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Macro-prudential policy and the conduct of monetary policy.. (2011). Mojon, Benoit ; CLERC, Laurent ; Beau, D..
In: Occasional papers.
RePEc:bfr:opaper:8.

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Cited: 28

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Cites: 59

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  1. Monetary and macroprudential policy coordination with biased preferences. (2022). Jackson, Timothy P ; Agenor, Pierre-Richard.
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:144:y:2022:i:c:s0165188922002238.

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  2. How does the interaction of macroprudential and monetary policies affect cross-border bank lending?. (2021). Temesvary, Judit ; Takats, Elod.
    In: Journal of International Economics.
    RePEc:eee:inecon:v:132:y:2021:i:c:s002219962100101x.

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  3. Macroprudential Policy in a Monetary Union. (2019). Gambacorta, Leonardo ; Dehmej, Salim.
    In: Comparative Economic Studies.
    RePEc:pal:compes:v:61:y:2019:i:2:d:10.1057_s41294-019-00085-0.

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  4. The ECB after the crisis: existing synergies among monetary policy, macroprudential policies and banking supervision. (2019). Mongelli, Francesco Paolo ; Paolomongelli, Francesco ; Kok, Christoffer ; Cassola, Nuno.
    In: Working Papers.
    RePEc:mib:wpaper:424.

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  5. How does the interaction of macroprudential and monetary policies affect cross-border bank lending?. (2019). Temesvary, Judit ; Takats, Elod.
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2019-45.

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  6. The ECB after the crisis: existing synergies among monetary policy, macroprudential policies and banking supervision. (2019). Mongelli, Francesco ; Paolomongelli, Francesco ; Kok, Christoffer ; Cassola, Nuno.
    In: Occasional Paper Series.
    RePEc:ecb:ecbops:2019237.

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  7. How does the interaction of macroprudential and monetary policies affect cross-border bank lending?. (2019). Temesvary, Judit ; Takats, Elod.
    In: BIS Working Papers.
    RePEc:bis:biswps:782.

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  8. Essays in empirical finance and monetary policy. (2017). van Holle, Frederiek.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:30d11a4b-7bc9-4c81-ad24-5ca36f83e31f.

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  9. Macroprudential Policy in a Monetary Union. (2017). Gambacorta, Leonardo ; Dehmej, Salim.
    In: Document de travail.
    RePEc:ris:bkamdt:2017_004.

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  10. Monetary Policy and Financial Stability: A CEMAC Zone Case Study. (2016). Ngakosso, Antoine.
    In: International Journal of Economics and Finance.
    RePEc:ibn:ijefaa:v:8:y:2016:i:7:p:244.

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  11. How does credit supply respond to monetary policy and bank minimum capital requirements?. (2016). Wieladek, Tomasz ; Aiyar, Shekhar ; Calomiris, Charles W.
    In: European Economic Review.
    RePEc:eee:eecrev:v:82:y:2016:i:c:p:142-165.

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  12. Managing monetary and financial stability in a dynamic global environment: Bank Indonesia s policy perspectives. (2016). Agung, Juda ; Juhro, Solikin M.
    In: BIS Papers chapters.
    RePEc:bis:bisbpc:88-10.

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  13. COMBINING MONETARY POLICY AND PRUDENTIAL REGULATION: AN AGENT-BASED MODELING APPROACH. (2016). Lima, Gilberto ; da Silva, Michel Alexandre.
    In: Anais do XLIII Encontro Nacional de Economia [Proceedings of the 43rd Brazilian Economics Meeting].
    RePEc:anp:en2015:039.

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  14. Monetary policy and financial stability: what role for the interest rate?. (2015). Badarau, Cristina ; Popescu, Alexandra.
    In: International Economics and Economic Policy.
    RePEc:kap:iecepo:v:12:y:2015:i:3:p:359-374.

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  15. La coordination entre politique monétaire et politique macroprudentielle. Que disent les modèles dsge ?. (2015). Dehmej, Salim ; Couppey-Soubeyran, Jézabel ; Carré, Emmanuel ; Carre, Emmanuel.
    In: Revue économique.
    RePEc:cai:recosp:reco_663_0541.

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  16. Combining Monetary Policy and Prudential Regulation: an agent-based modeling approach. (2015). Lima, Gilberto ; da Silva, Michel Alexandre.
    In: Working Papers Series.
    RePEc:bcb:wpaper:394.

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  17. A DSGE Model for China’s Monetary and Macroprudential Policies. (2014). Sun, Lixin ; Sinclair, Peter.
    In: MPRA Paper.
    RePEc:pra:mprapa:62580.

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  18. Financial Stability and Monetary Policy: How Closely Interlinked?. (2014). Smets, Frank.
    In: International Journal of Central Banking.
    RePEc:ijc:ijcjou:y:2014:q:2:a:11.

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  19. Wpływ Europejskiej Rady Ryzyka Systemowego na stabilność finansową w UE. (2013). Smaga, Pawe.
    In: Gospodarka Narodowa.
    RePEc:sgh:gosnar:y:2013:i:3:p:5-35.

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  20. Kockázattal kiegészített Taylor-szabályok becslése Magyarországra. (2013). Regős, Gábor ; Regs, Gabor .
    In: Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences).
    RePEc:ksa:szemle:1392.

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  21. Macroprudential, Microprudential and Monetary Policies: Policies, Complementarities and Trade-Offs. (2013). Visco, Ignazio ; Nicoletti-Altimari, Sergio ; Angelini, Paolo .
    In: Chapters.
    RePEc:elg:eechap:15454_22.

