Mara Pirovano : Citation Profile


European Central Bank

7

H index

5

i10 index

123

Citations

RESEARCH PRODUCTION:

7

Articles

13

Papers

3

Chapters

RESEARCH ACTIVITY:

   12 years (2009 - 2021). See details.
   Cites by year: 10
   Journals where Mara Pirovano has often published
   Relations with other researchers
   Recent citing documents: 20.    Total self citations: 9 (6.82 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/ppi322
   Updated: 2026-02-21    RAS profile: 2022-08-24    
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Relations with other researchers


Works with:

Rünstler, Gerhard (2)

Perez Quiros, Gabriel (2)

Authors registered in RePEc who have co-authored more than one work in the last five years with Mara Pirovano.

Is cited by:

Du Caju, Philip (4)

Tojerow, Ilan (4)

Ciocchetta, Federica (4)

Périlleux, Guillaume (4)

Comunale, Mariarosaria (4)

Rycx, Francois (4)

Ongena, Steven (3)

Auer, Raphael (3)

Škrinjarić, Tihana (3)

Cornacchia, Wanda (3)

Idier, Julien (3)

Cites to:

BORIO, Claudio (27)

Drehmann, Mathias (26)

Reinhart, Carmen (20)

Detken, Carsten (20)

Alessi, Lucia (14)

Kose, Ayhan (13)

Claessens, Stijn (13)

Terrones, Marco (12)

Rose, Andrew (12)

Tsatsaronis, Kostas (12)

Frankel, Jeffrey (12)

Main data


Where Mara Pirovano has published?


Journals with more than one article published# docs
Financial Stability Review2
Macroprudential Bulletin2

Working Papers Series with more than one paper published# docs
Working Papers / University of Antwerp, Faculty of Business and Economics5
MPRA Paper / University Library of Munich, Germany2

Recent works citing Mara Pirovano (2025 and 2024)


YearTitle of citing document
2025A calibrated model of debt recycling with interest costs and tax shields: viability under different fiscal regimes and jurisdictions. (2025). von der Osten, Carlo ; Aufiero, Sabrina ; Vivo, Pierpaolo ; Caccioli, Fabio ; Bartolucci, Silvia. In: Papers. RePEc:arx:papers:2511.18614.

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2024Wealth Heterogeneity and the Marginal Propensity to Consume out of Wealth. (2024). Savignac, Frédérique ; Garbinti, Bertrand ; Lamarche, Pierre. In: Working papers. RePEc:bfr:banfra:962.

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2025Banks regulatory risk tolerance. (2025). Juselius, Mikael ; Marques, Aurea Ponte ; Tarashev, Nikola. In: BIS Working Papers. RePEc:bis:biswps:1287.

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2024Growth-at-risk for macroprudential policy stance assessment: a survey. (2024). Škrinjarić, Tihana. In: Bank of England working papers. RePEc:boe:boeewp:1075.

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2024Aim, focus, shoot. The choice of appropriate and effective macroprudential instruments. (2024). Azzone, Michele ; Pirovano, Mara. In: Working Paper Series. RePEc:ecb:ecbwps:20242979.

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2025Banks’ regulatory risk tolerance. (2025). Marques, Aurea ; Tarashev, Nikola ; Juselius, Mikael. In: Working Paper Series. RePEc:ecb:ecbwps:20253161.

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2025Does national culture affect macroprudential policy? An international investigation of regulatory behavior on macroprudential interventions. (2025). Nistor, Simona ; Frca, Ioana Georgiana. In: Journal of Behavioral and Experimental Finance. RePEc:eee:beexfi:v:45:y:2025:i:c:s2214635024001333.

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2025Phase transitions in debt recycling. (2025). Caccioli, Fabio ; Bartolucci, Silvia ; Aufiero, Sabrina ; Forer, Preben ; Vivo, Pierpaolo. In: Journal of Economic Dynamics and Control. RePEc:eee:dyncon:v:171:y:2025:i:c:s0165188925000107.

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2025Exploring the non-linear dynamics between Commercial Real Estate and systemic risk. (2025). Kladakis, George ; Lux, Nicole ; Skouralis, Alexandros. In: Journal of Empirical Finance. RePEc:eee:empfin:v:82:y:2025:i:c:s0927539825000295.

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2025Micro-assessment of macroprudential borrower-based measures. (2025). Karmelaviius, Jaunius ; Dirma, Mantas. In: Journal of Banking & Finance. RePEc:eee:jbfina:v:176:y:2025:i:c:s0378426625000755.

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2025The impact of prudential regulation on the UK housing market and economy: Insights from an agent-based model. (2025). Roventini, Andrea ; Hinterschweiger, Marc ; Bardoscia, Marco ; Uluc, Arzu ; Popoyan, Lilit ; Napoletano, Mauro ; Carro, Adrian. In: Journal of Economic Behavior & Organization. RePEc:eee:jeborg:v:229:y:2025:i:c:s0167268124004530.

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2024Capital flows-at-risk: Push, pull and the role of policy. (2024). Sokol, Andrej ; Eguren Martin, Fernando ; von Dem, Lukas ; Eguren-Martin, Fernando ; O'Neill, Cian. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:147:y:2024:i:c:s0261560624001335.

