Sovereign portfolio composition and bank risk : the case of European banks
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2023 |
Baziki, Selva Bahar |
The impact of Bank of Japan's exchange-traded fund purchases
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2023 |
Hattori, Takahiro |
Portfolio diversification during the COVID-19 pandemic : do vaccinations matter?
|
2023 |
Pham, Son Duy |
Bank safety-oriented culture and lending decisions
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2023 |
Tang, Ning |
Climate change and financial systemic risk : evidence from US banks and insurers
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2023 |
Curcio, Domenico |
Optimal capital ratios for banks in the euro area
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2023 |
Soederhuizen, Beau |
Central bank digital currencies and financial stability in a modern monetary system
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2023 |
Tercero-Lucas, David |
Global lending conditions and international coordination of financial regulation policies
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2023 |
Kharroubi, Enisse |
Financial stability and public confidence in banks
|
2023 |
Chernykh, Lucy |
Fiscal support and banks' loan loss provisions during the COVID-19 crisis
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2023 |
Degryse, Hans |
Poverty and seeking bank advice : evidence from a survey experiment
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2023 |
Delēs, Manthos D. |
Why are BHCs organized as parent-subsidiaries? : how do they grow in value?
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2023 |
Luciano, Elisa |
Hastily announced : mergers and acquisitions with pledging shareholders
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2023 |
Hou, Xipei |
Optimal monetary policy under bounded rationality
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2023 |
Benchimol, Jonathan |
Networks, interconnectedness, and interbank information asymmetry
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2023 |
Brunetti, Celso |
Reinforcement learning policy recommendation for interbank network stability
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2023 |
Brini, Alessio |
Does macroprudential policy affect wealth inequality? : evidence from synthetic controls
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2023 |
Teixeira, André |
The role of credit lines and multiple lending in financial contagion and systemic events
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2023 |
Cappelletti, Giuseppe |
Do sovereign-bond issuers learn from peers?
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2023 |
Chahine, Salim |
Bank credit, inflation, and default risks over an infinite horizon
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2023 |
Goodhart, Charles A. E. |