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The dark side of bank wholesale funding. (2010). Ratnovski, Lev ; Huang, Rocco.
In: Working Papers.
RePEc:fip:fedpwp:09-3.

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  1. Turkish Non-Core Bank Liabilities. (2016). Yilmaz, Engin ; Süslü, Bora.
    In: South-Eastern Europe Journal of Economics.
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  2. Ekonomické a regulatorní podmínky řízení likvidity v bankovním sektoru České republiky v kontextu aplikace poměru likvidního krytí. (2015). Brůna, Karel ; Blahova, Naa ; Brna, Karel .
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  3. The conceptual foundations of macroprudential policy : a roadmap. (2013). Ize, Alain ; de la Torre, Augusto.
    In: Policy Research Working Paper Series.
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  4. Leverage, wholesale funding and national risk attitude. (2013). Dewally, Michael ; Shao, Yingying.
    In: Journal of International Financial Markets, Institutions and Money.
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  5. Moral Hazard and Debt Maturity. (2013). Repullo, Rafael ; Huberman, Gur.
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  6. Market discipline and the Russian interbank market. (2013). Semenova, Maria.
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  7. Banks Liability Structure and Mortgage Lending During the Financial Crisis. (2012). Kazimov, Kazim ; Dagher, Jihad.
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  8. Short-Term Wholesale Funding and Systemic Risk; A Global Covar Approach. (2012). International Monetary Fund, .
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  9. Bank Funding Structures and Risk; Evidence From the Global Financial Crisis. (2012). Vazquez, Francisco ; Federico, Pablo .
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  15. Bank Risk during the Financial Crisis: Do business models matter?. (2012). Marques-Ibanez, David ; Manganelli, Simone ; Altunbas, Yener.
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  16. Have public bailouts made banks loan books safer?. (2012). Brei, Michael ; Gadanecz, Blaise.
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  20. Banks wholesale funding and credit procyclicality: evidence from Korea. (2011). Jeong, Sangjun ; Jung, Hueechae .
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  21. Capital Regulation and Tail Risk. (2011). Vlahu, Razvan ; Perotti, Enrico ; Ratnovski, Lev.
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  22. A Pigovian Approach to Liquidity Regulation. (2011). Suarez, Javier ; Perotti, Enrico.
    In: International Journal of Central Banking.
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  23. Liquidity hoarding. (2011). Yorulmazer, Tanju ; Gale, Douglas.
    In: Staff Reports.
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  24. Shareholder and stakeholder theory: after the financial crisis. (2011). Tse, Terence .
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  25. A model of bank lending in the global financial crisis and the case of Korea. (2011). Romeu, Rafael ; Leony, Larissa .
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  26. Bank risk during the financial crisis: do business models matter?. (2011). Marques-Ibanez, David ; Manganelli, Simone ; Altunbas, Yener.
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  27. Capital Regulation and Tail Risk. (2011). Vlahu, Razvan ; Ratnovski, Lev ; Perotti, Enrico.
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  28. Capital Regulation and Tail Risk. (2011). Vlahu, Razvan ; Ratnovski, Lev ; Perotti, Enrico.
    In: CEPR Discussion Papers.
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  29. A Pigovian Approach to Liquidity Regulation. (2011). Suarez, Javier ; Perotti, Enrico.
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  30. When the rivers run dry : liquidity and the use of wholesale funds in the transmission of the U.S. subprime crisis. (2010). Raddatz, Claudio.
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  31. Zur Vertrauensökonomik: Der Interbankenmarkt in der Krise von 2007-2009. (2010). Czernomoriez, Janna ; Clemens, Marius ; De La Motte, Laura .
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  32. Rollover Risk and Market Freezes. (2010). Yorulmazer, Tanju ; Gale, Douglas ; Acharya, Viral.
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  33. Funding Modes of German Banks: Structural Changes and their Implications. (2010). Weber, Martin ; Norden, Lars.
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  34. Liquidity, Bank Runs, and Bailouts: Spillover Effects During the Northern Rock Episode. (2010). Yorulmazer, Tanju ; Goldsmith-Pinkham, Paul.
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  35. Deposit insurance and money market freezes. (2010). Suarez, Javier ; Bruche, Max.
    In: Journal of Monetary Economics.
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  36. Bank activity and funding strategies: The impact on risk and returns. (2010). Huizinga, Harry ; Demirguc-Kunt, Asli ; Demirgu-Kunt, Asli.
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  37. Funding patterns and liquidity management of internationally active banks. (2010). Bank for International Settlements, .
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  39. Bank activity and funding strategies : the impact on risk and returns. (2009). Huizinga, Harry ; Demirguc-Kunt, Asli.
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  40. Financial paradigms. (2009). Ize, Alain ; de la Torre, Augusto.
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  41. Why Are Canadian Banks More Resilient?. (2009). Ratnovski, Lev ; Huang, Rocco .
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  42. The identification of technology regimes in banking: Implications for the market power-fragility nexus. (2009). Poghosyan, Tigran ; Koetter, Michael.
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  43. The Macroeconomics of Money Market Freezes. (2009). Suarez, Javier ; Bruche, Max.
    In: CEPR Discussion Papers.
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  44. Bank Activity and Funding Strategies: The Impact on Risk and Return. (2009). Huizinga, Harry ; Demirguc-Kunt, Asli.
    In: CEPR Discussion Papers.
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  45. Rollover Risk and Market Freezes. (2009). Yorulmazer, Tanju ; Gale, Douglas ; Acharya, Viral.
    In: CEPR Discussion Papers.
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  46. The Macroeconomics of Money Market Freezes. (2009). Suarez, Javier ; Bruche, Max.
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  33. Unstable banking. (2010). Vishny, Robert ; Shleifer, Andrei.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:97:y:2010:i:3:p:306-318.

