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2002 | Asset prices, financial and monetary stability: exploring the nexus RePEc:bis:biswps:114 [Citation Analysis] | 93 |
2000 | Bank capital regulation in contemporary banking theory: a review of the literature RePEc:bis:biswps:90 [Citation Analysis] | 65 |
2001 | The impact of the euro on Europes financial markets RePEc:bis:biswps:100 [Citation Analysis] | 62 |
2003 | External constraints on monetary policy and the financial accelerator RePEc:bis:biswps:139 [Citation Analysis] | 54 |
2006 | Phoenix miracles in emerging markets: recovering without credit from systemic financial crises RePEc:bis:biswps:221 [Citation Analysis] | 54 |
2006 | Interpreting Euro area inflation at high and low frequencies RePEc:bis:biswps:195 [Citation Analysis] | 52 |
2004 | Monetary policy rules in emerging market economies: issues and evidence RePEc:bis:biswps:149 [Citation Analysis] | 52 |
1998 | Output gap uncertainty: does it matter for the Taylor rule? RePEc:bis:biswps:60 [Citation Analysis] | 51 |
1997 | Banking system failures in developing and transition countries: Diagnosis and predictions RePEc:bis:biswps:39 [Citation Analysis] | 50 |
1995 | The response of short-term bank lending rates to policy rates: a cross-country perspective RePEc:bis:biswps:27 [Citation Analysis] | 45 |
1995 | The monetary transmission mechanism: Evidence from the G-7 countries RePEc:bis:biswps:26 [Citation Analysis] | 44 |
2006 | Time-varying exchange rate pass-through: experiences of some industrial countries RePEc:bis:biswps:202 [Citation Analysis] | 42 |
2010 | Does monetary policy affect bank risk-taking? RePEc:bis:biswps:298 [Citation Analysis] | 37 |
2007 | Globalisation and inflation: New cross-country evidence on the global determinants of domestic inflation RePEc:bis:biswps:227 [Citation Analysis] | 36 |
1997 | The Euro and European financial markets RePEc:bis:biswps:41 [Citation Analysis] | 36 |
2003 | Public and private information in monetary policy models RePEc:bis:biswps:138 [Citation Analysis] | 35 |
2003 | Transparency versus constructive ambiguity in foreign exchange intervention RePEc:bis:biswps:144 [Citation Analysis] | 35 |
2003 | Living with flexible exchange rates: issues and recent experience in inflation targeting emerging market economies RePEc:bis:biswps:130 [Citation Analysis] | 34 |
2004 | Securing sustainable price stability: should credit come back from the wilderness? RePEc:bis:biswps:157 [Citation Analysis] | 32 |
1999 | Pass-through of exchange rates and import prices to domestic inflation in some industrialised economies RePEc:bis:biswps:79 [Citation Analysis] | 32 |
1997 | Financial asset prices and monetary policy: theory and evidence RePEc:bis:biswps:47 [Citation Analysis] | 32 |
2000 | The real-time predictive content of money for output RePEc:bis:biswps:96 [Citation Analysis] | 30 |
1996 | Does the term structure predict recessions? The international evidence RePEc:bis:biswps:37 [Citation Analysis] | 27 |
1999 | Interbank exposures: quantifying the risk of contagion RePEc:bis:biswps:70 [Citation Analysis] | 27 |
2004 | Stress-testing financial systems: an overview of current methodologies RePEc:bis:biswps:165 [Citation Analysis] | 27 |
2001 | The determinants of private sector credit in industrialised countries: do property prices matter? RePEc:bis:biswps:108 [Citation Analysis] | 26 |
1999 | The term structure of announcement effects RePEc:bis:biswps:71 [Citation Analysis] | 26 |
2002 | Determinants of international bank lending to emerging market countries RePEc:bis:biswps:112 [Citation Analysis] | 26 |
