Jan Willem van den End : Citation Profile


Are you Jan Willem van den End?

de Nederlandsche Bank (90% share)
Vrije Universiteit Amsterdam (10% share)

13

H index

19

i10 index

558

Citations

RESEARCH PRODUCTION:

20

Articles

42

Papers

1

Books

3

Chapters

RESEARCH ACTIVITY:

   19 years (2002 - 2021). See details.
   Cites by year: 29
   Journals where Jan Willem van den End has often published
   Relations with other researchers
   Recent citing documents: 52.    Total self citations: 15 (2.62 %)

MORE DETAILS IN:
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   Permalink: http://citec.repec.org/pen43
   Updated: 2022-09-24    RAS profile: 2022-02-07    
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Relations with other researchers


Works with:

de Haan, Leo (5)

Demertzis, Maria (3)

Samarina, Anna (2)

Konietschke, Paul (2)

Authors registered in RePEc who have co-authored more than one work in the last five years with Jan Willem van den End.

Is cited by:

Creel, Jerome (14)

Labondance, Fabien (14)

Hubert, Paul (14)

Moessner, Richhild (12)

Blot, Christophe (11)

de Haan, Jakob (10)

Frost, Jon (9)

Hayo, Bernd (8)

van Rooij, Maarten (8)

Albulescu, Claudiu (7)

van Riet, Ad (6)

Cites to:

BORIO, Claudio (52)

Drehmann, Mathias (28)

Shin, Hyun Song (18)

Peersman, Gert (18)

Lenza, Michele (16)

Disyatat, Piti (16)

Giannone, Domenico (16)

Reichlin, Lucrezia (16)

Williams, John (15)

Pill, Huw (14)

Reinhart, Carmen (13)

Main data


Where Jan Willem van den End has published?


Journals with more than one article published# docs
Applied Economics Letters3
The European Journal of Finance2
Applied Economics2

Working Papers Series with more than one paper published# docs
Working Papers / DNB26
Occasional Studies / DNB4
Working Paper Series / European Central Bank3

Recent works citing Jan Willem van den End (2022 and 2021)


YearTitle of citing document
2021A Bayesian Time-Varying Autoregressive Model for Improved Short- and Long-Term Prediction. (2020). Rugamer, David ; Stocker, Almond ; Berninger, Christoph. In: Papers. RePEc:arx:papers:2006.05750.

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2021Losing traction? The real effects of monetary policy when interest rates are low. (2021). Hofmann, Boris ; BORIO, Claudio ; Disyatat, Piti ; Ahmed, Rashad. In: BIS Working Papers. RePEc:bis:biswps:983.

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2022Bank herding in loan markets: Evidence from geographical data in Japan. (2022). Nakagawa, Ryuichi. In: International Review of Finance. RePEc:bla:irvfin:v:22:y:2022:i:1:p:72-89.

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2021The 2021 review of the monetary policy strategy of the Eurosystem: an economy of forces. (2021). Skotida, Ifigeneia ; Argiri, Eleni. In: Economic Bulletin. RePEc:bog:econbl:y:2021:i:54:p:23-57.

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2021Robust Monetary Policy Under Uncertainty About the Lower Bound. (2021). Peter, Tillmann. In: The B.E. Journal of Macroeconomics. RePEc:bpj:bejmac:v:21:y:2021:i:1:p:309-321:n:4.

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2021A financial Stability Index for Jordan. (2021). , Samer. In: Journal of Central Banking Theory and Practice. RePEc:cbk:journl:v:10:y:2021:i:2:p:157-178.

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2021Global Versus Non-Global Banks: A Capital Ratios-Based Analysis. (2021). Malandrakis, Ioannis ; Drakos, Konstantinos. In: Journal of Central Banking Theory and Practice. RePEc:cbk:journl:v:10:y:2021:i:2:p:5-22.

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2022The evolution of macroprudential policy use in Chile, Latin America and the OECD. (2022). Madeira, Carlos. In: Working Papers Central Bank of Chile. RePEc:chb:bcchwp:958.

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2021Monetary Policy and Business Cycle Synchronization in Europe. (2021). MESTRE, Roman ; Odry, Remi. In: EconomiX Working Papers. RePEc:drm:wpaper:2021-19.

