility, gender gap
UK monetary and fiscal policy since the Great Recession- an evaluation, Vo Phuong Mai Le, David Meenagh, A. Patrick Minford and Ziqing Wang,
from Cardiff University, Cardiff Business School, Economics Section
(2023)
Keywords: Quantitative easing, Financial friction, SOE-DSGE, Indirect inference, Zero bound
Application of Machine Learning to a Credit Rating Classification Model: Techniques for Improving the Explainability of Machine Learning, Ryuichiro Hashimoto, Kakeru Miura and Yasunori Yoshizaki,
from Bank of Japan
(2023)
Keywords: Credit risk management; Machine learning; Explainability; eXplainable AI (XAI)
Tackling the fiscal policy-financial stability nexus, Claudio Borio, Marc Farag and Fabrizio Zampolli,
from Bank for International Settlements
(2023)
Keywords: financial crises; doom loops; sovereign exposures; prudential policy; fiscal policy
Mobile payments and interoperability: Insights from the academic literature, Milo Bianchi, Matthieu Bouvard, Renato Gomes, Andrew Rhodes and Vatsala Shreeti,
from Bank for International Settlements
(2023)
Keywords: mobile payments, interoperability, financial inclusion, competition policy
Sovereign risk and bank lending: evidence from 1999 Turkish earthquake, Yusuf Baskaya, Bryan Hardy, Sebnem Kalemli-Ozcan and Vivian Yue,
from Bank for International Settlements
(2023)
Keywords: banking crisis, bank balance sheets, lending channel, public debt, credit supply, sovereign-bank nexus
Long-term debt propagation and real reversals, Mathias Drehmann, Mikael Juselius and Anton Korinek,
from Bank for International Settlements
(2023)
Keywords: new borrowing, debt service, financial cycle, financial flows and real effects
Financial Literacy, Human Capital and Long-Run Economic Growth, Alberto Bucci, Riccardo Calcagno, Simone Marsiglio and Tiago Sequeira,
from Centre for Business and Economics Research (CeBER), University of Coimbra
(2022)
Keywords: Economic Growth, Financial Literacy, Financial Return, Human Capital.
Fiscal Transfers and Common Debt in a Monetary Union: A Multi-Country Agent Based-Stock Flow Consistent Model, Alessandro Caiani and Ermanno Catullo,
from Laboratory of Economics and Management (LEM), Sant'Anna School of Advanced Studies, Pisa, Italy
(2023)
Keywords: Fiscal Transfer Union; Union Bonds; European Integration; Agent Based Macroeconomics; Stock Flow Consistent Models.
Bank accounts, bank concentration and mobile money innovations, Simplice Asongu and Nicholas Odhiambo,
from University of South Africa, Department of Economics
(2023)
Keywords: Mobile money; technology; diffusion; financial inclusion; inclusive innovation, information asymmetry
Error Spotting with Gradient Boosting: A Machine Learning-Based Application for Central Bank Data Quality, Csaba Burger and Mihaly Berndt,
from Magyar Nemzeti Bank (Central Bank of Hungary)
(2023)
Keywords: data quality, machine learning, gradient boosting, central banking, loss functions, missing values
Does Monetary Policy in India Anchor Inflation Expectation?, Rudrani Bhattacharya,
from National Institute of Public Finance and Policy
(2023)
Keywords: Inflation expectation ; Monetary policy ; Co-integrated VAR ; India
Helicopter Drops and Liquidity Traps, Manuel Amador and Javier Bianchi,
from Federal Reserve Bank of Minneapolis
(2023)
Keywords: Helicopter drops; Central bank independence; Liquidity traps; Zero lower bound
The Global Financial Cycle and Country Risk in Emerging Markets During Stress Episodes: A Copula-CoVaR Approach, Luis Melo-Velandia, José Vicente Romero-Chamorro and Mahicol Stiben Ramírez-González,
from Red Investigadores de Economía
(2023)
Keywords: Global financial cycle; Country risk; CDS; Copula-CoVaR
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