2003 | A survey of cyclical effects in credit risk measurement model RePEc:bis:biswps:126 [Citation Analysis] | 25 |
2003 | The cost of barriers to entry: evidence from the market for corporate euro bond underwriting RePEc:bis:biswps:134 [Citation Analysis] | 24 |
2005 | Japans deflation, problems in the financial system and monetary policy RePEc:bis:biswps:188 [Citation Analysis] | 24 |
2005 | Measuring default risk premia from default swap rates and EDFs RePEc:bis:biswps:173 [Citation Analysis] | 24 |
2003 | A tale of two perspectives: old or new challenges for monetary policy? RePEc:bis:biswps:127 [Citation Analysis] | 24 |
1998 | The coming transformation of continental european banking? RePEc:bis:biswps:54 [Citation Analysis] | 23 |
2002 | The link between default and recovery rates: effects on the procyclicality of regulatory capital ratios RePEc:bis:biswps:113 [Citation Analysis] | 23 |
2003 | Asset prices, financial imbalances and monetary policy: are inflation targets enough? RePEc:bis:biswps:140 [Citation Analysis] | 23 |
2008 | Liquidity and financial cycles RePEc:bis:biswps:256 [Citation Analysis] | 23 |
1997 | Monetary policy operating procedures in industrial countries RePEc:bis:biswps:40 [Citation Analysis] | 22 |
1999 | The Taylor rule and interest rates in the EMU area: a note RePEc:bis:biswps:73 [Citation Analysis] | 21 |
2000 | Evidence on the response of US banks to changes in capital requirements RePEc:bis:biswps:88 [Citation Analysis] | 20 |
2009 | Credit frictions and optimal monetary policy RePEc:bis:biswps:278 [Citation Analysis] | 20 |
2005 | The effectiveness of foreign exchange intervention in emerging market countries: evidence from the Czech koruna RePEc:bis:biswps:172 [Citation Analysis] | 20 |
2000 | Measuring potential vulnerabilities in emerging market economies RePEc:bis:biswps:91 [Citation Analysis] | 20 |
2004 | Macroeconomic implications of rising household debt RePEc:bis:biswps:153 [Citation Analysis] | 19 |
2007 | Determinants of house prices in central and eastern Europe RePEc:bis:biswps:236 [Citation Analysis] | 19 |
1994 | Contagious speculative attacks RePEc:bis:biswps:22 [Citation Analysis] | 18 |
2008 | The housing meltdown: Why did it happen in the United States? RePEc:bis:biswps:259 [Citation Analysis] | 18 |
2011 | Macroprudential policy - a literature review RePEc:bis:biswps:337 [Citation Analysis] | 18 |
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2008 | Capital regulation, risk-taking and monetary policy: a missing link in the transmission mechanism? RePEc:bis:biswps:268 [Citation Analysis] | 17 |
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2011 | Global financial crisis as a phenomenon of stock market overshooting RePEc:kap:empiri:v:38:y:2011:i:1:p:131-152 | [Citation Analysis] |
2011 | The effect of monetary policy on investorsâ risk perception: Evidence from the UK and Germany RePEc:uwe:wpaper:1107 | [Citation Analysis] |
2011 | Capital Flows and Financial Stability: Monetary Policy and Macroprudential Responses RePEc:imf:imfwpa:11/189 | [Citation Analysis] |
2011 | Rediscovering the macroeconomic roots of financial stability policy: journey, challenges and a way forward RePEc:bis:biswps:354 | [Citation Analysis] |
2011 | The risk-taking channel of monetary policy in the USA: Evidence from micro-level data RePEc:pra:mprapa:34084 | [Citation Analysis] |
2011 | Global liquidity - concept, measurement and policy implications RePEc:bis:biscgf:45 | [Citation Analysis] |
2011 | The 2007-2008 financial crisis : Is there evidence of disaster myopia ? RePEc:gat:wpaper:1125 | [Citation Analysis] |
