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Monetary Policy, macroprudential Policy, and Banking Stability: Evidence from the Euro Area. (2013). Peydro, Jose-Luis ; Maddalonia, Angela .
In: International Journal of Central Banking.
RePEc:ijc:ijcjou:y:2013:q:1:a:6.

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  2. ECB unconventional monetary policy and SME access to finance. (2023). Kapoor, Supriya ; Finnegan, Marie.
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  3. Bank Lending and the European Debt Crisis: Evidence from a New Survey. (2023). Orame, Andrea.
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  4. A prolonged period of low interest rates in Europe: Unintended consequences. (2023). Malovana, Simona ; Jank, Jan ; Ehrenbergerova, Dominika ; Bajzik, Josef.
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  5. Examining macroprudential policy and its macroeconomic effects – Some new evidence. (2022). Mehrotra, Aaron ; Kim, So Young.
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  6. The Impact of Cross-Border Capital Flows on the Chinese Banking System. (2021). Xu, Zichun ; Zhao, Yang.
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  7. The Effect of Monetary Policy on Bank Wholesale Funding. (2021). Choi, Hyun-Soo.
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  8. The transmission of bank capital requirements and monetary policy to bank lending in Germany. (2021). Vogel, Ursula ; Imbierowicz, Bjorn ; Loffler, Axel.
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  14. A Prolonged Period of Low Interest Rates: Unintended Consequences. (2020). Malovana, Simona ; Kolcunová, Dominika ; Janku, Jan ; Ehrenbergerova, Dominika ; Bajzik, Josef.
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  15. The interaction between macroprudential policy and monetary policy: overview. (2020). Sinha, Sonalika ; Reinhardt, Dennis ; Meunier, Baptiste ; Lloyd, Simon ; Cao, Jin ; Bussiere, Matthieu ; Styrin, Konstantin ; Sowerbutts, Rhiannon ; Shina, Sonalika ; Pedrono, Justine ; Hills, Robert ; de Haan, Jakob.
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  17. The transmission of bank capital requirements and monetary policy to bank lending. (2019). Vogel, Ursula ; Imbierowicz, Bjorn ; Loffler, Axel .
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  21. Mortgage lending, monetary policy, and prudential measures in small euro-area economies: Evidence from Ireland and the Netherlands. (2019). Samarina, Anna ; McQuade, Peter ; Jansen, David-Jan ; Everett, Mary ; de Haan, Jakob.
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  22. Unconventional Monetary Policy and Bank Risk-Taking in the Euro Area. (2018). Schmidt, Joerg.
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  25. Foreword – The crisis, ten years after: Lessons learnt for monetary and financial research. (2017). Beyer, Andreas ; Mendicino, Caterina ; Coeure, Benoit.
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  26. Foreword – The crisis, ten years after: Lessons learnt for monetary and financial research. (2017). Mendicino, Caterina ; Beyer, Andreas ; Coeure, Benoit.
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  30. Effectiveness and Channels of Macroprudential Instruments; Lessons from the Euro Area. (2016). Zhang, Yuanyan S ; Tressel, Thierry.
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  21. What makes banking crisis resolution difficult? Lessons from Japan and the Nordic Countries. (2015). Vollmer, Uwe ; Diemer, Michael.
    In: Eurasian Economic Review.
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  22. The Impact of a Low Interest Rate Environment: Empirical Evidence from the Euro Area Bank Lending Survey. (2015). Khosravi, Taha.
    In: MPRA Paper.
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  23. Depositors’ Perception of Too-Big-to-Fail. (2015). Raquel de F. Oliveira, ; Lucas A. B. de C. Barros, ; Schiozer, Rafael F..
    In: Review of Finance.
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  24. Mean spillover effect between crude oil and gasoline markets: an empirical result. (2015). Yang, Sheng ; He, Ling-Yun ; Chen, Mu-Ling ; Han, Zhi-Hong.
    In: International Journal of Global Energy Issues.
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  25. Supervising System Stress in Multiple Markets. (2015). Oet, Mikhail ; Janosko, Amanda C ; Dooley, John M ; Ong, Stephen J ; Gramlich, Dieter.
    In: Risks.
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  26. Contagion and banking crisis – International evidence for 2007–2009. (2015). Gajurel, Dinesh ; Dungey, Mardi.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:60:y:2015:i:c:p:271-283.

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  27. International swap market contagion and volatility. (2015). Wickramanayake, Jayasinghe ; Batten, Jonathan ; Azad, A.S.M. ; Sohel Azad, A. S. M., ; Fang, Victor.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:47:y:2015:i:c:p:355-371.

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  28. The Effectiveness of Regulatory Capital Requirements Prior to the Onset of the Financial Crisis. (2015). Abreu, Jose Filipe ; Gulamhussen, Mohamed Azzim .
    In: International Review of Finance.
    RePEc:bla:irvfin:v:15:y:2015:i:2:p:199-221.