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2021Review of macroeconomic modelling in the Eurosystem: current practices and scope for improvement. (2021). Verona, Fabio ; Vetlov, Igor ; Pisani, Massimiliano ; Papadopoulou, Niki ; Notarpietro, Alessandro ; Lozej, Matija ; Lemoine, Matthieu ; DARRACQ PARIES, Matthieu ; Alvarez, Luis ; Schmoller, Michaela ; Haertel, Thomas ; Cova, Pietro ; Angelini, Elena ; Consolo, Agostino ; Gumiel, Jose Emilio ; Paredes, Joan ; Turunen, Harri ; Ciccarelli, Matteo ; Langenus, Geert ; Dupraz, Stephane ; Montes-Galdon, Carlos ; Kuhl, Michael ; Aldama, Pierre ; Szorfi, Bela ; Christoffel, Kai ; Zhutova, Anastasia ; Zimic, Sreko ; de Walque, Gregory ; Matheron, Julien ; Julio, Paulo ; deWalque, Gregory ; Carroy, Alice ; Warne, Anders ; Kilponen, Juha ; Smadu, Andra ; Marotta, Fulvia ; Hurtado, Samuel ; Damjanovi, Milan ; Berbe
2021Assessing the efficacy, efficiency and potential side effects of the ECB’s monetary policy instruments since 2014. (2021). von Landesberger, Julian ; Tapking, Jens ; Linzert, Tobias ; Lemke, Wolfgang ; Altavilla, Carlo ; Carlo Altavilla , . In: Occasional Paper Series. RePEc:ecb:ecbops:2021278.

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2021ECB’s economy-wide climate stress test. (2021). Salleo, Carmelo ; Parisi, Laura ; Muoz, Manuel A ; Kouratzoglou, Charalampos ; Kaijser, Michiel ; Hennig, Tristan ; Emambakhsh, Tina ; Dunz, Nepomuk ; Alogoskoufis, Spyros. In: Occasional Paper Series. RePEc:ecb:ecbops:2021281.

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2022Liquidity coverage ratios and monetary policy credit in the time of Corona. (2022). Tapking, Jens ; Mudde, Yvo ; Gocheva, Viktoriya. In: Working Paper Series. RePEc:ecb:ecbwps:20222668.

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2021Liquidity regulation and bank lending. (2021). Wilson, John ; TARAZI, Amine ; John , ; Chronopoulos, Dimitris K ; Ananou, Foly. In: Journal of Corporate Finance. RePEc:eee:corfin:v:69:y:2021:i:c:s0929119921001188.

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2021In no uncertain terms: The effect of uncertainty on credit frictions and monetary policy. (2021). Martinez-Garcia, Enrique ; Balke, Nathan S ; Zeng, Zheng. In: Economic Modelling. RePEc:eee:ecmode:v:100:y:2021:i:c:s0264999321000766.

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2021Unconventional monetary policy and inflation expectations in the Euro area. (2021). Osowski, Thomas ; Belke, Ansgar ; Asshoff, Sina. In: Economic Modelling. RePEc:eee:ecmode:v:102:y:2021:i:c:s026499932100153x.

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2021Collateral Unchained: Rehypothecation networks, concentration and systemic effects. (2021). Napoletano, Mauro ; Barucca, Paolo ; Luu, Duc Thi ; Battiston, Stefano. In: Journal of Financial Stability. RePEc:eee:finsta:v:52:y:2021:i:c:s1572308920301145.

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2021Does alternative finance moderate bank fragility? Evidence from the euro area. (2021). Ongena, Steven ; Mamatzakis, Emmanuel C ; Tsionas, Mike G. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:72:y:2021:i:c:s1042443121000597.

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2022Do banks adjust their liquidity to cope with environmental variation? A study of bank deregulation. (2022). Ly, Kim Cuong ; Jiang, Yuxiang ; Fan, Yaoyao. In: Journal of International Financial Markets, Institutions and Money. RePEc:eee:intfin:v:76:y:2022:i:c:s1042443121001906.

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2022Purchases of sovereign debt securities by banks during the crisis: The role of balance sheet conditions. (2022). Santioni, Raffaele ; Albareto, Giorgio ; Affinito, Massimiliano. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:138:y:2022:i:c:s0378426619301438.