2011 | Securitization and Bank Intermediation Function RePEc:nos:wuwpfi:zagonov-wpsz2011 | [Citation Analysis] |
2011 | Securitization and bank intermediation function RePEc:pra:mprapa:34961 | [Citation Analysis] |
2011 | Macroprudential regulation and policy RePEc:bis:bisbps:60 | [Citation Analysis] |
2011 | Key issues for the success of macroprudential policies RePEc:bis:bisbpc:60-18 | [Citation Analysis] |
2011 | Price stability and financial imbalances: rethinking the
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2011 | Monetary Policy, Leverage, and Bank Risk-taking RePEc:cpr:ceprdp:8199 | [Citation Analysis] |
2011 | The Risk-Taking ChHannel and Monetary Transmission Mechanism in Colombia RePEc:col:000107:009446 | [Citation Analysis] |
2011 | Identifying Systemically Important Financial Institutions (SIFIs) RePEc:ess:wpaper:id:4383 | [Citation Analysis] |
2011 | What International Monetary System for a Fast-Changing World Economy? RePEc:cii:cepidt:2011-04 | [Citation Analysis] |
2011 | Global currencies for tomorrow: a European perspective RePEc:bre:bluprt:592 | [Citation Analysis] |
2011 | The international monetary system is changing: what opportunities and risks for the euro? RePEc:bre:wpaper:632 | [Citation Analysis] |
2011 | Japanâs Economic Recovery: Insights from Multi-Region Dynamics RePEc:acb:camaaa:2011-18 | [Citation Analysis] |
2011 | JAPANESE ECONOMIC STAGNATION: CAUSES AND GLOBAL IMPLICATIONS RePEc:acb:camaaa:2011-20 | [Citation Analysis] |
2011 | Bank Relationships, Business Cycles, and Financial Crises RePEc:nbr:nberwo:17356 | [Citation Analysis] |
2011 | Complexity, concentration and contagion RePEc:eee:moneco:v:58:y:2011:i:5:p:453-470 | [Citation Analysis] |
2011 | News driven business cycles and data on asset prices in estimated DSGE models RePEc:bis:biswps:358 | [Citation Analysis] |
2011 | BASEL III: Long-term impact on economic performance and fluctuations RePEc:bfr:banfra:323 | [Citation Analysis] |
2011 | Inflation expectations and the great recession RePEc:bis:bisqtr:1103f | [Citation Analysis] |
2011 | Inflation expectations from index-linked bonds: Correcting for liquidity and inflation risk premia RePEc:eee:quaeco:v:51:y:2011:i:3:p:225-235 | [Citation Analysis] |
2011 | Lessons for monetary policy: what should the consensus be? RePEc:fip:feddgw:81 | [Citation Analysis] |
2011 | Should Unconventional Balance Sheet Policies be Added to the Central Bank Toolkit? A Review of the Experience So Far RePEc:imf:imfwpa:11/145 | [Citation Analysis] |
2011 | In the Quest of Macroprudential Policy Tools RePEc:bdm:wpaper:2011-17 | [Citation Analysis] |
2011 | The Changing Role of Global Financial Brands in the Underwriting of Foreign Government Debt (1815-2010) RePEc:gii:giihei:heidwp15-2011 | [Citation Analysis] |
2011 | Early Warning Indicators of Crisis Incidence: Evidence from a Panel of 40 Developed Countries RePEc:fau:wpaper:wp2011_36 | [Citation Analysis] |
2011 | Asset Returns Under Model Uncertainty: Evidence from the euro area, the U.K. and the U.S. RePEc:ptu:wpaper:w201119 | [Citation Analysis] |
2011 | What Governments Should Do in Mortgage Markets RePEc:cdh:commen:318 | [Citation Analysis] |
2011 | Identifying the global transmission of the 2007-2009 financial crisis in a GVAR model RePEc:eee:eecrev:v:55:y:2011:i:3:p:325-339 | [Citation Analysis] |
2011 | Chapter 3: Greece RePEc:ces:eeagre:v::y:2011:i::p:97-125 | [Citation Analysis] |
2011 | The impact of sovereign credit risk on bank funding conditions RePEc:pra:mprapa:32581 | [Citation Analysis] |