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  29. Overlending and Macroprudential Tools. (2014). Tiernan, Natalie .
    In: 2014 Meeting Papers.
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  30. Challenges of bank lending in Romania on short, medium and long-term. (2014). Zaman, Gheorghe ; Georgescu, George.
    In: MPRA Paper.
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  31. What drives investment bank performance? the role of risk, liquidity and fees prior to and during the crisis.. (2014). mamatzakis, emmanuel ; bermpei, t.
    In: MPRA Paper.
    RePEc:pra:mprapa:60196.

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  32. LANALYSE DE LINFLUENCE DES COMPOSANTS DES ETATS FINANCIERS SUR LA CAPITALISATION BOURSIÈRE DES ENTREPRISES ROUMAINES, DANS LES CONDITIONS DE LA CRISE. (2014). Ioan, Bogdan Robu ; Istrate, Costel .
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  33. Bank Leverage, Financial Fragility and Prudential Regulation. (2014). Nasica, Eric ; CARTAPANIS, Andre ; Bruno, Olivier.
    In: GREDEG Working Papers.
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  34. What drives investment bank performance? The role of risk, liquidity and fees prior to and during the crisis. (2014). mamatzakis, emmanuel ; Bermpei, Theodora.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:35:y:2014:i:c:p:102-117.

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  35. Un mecanismo para lograr la participación de los bancos en los mercados interbancarios no colateralizados. (2014). Sabogal, Camilo Gonzalez .
    In: Revista ESPE - Ensayos sobre Política Económica.
    RePEc:bdr:ensayo:v:32:y:2014:i:73:p:17-35.

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  36. Asymmetric Transmission of a Bank Liquidity Shock. (2014). Schiozer, Rafael Felipe ; Raquel de Freitas Oliveira, .
    In: Working Papers Series.
    RePEc:bcb:wpaper:368.

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  37. Monetary Policy, macroprudential Policy, and Banking Stability: Evidence from the Euro Area. (2013). Peydro, Jose-Luis ; Maddalonia, Angela .
    In: International Journal of Central Banking.
    RePEc:ijc:ijcjou:y:2013:q:1:a:6.

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  38. Bank leverage, financial fragility and prudential regulation. (2013). CARTAPANIS, Andre ; Bruno, Olivier ; Nasica, Eric.
    In: Working Papers.
    RePEc:hal:wpaper:halshs-00853701.

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  39. Policy in adaptive financial markets—the use of systemic risk early warning tools. (2013). Oet, Mikhail ; Gramlich, Dieter ; Ong, Stephen J..
    In: Working Papers (Old Series).
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  40. A perspective on the symptoms and causes of the financial crisis. (2013). Cabral, Ricardo .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:1:p:103-117.

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  41. The economic crisis: Did supervision architecture and governance matter?. (2013). Quintyn, Marc ; Pansini, Rosaria Vega ; masciandaro, donato.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:4:p:578-596.

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  42. A CRITICAL REVIEW OF CONTAGION RISK IN BANKING. (2013). Hasman, Augusto.
    In: Journal of Economic Surveys.
    RePEc:bla:jecsur:v:27:y:2013:i:5:p:978-995.

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  43. Flujos de capitales, la crisis financiera internacional y los desbalances macroeconómicos. (2013). Toro-Cordoba, Jorge Hernan ; Parra-Amado, Daniel ; Mora-Quiones, Rocio.
    In: Chapters.
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  44. Financial Instability, Uncertainty and Banks’ Lending Behaviour. (2012). Swamy, Vighneswara.
    In: MPRA Paper.
    RePEc:pra:mprapa:47518.

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  45. Financial stress index: a lens for supervising the financial system. (2012). Oet, Mikhail ; Gramlich, Dieter ; Bianco, Timothy ; Ong, Stephen J..
    In: Working Papers (Old Series).
    RePEc:fip:fedcwp:1237.

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  46. The preponderant causes of the USA banking crisis 2007–08. (2012). Pol, Eduardo.
    In: Journal of Behavioral and Experimental Economics (formerly The Journal of Socio-Economics).
    RePEc:eee:soceco:v:41:y:2012:i:5:p:519-528.

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  47. The Global Financial Crisis: some attributes and responses. (2012). faff, robert ; Allen, David.
    In: Accounting and Finance.
    RePEc:bla:acctfi:v:52:y:2012:i:1:p:1-7.

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  48. A tool for scrutinizing bank bailouts based on multi-period peer benchmarking. (2011). Goto, Mika ; Avkiran, Necmi K..
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:19:y:2011:i:5:p:447-469.

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  49. Government intervention in response to the subprime financial crisis: The good into the pot, the bad into the crop. (2010). Wagner, Niklas ; Breitenfellner, Bastian .
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:19:y:2010:i:4:p:289-297.

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  50. The Aftermath of Financial Crises. (2009). Rogoff, Kenneth ; Reinhart, Carmen.
    In: Scholarly Articles.
    RePEc:hrv:faseco:11129155.

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