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2021Risk committee complexity and liquidity risk in the European banking industry. (2021). Scannella, Enzo ; Mazzu, Sebastiano ; Galletta, Simona. In: Journal of Economic Behavior & Organization. RePEc:eee:jeborg:v:192:y:2021:i:c:p:691-703.

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2021Towards a dead end? EMU bond market exposure and manager performance. (2021). Fabozzi, Frank J ; Konstantinov, Gueorgui S. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:116:y:2021:i:c:s026156062100084x.

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2021Quantitative easing and exuberance in stock markets: Evidence from the euro area. (2021). Hudepohl, Thomas ; de Vette, Nander ; van Lamoen, Ryan. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:118:y:2021:i:c:s0261560621001224.

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2021Sovereign debt ratings and the country composition of cross-border holdings of euro area sovereign debt. (2021). Vermeulen, Robert ; de Haan, Leo. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:119:y:2021:i:c:s0261560621001248.

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2021Overcoming the loan-to-deposit ratio by a financial intermediation measure — A perspective instrument of financial stability policy. (2021). Zimkova, Emilia ; Boa, Martin. In: Journal of Policy Modeling. RePEc:eee:jpolmo:v:43:y:2021:i:5:p:1051-1069.

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2021Bond market development and bank stability: Evidence from emerging markets. (2021). Cagas, Marie Anne ; Park, Donghyun ; Tian, Shu. In: Research in International Business and Finance. RePEc:eee:riibaf:v:58:y:2021:i:c:s0275531921001197.

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2021Do Fundamentals Explain Differences between Euro Area Sovereign Interest Rates?. (2021). Ptru, Anda ; Carnot, Nicolas ; Pamies, Stephanie. In: European Economy - Discussion Papers 2015 -. RePEc:euf:dispap:141.

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2021Long-term Challenges for the Monetary Policy in Russia: Climate Change, Demographics and Digital Rouble Adoption. (2021). Eugeny, Goryunov. In: Russian Economic Development. RePEc:gai:recdev:r21116.

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2021???????????? ?????? ??? ?????????? ?????????? ????????: ????????????? ?????????, ?????????? ? ???????? ????????? ?????. (2021). Eugeny, Goryunov. In: Russian Economic Development (in Russian). RePEc:gai:ruserr:r21116.

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2021Dynamics of Funding Liquidity and Risk-Taking: Evidence from Commercial Banks. (2021). Wong, Wing-Keung ; Yousaf, Imran ; Ali, Shoaib ; Abbas, Faisal. In: Journal of Risk and Financial Management. RePEc:gam:jjrfmx:v:14:y:2021:i:6:p:281-:d:579034.

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2022Urban Leverage and Housing Price in China. (2022). Shen, Jianfu ; Lu, Wanying . In: JRFM. RePEc:gam:jjrfmx:v:15:y:2022:i:2:p:87-:d:752581.

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2021Sustainable Banking, Market Power, and Efficiency: Effects on Banks’ Profitability and Risk. (2021). Sanfilippoazofra, Sergio ; Saiz, Maria Cantero ; Olmo, Begoa Torre ; Torreolmo, Begoa . In: Sustainability. RePEc:gam:jsusta:v:13:y:2021:i:3:p:1298-:d:487492.

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2021Magnitudes of households’ carbon footprint in Iskandar Malaysia: Policy implications for sustainable development. (2021). Doberstein, Brent ; Alam, Md Mahmudul ; Al-Amin, Abul Quasem ; Zen, Irina Safitri . In: Post-Print. RePEc:hal:journl:hal-03520198.

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2021Liquidity Regulation and Bank Lending. (2021). Wilson, John ; Tarazi, Amine ; Chronopoulos, Dimitris ; Ananou, Foly. In: Working Papers. RePEc:hal:wpaper:hal-03259305.

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2022ESG activity and bank lending during financial crises. (2022). TARAZI, Amine ; Danisman, Gamze. In: Working Papers. RePEc:hal:wpaper:hal-03547104.