2011 | What is the Risk of European Sovereign Debt Defaults? Fiscal Space, CDS Spreads and Market Pricing of Risk RePEc:nbr:nberwo:17407 | [Citation Analysis] |
2011 | Fiscal Policy: Lessons from the Global Crisis RePEc:iez:survey:ces-v13_04-2011_mates | [Citation Analysis] |
2011 | CDS: relación con Ãndices accionarios y medida de riesgo RePEc:col:000107:009445 | [Citation Analysis] |
2011 | What is the Risk of European Sovereign Debt Defaults? Fiscal Space, CDS Spreads and Market Pricing of Risk RePEc:cdl:ucscec:qt2914v9fh | [Citation Analysis] |
2011 | On the long-term trends of public debt. Implications of the governmentâs Ponzi game and ageing RePEc:pfq:journl:v:56:y:2011:i:4:p:446-473 | [Citation Analysis] |
2011 | Liquidity crises RePEc:fip:fedmep:11-3 | [Citation Analysis] |
2011 | Understanding policy in the great recession: Some unpleasant fiscal arithmetic RePEc:eee:eecrev:v:55:y:2011:i:1:p:2-30 | [Citation Analysis] |
2011 | Simulation methods to assess the danger of contagion in interbank markets RePEc:eee:finsta:v:7:y:2011:i:3:p:111-125 | [Citation Analysis] |
2011 | Debt overhang in emerging Europe ? RePEc:wbk:wbrwps:5784 | [Citation Analysis] |
2011 | Identifying structural shocks behind loan supply fluctuations in
Russia RePEc:hhs:bofitp:2011_020 | [Citation Analysis] |
2011 | Cross-border bank lending to selected SEACEN economies: an integrative report RePEc:pra:mprapa:31455 | [Citation Analysis] |
2011 | The determinants of cross-border bank flows to emerging markets: New
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2011 | Central banking in Africa: prospects in a changing world RePEc:bis:bisbps:56 | [Citation Analysis] |
2011 | Capital flows, commodity price movements and foreign exchange intervention RePEc:bis:bisbpc:56-06 | [Citation Analysis] |
2011 | International banks, new liquidity rules and monetary policy in EMEs RePEc:bis:bisbpc:57-02 | [Citation Analysis] |
2011 | Characteristics of international banks claims on Korea and their implications for monetary policy RePEc:bis:bisbpc:57-15 | [Citation Analysis] |
2011 | The Bright and the Dark Side of Cross-Border Banking Linkages RePEc:imf:imfwpa:11/186 | [Citation Analysis] |
2011 | Banking flows and financial crisis -- financial interconnectedness and basel III effects RePEc:wbk:wbrwps:5769 | [Citation Analysis] |
2011 | Financial Integration and Macroeconomic Stability: What Role for Large Banks? RePEc:diw:diwwpp:dp1178 | [Citation Analysis] |
2011 | Empirics of Currency Crises: A Duration Analysis Approach RePEc:car:carecp:11-11 | [Citation Analysis] |
2011 | The macroeconomic effects of large exchange rate appreciations RePEc:zbw:zewdip:11016 | [Citation Analysis] |
2011 | Policy Instruments To Lean Against The Wind In Latin America RePEc:imf:imfwpa:11/159 | [Citation Analysis] |
2011 | The future of financial markets: financial crisis avoidance RePEc:kap:empiri:v:38:y:2011:i:1:p:77-101 | [Citation Analysis] |
2011 | Warum der Baseler Ausschluss für Bankenaufsicht mit seinem antizyklischen Kapitalpuffer falsch liegt RePEc:zbw:ciwdps:72011 | [Citation Analysis] |
2011 | A Macroprudential Perspective in Central Banking RePEc:ime:imedps:11-e-03 | [Citation Analysis] |
2011 | The predictive content of financial cycle measures for output fluctuations RePEc:bis:bisqtr:1106g | [Citation Analysis] |
2011 | How Complementary Are Prudential Regulation and Monetary Policy? RePEc:wbk:prmecp:ep60 | [Citation Analysis] |
2011 | Countercyclical financial regulation RePEc:wbk:wbrwps:5823 | [Citation Analysis] |
2011 | Anchoring countercyclical capital buffers: the role of credit aggregates RePEc:bis:biswps:355 | [Citation Analysis] |
