25 documents matched the search for the 2015-03-05 issue of the NEP report on Central Banking (nep-cba), currently edited by Sergey E. Pekarski.
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11121
Measures of Systemic Risk, Zachary Feinstein, Birgit Rudloff and Stefan Weber,
from arXiv.org
(2016)
Early warning indicators for banking crises: a conditional moments approach, Stijn Ferrari and Mara Pirovano,
from University Library of Munich, Germany
(2015)
Keywords: Early-warning indicators; banking crises; panel data; macro prudential policy
Sovereign Bailouts, Leonardo Martinez, Juan Hatchondo, Burhanettin Kuruscu and Bulent Guler,
from Society for Economic Dynamics
(2014)
De Facto Exchange Rate Regime Classifications Are Better Than You Think, Michael Bleaney, Mo Tian and Lin Yin,
from University of Nottingham, School of Economics
(2015)
Keywords: exchange rate regimes, trade, volatility JEL codes: F31
Sovereign Default and Government’s Bailouts, Sandra Lizarazo, Horacio Sapriza and Javier Bianchi,
from Society for Economic Dynamics
(2014)
Monetary policy in the North, effects in the South, Gonzalo De Cadenas Santiago, Alicia Garcia-Herrero and Alvaro Ortiz,
from BBVA Bank, Economic Research Department
(2014)
Keywords: QE,tapering,emerging markets,monetary policy,porfolio flows
Fast ML estimation of dynamic bifactor models: an application to European inflation, Enrique Sentana and Alessandro Galesi,
from C.E.P.R. Discussion Papers
(2015)
Keywords: Euro area; Inflation convergence; Spectral maximum likelihood; Wiener-kolmogorov filter
Growing out of Crises and Recessions: Regulating Systemic Financial Institutions and Redefining Government Responsibilities, Marcel Boyer,
from CIRANO
(2015)
Keywords: Financial crisis, confidence, creative destruction, fiscal reform, prudential systemic regulation, competitive social-democracy, Crise financière, confiance, destruction créatrice, réforme fiscale, réglementation systémique prudentielle, social-démocratie concurrentielle
Capital Control Measures: A New Dataset, Andrés Fernández Martin, Michael Klein, Alessandro Rebucci, Martin Schindler and Martín Uribe,
from National Bureau of Economic Research, Inc
(2015)
Pick Your Poison: The Choices and Consequences of Policy Responses to Crises, Kristin Forbes and Michael Klein,
from National Bureau of Economic Research, Inc
(2015)
Dissecting the brains of central bankers: the case of the ECB's Governing Council members on reforms, Hamza Bennani,
from University Library of Munich, Germany
(2015)
Keywords: European Central Bank, Monetary Policy, Euro debt crisis, Cognitive mapping
Time Consistency and the Duration of Government Debt: A Signalling Theory of Quantitative Easing, Gauti Eggertsson, Bulat Gafarov and Saroj Bhatarai,
from Society for Economic Dynamics
(2014)
Financial Stability Policies for Shadow Banking, Tobias Adrian,
from C.E.P.R. Discussion Papers
(2015)
Keywords: Shadow bank policies; Systemic risk; Financial intermediation
Sovereign Debt, Bail-Outs and Contagion in a Monetary Union, Sylvester Eijffinger, Burak Uras and Michal Kobielarz,
from C.E.P.R. Discussion Papers
(2015)
Keywords: Sovereign debt crisis; Contagion; Bail-out; Interest rate spreads
THE EFFECT OF CAMPAIGN CONTRIBUTIONS ON STATE BANKING REGULATION AND BANK EXPANSION IN U.S, Aggey Semenov and Hector Perez Saiz,
from Society for Economic Dynamics
(2014)
Capital controls and the real exchange rate: Do controls promote disequilibria?, Juan Montecino,
from University of Massachusetts Amherst, Department of Economics
(2015)
Keywords: Capital Controls, Real Exchange Rates, Undervaluation.
Testing for Identification in SVAR-GARCH Models: Reconsidering the Impact of Monetary Shocks on Exchange Rates, Helmut Lütkepohl and George Milunovich,
from DIW Berlin, German Institute for Economic Research
(2015)
Keywords: Structural vector autoregression, conditional heteroskedasticity, GARCH, identification via heteroskedasticity
On a tight leash: does bank organisational structure matter for macroprudential spillovers?, Piotr Danisewicz, Dennis Reinhardt and Rhiannon Sowerbutts,
from Bank of England
(2015)
Keywords: Macro prudential regulation; cross-border lending; credit supply; foreign banks organisational structure
Equity Recourse Notes: Creating Counter-Cyclical Bank Capital, Jeremy Bulow and Paul Klemperer,
from Stanford University, Graduate School of Business
(2014)
The Compelling Case for Stronger and More Effective Leverage Regulation in Banking, Anat Admati,
from Stanford University, Graduate School of Business
(2014)
Policy-Development Monopolies: Adverse Consequences and Institutional Responses, Alexander V. Hirsch and Kenneth W. Shotts,
from Stanford University, Graduate School of Business
(2015)
Does Keynesian Theory Explain Indian Government Bond Yields?, Tanweer Akram and Anupam Das,
from Levy Economics Institute
(2015)
Keywords: Government Bond Yields; India; Emerging Markets
The Macroeconomic Effects of the Federal Reserve's Unconventional Monetary Policies, Eric M. Engen, Thomas Laubach and David L. Reifschneider,
from Board of Governors of the Federal Reserve System (U.S.)
(2015)
Keywords: Monetary policy reaction function; federal funds rates; forward guidance; large-scale asset purchases; zero lower bound
Endogenous volatility at the zero lower bound: implications for stabilization policy, Susanto Basu and Brent Bundick,
from Federal Reserve Bank of Kansas City
(2015)
Keywords: Endogenous volatility; Zero lower bound; Optimal stabilization policy
Macroeconomic Policy during a Credit Crunch, Juan Pablo Nicolini,
from Federal Reserve Bank of Minneapolis
(2015)
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