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Публикации
- Interbank Offered Rate: Effects of the Financial Crisis on the Information Content of the Fixing (Brousseau V., Chailloux A.)
- Funding Liquidity Risk and Deviations from Interest-Rate Parity During the Financial Crisis of 2007-2009 (Hui C. H., Genberg H., Chung T. K.)
- A Note on US Excess Bank Reserves and the Credit Contraction (Khemraj T.)
- The Bonus-Driven “Rainmaker” Financial Firm: How These Firms Enrich Top Employees, Destroy Shareholder Value and Create Systemic Financial Instability (Crotty J.)
- Bank Credit During the 2008 Financial Crisis: A Cross-Country Comparison (Aisen A., Franken M.)
- An Analysis of the Determinants of Credit Default Swap Spread Changes Before and During the Subprime Financial Turmoil (Cesare A., Guazzarotti G.)
- Credit Availability in the Crisis: Which Role for the European Investment Bank Group? (Fedele A., Liucci F., Mantovani A.)
- Credit Supply: Identifying Balance-Sheet Channels with Loan Applications and Granted Loans (Jimenez G., Ongena S., Peydrу J., Saurina J.)
- The Global Credit Crunch and Foreign Banks (Kamil H., Rai K.)
- Bank Health and Lending to Emerging Markets (McGuire P., Tarashev N.)
- Sovereign Defaults, Domestic Credit Market Institutions and Credit to the Private Sector (Sandleris G.)
- Crisis Resolution and Bank Liquidity (Acharya V. V., Shin H. S., Yorulmazer T.)
- Endogenous Choice of Bank Liquidity: The Role of Fire Sales (Acharya V. V., Shin H. S., Yorulmazer T.)
- Liquidity Crunch in the Interbank Market: Is it Credit or Liquidity Risk, or Both (Baglioni A.)
- Liquidity Hoarding and Interbank Market Spreads: The Role of Counterparty Risk (Heider F., Hoerova M., Holthausen C.)
- How Do Financial Crises Affect Commercial Bank Liquidity? Evidence from Latin America and the Caribbean (Moore W.)
- When the Rivers Run Dry: Liquidity and the Use of Wholesale Funds in the Transmission of the U.S. Subprime Crisis (Raddatz C.)
- Does Monetary Policy Affect Bank Risk-Taking? (Altunbas Y., Gambacorta L., Marques-Ibanez D.)
- Modelling a Housing and Mortgage Crisis (Goodhart C. A., Tsomocos D. P., Vardoulakis A. P.)
- How did a Domestic Housing Slump Turn into a Global Financial Crisis? (Kamin S. B., DeMarco L. P.)
- Subprime Mortgage Default (Kau J. B., Keenan D. C., Lyubimov C., Slawson V. C. Jr.)
- Did Bankruptcy Reform Cause Mortgage Default Rates to Rise? (Li W., White M. J., Zhu N.)
- Mortgage Loan Modifications: Program Incentives and Restructuring Design (Magder D.)
- Securitization and Distressed Loan Renegotiation: Evidence from the Subprime Mortgage Crisis (Piskorski T., Seru A., Vig V.)
- Originate-to-Distribute Model and the Subprime Mortgage Crisis (Purnanandam A.)
- Cross-Border Banking and the International Transmission of Financial Distress During the Crisis of 2007-2008 (Popov A., Udell G. F.)
- Determinants of Intra-Euro Area Government Bond Spreads During the Financial Crisis (Barrios S., Iversen P., Lewandowska M.)
- The Pricing of Government-Guaranteed Bank Bonds (Levy A., Zaghini A.)
- Government Bond Risk Premiums in the EU Revisited: The Impact of the Financial Crisis (Schuknecht L., Hagen J., Wolswijk G.)
- Safe and Sound Banking: A Role for Countercyclical Regulatory Requirements? (Caprio G.)
- The EU Financial Supervision in the Aftermath of the 2008 Crisis: An Appraisal (Caravelis G.)
- Regulatory Capital Charges for Too-Connected-To-Fail Institutions: A Practical Proposal (Chan-Lau J. A.)
- The Role of State Aid Control in Improving Bank Resolution in Europe (Dewatripont M., Nguyen G., Praet P.)
- Post Crisis Challenges to Bank Regulation (Freixas H.)
- On the Real Effects of Bank Bailouts: Micro-Evidence from Japan (Giannetti M., Simonov A.)
- Recovery Determinants of Distressed Banks: Regulators, Market Discipline, or the Environment? ( Kick T., Koetter M., Poghosyan T.)
- Is Reregulation of the Financial System an Oxymoron? (Kregel J.)
- Is this the Minsky Moment for Reform of Financial Regulation? (Kregel J.)
- The Role of the IASB and Auditing Standards in the Aftermath of the 2008/2009 Financial Crisis (Ojo M.)
- What Determines Euro Area Bank CDS Spreads? (Annaert J., Ceuster M., Van Roy P., Vespro C.)
- Balance Sheet Network Analysis of Too-Connected-To-Fail Risk in Global and Domestic Banking Systems (Chan-Lau J. A.)
- Risk Appetite and Endogenous Risk (Danielsson J., Shin H. S.)
- Deriving the Term Structure of Banking Crisis Risk with a Compound Option Approach: The Case of Kazakhstan (Eichler S., Karmann A.)
- Stronger Risk Controls, Lower Risk: Evidence from U.S. Bank Holding Companies (Ellul A., Yerramilli V.)
- Securitized Products, Financial Regulation, and Systemic Risk (Fujii M.)
- Assessing the Systemic Risk of a Heterogeneous Portfolio of Banks during the Recent Financial Crisis (Huang X., Zhou H., Zhu H.)
- Accounting Discretion of Banks During a Financial Crisis (Huizinga H., Laeven L.)
- Any Regulation of Risk Increases Risk (Maymin P. Z., Maymin Z. G.)
- Optimal Risk Management Before, During and After the 2008-09 Financial Crisis (McAleer M., Jimenez-Martin J.-A., Perez Amaral T.)
- Stress Testing Credit Risk: The Great Depression Scenario (Varotto S.)
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