2011 | How do credit supply shocks propagate internationally? A GVAR approach RePEc:zbw:bubdp1:201127 | [Citation Analysis] |
2011 | How Do Credit Supply Shocks Propagate Internationally? A GVAR approach RePEc:cpr:ceprdp:8720 | [Citation Analysis] |
2011 | Exploring the Steady-State Relationship Between Credit and GDP for a Small Open EconomyâThe Case Of Ireland RePEc:eso:journl:v:42:y:2011:i:4:p:455-477 | [Citation Analysis] |
2011 | Chronic Healthcare Spending Disease: A Macro Diagnosis and Prognosis RePEc:cdh:commen:327 | [Citation Analysis] |
2011 | Consumption Risk-Sharing and the Real Exchange Rate: Why does the Nominal Exchange Rate Make Such a Difference? RePEc:nbr:nberwo:17288 | [Citation Analysis] |
2011 | Credit Rationing and Public Support of Commercial Credit RePEc:cer:papers:wp436 | [Citation Analysis] |
2011 | Quel systeme monetaire international pour une economie mondiale en mutation rapide ? RePEc:cii:cepidt:2011-04a | [Citation Analysis] |
2011 | Liquidity management of U.S. global banks: internal capital markets in the Great Recession RePEc:fip:fednsr:511 | [Citation Analysis] |
2011 | Liquidity management of U.S. global banks: Internal capital markets in the great recession RePEc:nbr:nberwo:17355 | [Citation Analysis] |
2011 | International capital flows and the returns to safe assets in the United States 2003-2007. RePEc:bfr:fisrev:2011:15:02 | [Citation Analysis] |
2011 | Dollar illiquidity and central bank swap arrangements during the global financial crisis RePEc:fip:fedfwp:2011-18 | [Citation Analysis] |
2011 | The Great Liquidity Freeze: What Does It Mean for International Banking? RePEc:ris:adbiwp:0291 | [Citation Analysis] |
2011 | Trade in secured debt, adjustment in haircuts and international portfolios RePEc:gii:giihei:heidwp13-2011 | [Citation Analysis] |
2011 | Banking across Borders RePEc:dnb:dnbwpp:325 | [Citation Analysis] |
2011 | Cross-border financial surveillance: a network perspective RePEc:eme:jfeppp:v:3:y:2011:i:3:p:182-205 | [Citation Analysis] |
2011 | Global imbalances and the financial crisis: Link or no link? RePEc:bis:biswps:346 | [Citation Analysis] |
2011 | Should Unconventional Balance Sheet Policies be Added to the Central Bank Toolkit? A Review of the Experience So Far RePEc:imf:imfwpa:11/145 | [Citation Analysis] |
2011 | Macroeconomic Effects of Unconventional Monetary Policy in the Euro Area RePEc:cpr:ceprdp:8348 | [Citation Analysis] |
2011 | The Effectiveness of Unconventional Monetary Policy at the Zero Lower Bound: A Cross-Country Analysis RePEc:rug:rugwps:11/765 | [Citation Analysis] |
2011 | Macroeconomic consequences of different types of credit market disturbances and non-conventional monetary policy in the euro area RePEc:red:sed011:333 | [Citation Analysis] |
2011 | Identifying the global transmission of the 2007-2009 financial crisis in a GVAR model RePEc:eee:eecrev:v:55:y:2011:i:3:p:325-339 | [Citation Analysis] |
2011 | Manager- und transaktionsspezifische Determinanten der Performance von Arbitrage CLOs RePEc:lmu:msmdpa:12144 | [Citation Analysis] |
2011 | Have market views on the sustainability of fiscal burdens influenced monetary authorities credibility? RePEc:dnb:dnbwpp:304 | [Citation Analysis] |
2011 | A Pyrrhic Victory? - Bank Bailouts and Sovereign Credit Risk RePEc:nbr:nberwo:17136 | [Citation Analysis] |
2011 | Global crisis and equity market contagion RePEc:ecb:ecbwps:20111381 | [Citation Analysis] |
2011 | Large capital infusions, investor reactions, and the return and risk performance of financial institutions over the business cycle and recent finanical crisis RePEc:fip:fedpwp:11-46 | [Citation Analysis] |