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2021Shadow rates and spillovers across the Eurozone: a spatial dynamic panel model. (2021). Foglia, Matteo ; Cartone, Alfredo ; Fiorelli, Cristiana. In: Empirica. RePEc:kap:empiri:v:48:y:2021:i:1:d:10.1007_s10663-020-09483-5.

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2022What Makes Firms Dissatisfied with Their Bank Loans: New Evidence from Survey Data. (2022). Segol, Matthieu ; Maurin, Laurent ; Kolev, Atanas. In: Journal of Financial Services Research. RePEc:kap:jfsres:v:61:y:2022:i:3:d:10.1007_s10693-021-00362-z.

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2021Financial fragmentation and SMEs’ access to finance. (2021). Girardone, Claudia ; Sclip, Alex ; Calabrese, Raffaella. In: Small Business Economics. RePEc:kap:sbusec:v:57:y:2021:i:4:d:10.1007_s11187-020-00393-1.

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2021The effects of the monetary policy response to the COVID-19 pandemic: preliminary evidence from a pilot study using Austrian bank-level data. (2021). Rieder, Kilian ; Kwapil, Claudia. In: Monetary Policy & the Economy. RePEc:onb:oenbmp:y:2021:i:q4/20-q1/21:b:6.

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2021Magnitudes of Households’ Carbon Footprint in Iskandar Malaysia: A Policy Implications for Sustainable Development. (2021). Alam, Md. Mahmudul ; Al-Amin, Abul Quasem ; Zen, Irina Safitri ; Doberstein, Brent. In: OSF Preprints. RePEc:osf:osfxxx:j5g8e.

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2021Determinants of Financial Sustainability of Financial Intermediaries: Evidence from Sri Lanka. (2021). Liyanagamage, Champika. In: International Journal of Finance & Banking Studies. RePEc:rbs:ijfbss:v:10:y:2021:i:1:p:01-10.

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2022The Effects of Individual and Economic Risks and Stress Testing of Non-Life Sector Profitability: The Case of the NorthMacedonian Insurance Sector. (2022). Petkovski, Mihail ; Simeonovski, Kiril ; Kjosevski, Jordan. In: Journal for Economic Forecasting. RePEc:rjr:romjef:v::y:2022:i:2:p:125-144.

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2021Analysis of the dynamic relationship between liquidity proxies and returns on the French CAC 40 index. (2021). Sadefo-Kamdem, Jules ; Assoil, Ayad. In: SN Business & Economics. RePEc:spr:snbeco:v:1:y:2021:i:10:d:10.1007_s43546-021-00129-7.

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2021Money and inflation in inflation-targeting regimes – new evidence from time–frequency analysis. (2021). Ryczkowski, Maciej. In: Journal of Applied Economics. RePEc:taf:recsxx:v:24:y:2021:i:1:p:17-44.

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2021The Impact of Seven Macroprudential Policy Instruments on Financial Stability in Six Euro Area Economies. (2021). Mejra, Festi ; Eva, Loreni . In: Review of Economic Perspectives. RePEc:vrs:reoecp:v:21:y:2021:i:3:p:259-290:n:3.

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2021Banks and environmental, social and governance drivers: Follow the market or the authorities?. (2021). Panetta, Ida ; Leo, Sabrina ; la Torre, Mario. In: Corporate Social Responsibility and Environmental Management. RePEc:wly:corsem:v:28:y:2021:i:6:p:1620-1634.

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2021A Bayesian panel stochastic volatility measure of financial stability. (2021). Tsionas, Mike G ; Mamatzakis, Emmanuel C. In: International Journal of Finance & Economics. RePEc:wly:ijfiec:v:26:y:2021:i:4:p:5363-5384.

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2022A Bayesian time?varying autoregressive model for improved short?term and long?term prediction. (2022). Rugamer, David ; Stocker, Almond ; Berninger, Christoph. In: Journal of Forecasting. RePEc:wly:jforec:v:41:y:2022:i:1:p:181-200.

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2021The Bank Lending Channel of Conventional and Unconventional Monetary Policy. (2021). Signoretti, Federico ; Nobili, Andrea ; Albertazzi, Ugo. In: Journal of Money, Credit and Banking. RePEc:wly:jmoncb:v:53:y:2021:i:2-3:p:261-299.