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2025Natural disasters and financial stress: can macroprudential regulation tame green swans?. (2025). ROMOCEA TURCU, Camelia ; Levieuge, Grgory ; Avril, Pauline. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:154:y:2025:i:c:s0261560625000609.

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2025Monetary policy spillovers and the role of prudential policies in the European Union. (2025). Coman, Andra. In: International Review of Economics & Finance. RePEc:eee:reveco:v:99:y:2025:i:c:s1059056025000826.

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2024Financial stability: A scientometric analysis and research agenda. (2024). Challita, Sandra ; ben Jabeur, Sami ; Ballouk, Hossein ; Chen, Chaomei. In: Research in International Business and Finance. RePEc:eee:riibaf:v:70:y:2024:i:pa:s0275531924000874.

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2025Phase transitions in debt recycling. (2025). Bartolucci, Silvia ; Caccioli, Fabio ; Vivo, Pierpaolo ; Forer, Preben ; Aufiero, Sabrina. In: LSE Research Online Documents on Economics. RePEc:ehl:lserod:127108.

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2024Household debt service ratio in a developing economy: borrower-based analytical tools and macroprudential policy overview in Kazakhstan. (2024). Ybrayev, Zhandos ; Kairullayev, Yerlan ; Zharkynbay, Talgat ; Talakin, Andrey. In: Journal of Banking Regulation. RePEc:pal:jbkreg:v:25:y:2024:i:1:d:10.1057_s41261-023-00218-7.

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2025What motives and conditions drive countries to adopt macroprudential and capital management measures?. (2025). Norring, Anni ; Nieminen, Mika. In: BOFIT Discussion Papers. RePEc:zbw:bofitp:315479.

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2025Effect of the countercyclical capital buffer on firm loans: Evidence from Germany. (2025). Norring, Anni ; Kerola, Eeva. In: Bank of Finland Research Discussion Papers. RePEc:zbw:bofrdp:325482.

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2025Banks regulatory risk tolerance. (2025). Marques, Aurea Ponte ; Tarashev, Nikola A ; Juselius, Mikael. In: Bank of Finland Research Discussion Papers. RePEc:zbw:bofrdp:325490.

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Works by Mara Pirovano:


YearTitleTypeCited
2009Portfolio and short-term capital inflows to the new and potential EU countries: Patterns, determinants and policy responses In: Working Papers.
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paper1
2010Financial integration, monetary policy and stock prices: Empirical evidence for the new EU member states In: Working Papers.
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paper2
2011Eurozone inflation differentials and the ECB In: Working Papers.
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paper4
2013Household and firm leverage, capital flows and monetary policy in a small open economy In: Working Papers.
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paper0
2013Household and firm leverage, capital flows and monetary policy in a small open economy.(2013) In: Working Paper Research.
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This paper has nother version. Agregated cites: 0
paper
2013International financial integration, credit frictions and exchange rate regimes In: Working Papers.
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paper0
2017European Macroprudential Database In: IFC Bulletins chapters.
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chapter6
2019European macroprudential database.(2019) In: Statistics Paper Series.
[Full Text][Citation analysis]
This paper has nother version. Agregated cites: 6
paper
2017Closing real estate data gaps for financial stability monitoring and macroprudential policy in the EU In: IFC Bulletins chapters.
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chapter1
2019Macroprudential analysis of residential real estate markets In: Macroprudential Bulletin.
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article3
2019Understanding the specific features of the CCyB and the SCCyB − evidence from the 3D DSGE model In: Macroprudential Bulletin.
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article3
2021Avoiding a financial epidemic – The role of macroprudential policies In: Research Bulletin.
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article0
2021On the effectiveness of macroprudential policy In: Working Paper Series.
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paper22
2020Trends in residential real estate lending standards and implications for financial stability In: Financial Stability Review.
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article8
2012Monetary policy and stock prices in small open economies: Empirical evidence for the new EU member states In: Economic Systems.
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article16
2011Portfolio and Short-term Capital Inflows to the New and Potential EU Countries: Patterns and Determinants In: Chapters.
[Full Text][Citation analysis]
chapter2
2014Evaluating early warning indicators for real estate related risks In: Financial Stability Review.
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article4
2016Credit gaps in Belgium : identification, characteristics and lessons for macroprudential policy In: Financial Stability Review.
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article8
2016Does one size fit all at all times? The role of country specificities and state dependencies in predicting banking crises In: Working Paper Research.
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paper0
2016The impact of sectoral macroprudential capital requirements on mortgage loan pricing: Evidence from the Belgian risk weight add-on In: Working Paper Research.
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paper2
2015Early warning indicators for banking crises: a conditional moments approach In: MPRA Paper.
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paper11
2017The impact of sectoral macroprudential capital requirements on mortgage lending: evidence from the Belgian risk weight add-on In: MPRA Paper.
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paper12
2015Identifying early warning indicators for real estate-related banking crises In: ESRB Occasional Paper Series.
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paper18

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