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  34. Financial Connections and Systemic Risk. (2010). Carletti, Elena ; Babus, Ana ; Allen, Franklin.
    In: Working Papers.
    RePEc:ecl:upafin:10-20.

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  35. Financing Speculative Booms. (2010). Xiong, Wei ; He, Zhiguo.
    In: Levine's Working Paper Archive.
    RePEc:cla:levarc:661465000000000327.

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  36. Regulating the Shadow Banking System. (2010). Metrick, Andrew ; Gorton, Gary.
    In: Brookings Papers on Economic Activity.
    RePEc:bin:bpeajo:v:41:y:2010:i:2010-02:p:261-312.

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  37. Market and Funding Liquidity Stress Testing of the Luxembourg Banking Sector. (2010). Nadal De Simone, Francisco ; Stragiotti, Franco .
    In: BCL working papers.
    RePEc:bcl:bclwop:bclwp045.

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  38. Adverse Selection, Liquidity, and Market Breakdown. (2010). Kirabaeva, Koralai .
    In: Staff Working Papers.
    RePEc:bca:bocawp:10-32.

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  39. Securitized Banking and the Run on Repo. (2009). Metrick, Andrew ; Gorton, Gary.
    In: Yale School of Management Working Papers.
    RePEc:ysm:somwrk:amz2358.

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  40. When Everyone Runs for the Exit. (2009). Pedersen, Lasse.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:15297.

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  41. Securitized Banking and the Run on Repo. (2009). Metrick, Andrew ; Gorton, Gary.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:15223.

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  42. Unstable Banking. (2009). Vishny, Robert ; Shleifer, Andrei.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:14943.

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  43. Fear of Fire Sales and the Credit Freeze. (2009). Rajan, Raghuram ; Diamond, Douglas.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:14925.

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  44. The Risky Lending Gap. (2009). Connor, Gregory.
    In: Economics, Finance and Accounting Department Working Paper Series.
    RePEc:may:mayecw:n2010809.pdf.

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  45. When Everyone Runs for the Exit. (2009). Pedersen, Lasse.
    In: International Journal of Central Banking.
    RePEc:ijc:ijcjou:y:2009:q:4:a:10.

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  46. Why do markets freeze?. (2009). Bond, Philip ; Leitner, Yaron.
    In: Working Papers.
    RePEc:fip:fedpwp:09-24.

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  47. The commercial paper market, the Fed, and the 2007-2009 financial crisis. (2009). Gascon, Charles ; Anderson, Richard.
    In: Review.
    RePEc:fip:fedlrv:y:2009:i:nov:p:589-612:n:v.91no.6.

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  48. The evolution of a financial crisis: panic in the asset-backed commercial paper market. (2009). Suarez, Gustavo ; Covitz, Daniel M. ; Liang, Nellie.
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2009-36.

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  49. When Everyone Runs for the Exit. (2009). Pedersen, Lasse.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:7436.

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  50. Financial crises and the evaporation of trust. (2009). Anand, Kartik ; Gai, Prasanna ; Marsili, Matteo.
    In: Papers.
    RePEc:arx:papers:0911.3099.

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