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2022Banks strategic interaction, adverse price dynamics and systemic liquidity risk. (2022). Wong, Lui Hsian ; Silbermann, Leonid ; Roling, Christoph ; Kruger, Ulrich. In: Discussion Papers. RePEc:zbw:bubdps:062022.

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2021System-wide and banks internal stress tests: Regulatory requirements and literature review. (2021). Pliszka, Kamil. In: Discussion Papers. RePEc:zbw:bubdps:192021.

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2021Nachhaltigkeit: Modewort oder Erwartung der Generation Y an ihre Arbeitgeber. (2021). Waffenschmidt, Brigitte. In: EconStor Research Reports. RePEc:zbw:esrepo:246810.

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Works by Jan Willem van den End:


YearTitleTypeCited
2005Financial behaviour of Dutch households: analysis of the DNB Household Survey 2003 In: BIS Papers chapters.
[Full Text][Citation analysis]
chapter5
2017Fundamental uncertainty and unconventional monetary policy- an info-gap approach In: Working Papers.
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paper0
2018The natural rate of interest from a monetary and financial perspective In: Occasional Studies.
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paper2
2018Revisiting the central banks lender of last resort function In: Occasional Studies.
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paper4
2009Distortionary effects of anti-crisis measures and how to limit them, DNB Occasional Studies In: Occasional Studies.
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paper2
2010Macro-effects of higher capital and liquidity requirements for banks In: Occasional Studies.
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paper12
2005Measuring Financial Stability: Applying the MfRisk Model to the Netherlands In: Working Papers.
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paper13
2006Indicator and boundaries of financial stability In: Working Papers.
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paper34
2006Modelling Scenario Analysis and Macro Stress-testing In: Working Papers.
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paper23
2008Liquidity Stress-Tester: A macro model for stress-testing banks liquidity risk In: Working Papers.
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paper11
2009When liquidity risk becomes a macro-prudential issue: Empirical evidence of bank behaviour In: Working Papers.
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paper3
2010Trading off monetary and financial stability: a balance of risk framework In: Working Papers.
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paper2
2010Liquidity Stress-Tester: Do Basel III and Unconventional Monetary Policy Work? In: Working Papers.
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paper5
2011Statistical evidence on the mean reversion of interest rates In: Working Papers.
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paper3
2011Banks responses to funding liquidity shocks: lending adjustment, liquidity hoarding and fire sales In: Working Papers.
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paper5
2012Modelling the liquidity ratio as macroprudential instrument In: Working Papers.
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paper3
2012Bank liquidity, the maturity ladder, and regulation In: Working Papers.
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paper5
2012The interaction between the central bank and government in tail risk scenarios In: Working Papers.
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paper0
2013A macroprudential approach to address liquidity risk with the Loan-to-Deposit ratio In: Working Papers.
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paper9
2013Unconventional monetary policy of the ECB during the financial crisis: An assessment and new evidence In: Working Papers.
[Full Text][Citation analysis]
paper45
2013Are European sovereign bonds fairly priced? The role of modeling uncertainty In: Working Papers.
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paper8
2014Low real rates as driver of secular stagnation: empirical assessment In: Working Papers.
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paper0
2015Lenders on the storm of wholesale funding shocks: Saved by the central bank? In: Working Papers.
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paper4
2015Central bank balance sheet policies and inflation expectations In: Working Papers.
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paper11
2016The signalling content of asset prices for inflation: Implications for Quantitative Easing In: Working Papers.
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paper2
2017Fundamental uncertainty and unconventional monetary policy: an info-gap approach In: Working Papers.
[Full Text][Citation analysis]
paper1
2017Applying complexity theory to interest rates: Evidence of critical transitions in the euro area In: Working Papers.
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paper1
2017Assessing the effective stance of monetary policy: A factor-based approach In: Working Papers.
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paper4
2019The impact of size, composition and duration of the central bank balance sheet on inflation expectations and market prices In: Working Papers.
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paper1
2019Effects of QE on sovereign bond spreads through the safe asset channel In: Working Papers.
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paper0
2019Fundamental uncertainty about the natural rate of interest: Info-gap as guide for monetary policy In: Working Papers.
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paper1
2020Macroeconomic reversal rate: evidence from a nonlinear IS-curve In: Working Papers.
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paper1