2011 | Does the European Financial Stability Facility bail out Sovereigns or Banks? An Event Study. RePEc:dgr:kubcen:2011118 | [Citation Analysis] |
2011 | Does the European Financial Stability Facility bail out sovereigns or banks? An event study RePEc:cpr:ceprdp:8661 | [Citation Analysis] |
2011 | Central bank dollar swap lines and overseas dollar funding costs RePEc:fip:fednep:y:2011:i:may:p:3-20:n:v.17no.1 | [Citation Analysis] |
2011 | Monetary Policy of Main Central Banks During the 2007-2011 Crisis RePEc:bcr:ensayo:v:1:y:2011:i:61-62:p:189-249 | [Citation Analysis] |
2011 | When and how US dollar shortages evolved into the full crisis? Evidence from the cross-currency swap market RePEc:eee:jbfina:v:35:y:2011:i:6:p:1450-1463 | [Citation Analysis] |
2011 | Federal policy responses to the 2007-2009 credit crunch in the US RePEc:cpn:umkequ:2011:v3:2 | [Citation Analysis] |
2011 | Systemic Risks in Global Banking: What Available Data can tell us and What More Data are Needed? RePEc:imf:imfwpa:11/222 | [Citation Analysis] |
2011 | Identifying Vulnerabilities in Systemically-Important Financial Institutions in a Macro-financial Linkages Framework RePEc:imf:imfwpa:11/111 | [Citation Analysis] |
2011 | Comment on Systemic Risks and the Macroeconomy RePEc:nbr:nberch:12052 | [Citation Analysis] |
2011 | Identifying Systemically Important Financial Institutions (SIFIs) RePEc:ess:wpaper:id:4383 | [Citation Analysis] |
2011 | The Importance of Estimation Uncertainty in a Multi-Rating Class Loan Portfolio RePEc:iwh:dispap:11-11 | [Citation Analysis] |
2011 | Optimal monetary policy under financial sector risk RePEc:fip:feddgw:85 | [Citation Analysis] |
2011 | BASEL III: Long-term impact on economic performance and fluctuations RePEc:bfr:banfra:323 | [Citation Analysis] |
2011 | How applicable are the new keynesian DSGE models to a typical low-income economy? RePEc:pra:mprapa:30931 | [Citation Analysis] |
2011 | Business Cycle and Bank Capital Regulation: Basel II Procyclicality RePEc:rza:wpaper:221 | [Citation Analysis] |
2011 | How applicable are the New Keynesian DSGE models to a typical Low-Income Economy? RePEc:ant:wpaper:2011016 | [Citation Analysis] |
2011 | Rethinking equilibrium conditions in macromonetary theory: A conceptually rigorous approach RePEc:rza:wpaper:255 | [Citation Analysis] |
2011 | Global banking and international business cycles RePEc:eee:eecrev:v:55:y:2011:i:3:p:407-426 | [Citation Analysis] |
2011 | The central-bank balance sheet as an instrument of monetarypolicy RePEc:eee:moneco:v:58:y:2011:i:1:p:54-79 | [Citation Analysis] |
2011 | The Instability of the Banking Sector and Macrodynamics: Theory and Empirics RePEc:deg:conpap:c016_080 | [Citation Analysis] |
2011 | Banks Net Interest Margin in the 2000s: A Macro-Accounting international perspective RePEc:eee:jimfin:v:30:y:2011:i:6:p:1214-1233 | [Citation Analysis] |
2011 | Systematic and Liquidity Risk in Subprime-Mortgage
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2011 | Systematic and liquidity risk in subprime-mortgage backed securities RePEc:fip:fedawp:2011-15 | [Citation Analysis] |
2011 | Systematic and Liquidity Risk in Subprime-Mortgage Backed SecuritiesM RePEc:may:mayecw:n219-11 | [Citation Analysis] |
2011 | Can the Fed Talk the Hind Legs off the Stock Market? (replaced by CentER DP 2012-012) RePEc:dgr:kubcen:2011072 | [Citation Analysis] |
2011 | Clarity of Central Bank Communication About Inflation RePEc:dnb:dnbwpp:333 | [Citation Analysis] |
2011 | A macro-prudential perspective of financial regulation RePEc:eme:jfrcpp:v:19:y:2011:i:3:p:289-297 | [Citation Analysis] |