2002De samenhang tussen beurskoersen en huizenprijzen In: MEB Series (discontinued).
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paper0
2002Portfolio management by Dutch households: an analysis on the basis of a survey In: MEB Series (discontinued).
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paper0
2003Financial behaviour of Dutch households: analysis of the DNB Household Survey 2003 In: MEB Series (discontinued).
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paper9
2003Pensions and public opinion: a survey among Dutch households In: MEB Series (discontinued).
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paper17
2002Portfolio Management by Dutch Households: an Analysis on the Basis of Basis of Survey In: WO Research Memoranda (discontinued).
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paper0
2003Financial behaviour of dutch households: analysis of the dnb household survey 2003 In: WO Research Memoranda (discontinued).
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paper8
2003Pensions and public opinion: a survey among dutch households In: WO Research Memoranda (discontinued).
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paper7
2021Climate change and monetary policy in the euro area In: Occasional Paper Series.
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paper5
2016Lenders on the storm of wholesale funding shocks: Saved by the central bank? In: Working Paper Series.
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paper12
2017Lenders on the storm of wholesale funding shocks: saved by the central bank?.(2017) In: Applied Economics.
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This paper has another version. Agregated cites: 12
article
2019The impact of central bank liquidity support on banks’ balance sheets In: Working Paper Series.
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paper2
2021The impact of central bank liquidity support on banks’ sovereign exposures.(2021) In: Applied Economics.
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This paper has another version. Agregated cites: 2
article
2021Macroeconomic reversal rate in a low interest rate environment In: Working Paper Series.
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paper0
2018Evaluating monetary policy rules under fundamental uncertainty: An info-gap approach In: Economic Modelling.
[Full Text][Citation analysis]
article1
2018The signalling content of asset prices for inflation: Implications for quantitative easing In: Economic Systems.
[Full Text][Citation analysis]
article7
2012When liquidity risk becomes a systemic issue: Empirical evidence of bank behaviour In: Journal of Financial Stability.
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article27
2013Banks’ responses to funding liquidity shocks: Lending adjustment, liquidity hoarding and fire sales In: Journal of International Financial Markets, Institutions and Money.
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article40
2018Low real rates as driver of secular stagnation: Empirical assessment In: Japan and the World Economy.
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article3
2013Bank liquidity, the maturity ladder, and regulation In: Journal of Banking & Finance.
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article41
2014Are European sovereign bonds fairly priced? The role of modelling uncertainty In: Journal of International Money and Finance.
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article24
2014Financial cycles and macroprudential policy In: Chapters.
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chapter0
201350 Years of Money and Finance: Lessons and Challenges In: SUERF 50th Anniversary Volume - 50 Years of Money and Finance: Lessons and Challenges.
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book14
2013Unconventional Monetary Policy of the ECB during the Financial Crisis: An Assessment and New Evidence In: SUERF 50th Anniversary Volume Chapters.
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chapter44
2017Central Bank Balance Sheet Policies and Inflation Expectations In: Open Economies Review.
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article4
2019Applying Complexity Theory to Interest Rates: Evidence of Critical Transitions in the Euro Area In: Credit and Capital Markets.
[Citation analysis]
article0
2010Liquidity Stress-Tester: A Model for Stress-testing Banks Liquidity Risk In: CESifo Economic Studies.
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article6
2013Modelling the liquidity ratio as macroprudential instrument In: Journal of Banking Regulation.
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article15
2021Robust Policy in Times of Pandemic In: Intereconomics: Review of European Economic Policy.
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article0
2004Do stock prices affect house prices? Evidence for the Netherlands In: Applied Economics Letters.
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article22
2014The breakdown of the money multiplier at the zero lower bound In: Applied Economics Letters.
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article2
2016Quantitative easing tilts the balance between monetary and macroprudential policy In: Applied Economics Letters.
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article2
2012Liquidity stress-tester: do Basel III and unconventional monetary policy work? In: Applied Financial Economics.
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article12
2016A macroprudential approach to address liquidity risk with the loan-to-deposit ratio In: The European Journal of Finance.
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article14
2021The impact of size, composition and duration of the central bank balance sheet on inflation expectations and market prices In: The European Journal of Finance.
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article0

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