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  22. Monetary Policy after the Crisis. (2013). Gerlach, Stefan.
    In: Manchester School.
    RePEc:bla:manchs:v:81:y:2013:i::p:16-34.

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  23. Monetary Policy and Credit Cycles: A DSGE Analysis. (2012). Popescu, Alexandra ; Badarau-Semenescu, Cristina .
    In: LEO Working Papers / DR LEO.
    RePEc:leo:wpaper:1244.

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  24. Monetary Policy and Credit Cycles: A DSGE Analysis. (2012). Badarau, Cristina ; Popescu, Alexandra.
    In: Working Papers.
    RePEc:hal:wpaper:halshs-00828074.

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  25. Financial Systemic Stability: Challenging Aspects of Central Banks. (2012). Sa-nguanpan, Sukrita ; Sabborriboon, Worawut ; Sawangngoenyuang, Wanvimol .
    In: Working Papers.
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  26. Macroprudential, microprudential and monetary policies: conflicts, complementarities and trade-offs. (2012). Angelini, Paolo.
    In: Questioni di Economia e Finanza (Occasional Papers).
    RePEc:bdi:opques:qef_140_12.

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  27. Challenges for monetary policy in the European Monetary Union. (2011). Weber, Axel A..
    In: Review.
    RePEc:fip:fedlrv:y:2011:i:july:p:235-242:n:v.93no.4.

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  28. BASEL III: Long-term impact on economic performance and fluctuations. (2011). Vlcek, Jan ; Van den Heuvel, Skander ; Locarno, Alberto ; Gerali, Andrea ; Gambacorta, Leonardo ; Cúrdia, Vasco ; CLERC, Laurent ; Angelini, Paolo ; Roeger, W. ; Motto, R..
    In: Working papers.
    RePEc:bfr:banfra:323.

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  25. Early Warning Indicators of Crisis Incidence: Evidence from a Panel of 40 Developed Countries. (2011). Vašíček, Bořek ; Smidkova, Katerina ; Rusnák, Marek ; Matějů, Jakub ; Havranek, Tomas ; Babecký, Jan ; Vaieek, Booek ; Rusnak, Marek ; Matiju, Jakub .
    In: Working Papers IES.
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  26. The Classification and Identification of Asset Price Bubbles. (2011). Kubicová, Ivana ; Komarek, Lubos ; Kubicova, Ivana.
    In: Czech Journal of Economics and Finance (Finance a uver).
    RePEc:fau:fauart:v:61:y:2011:i:1:p:34-48.

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  27. Exploring the Steady-State Relationship Between Credit and GDP for a Small Open Economy–The Case Of Ireland. (2011). Stuart, Rebecca ; McQuinn, Kieran ; Kelly, Robert.
    In: The Economic and Social Review.
    RePEc:eso:journl:v:42:y:2011:i:4:p:455-477.

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  28. Housing, consumption and monetary policy: How different are the US and the euro area?. (2011). Stracca, Livio ; Neri, Stefano ; Musso, Alberto.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:35:y:2011:i:11:p:3019-3041.

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  29. Mapping the state of financial stability. (2011). Sarlin, Peter ; Peltonen, Tuomas A..
    In: Working Paper Series.
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  30. In-Sample and Out-of-Sample Prediction of Stock Market Bubbles: Cross-Sectional Evidence. (2011). Kholodilin, Konstantin ; Herwartz, Helmut.
    In: Discussion Papers of DIW Berlin.
    RePEc:diw:diwwpp:dp1173.

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  31. Financial Stability, Systemic Risk and Macroprudential Policy. (2011). Frait, Jan ; Komarkova, Zlatuse.
    In: Occasional Publications - Chapters in Edited Volumes.
    RePEc:cnb:ocpubc:fsr1011/1.

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  32. Anchoring countercyclical capital buffers: the role of credit aggregates. (2011). Tsatsaronis, Kostas ; Drehmann, Mathias ; BORIO, Claudio.
    In: BIS Working Papers.
    RePEc:bis:biswps:355.

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  33. Global credit and domestic credit booms. (2011). McGuire, Patrick ; McCauley, Robert ; BORIO, Claudio.
    In: BIS Quarterly Review.
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  34. Global liquidity - concept, measurement and policy implications. (2011). Bank for International Settlements, .
    In: CGFS Papers.
    RePEc:bis:biscgf:45.

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  35. Macrofinancial vulnerabilities and future financial stress: assessing systemic risks and predicting systemic events. (2011). lo Duca, Marco ; Peltonen, Tuomas.
    In: BIS Papers chapters.
    RePEc:bis:bisbpc:60-11.

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  36. Housing, consumption and monetary policy: how different are the U.S. and the euro area?. (2011). Stracca, Livio ; Neri, Stefano ; Musso, Alberto.
    In: Temi di discussione (Economic working papers).
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  37. Central banks and macroprudential policy. Some reflections from the Spanish experience. (2011). Vega, Juan ; Trucharte, Carlos ; Alberola, Enrique.
    In: Occasional Papers.
    RePEc:bde:opaper:1105.

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  38. Early Warning Indicators for Asset Price Booms. (2011). Reimers, Hans-Eggert ; Roffia, Barbara ; Gerdesmeier, Dieter.
    In: Review of Economics & Finance.
    RePEc:bap:journl:110301.

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  39. Rediscovering the Macroeconomic Roots of Financial Stability Policy: Journey, Challenges, and a Way Forward. (2011). BORIO, Claudio.
    In: Annual Review of Financial Economics.
    RePEc:anr:refeco:v:3:y:2011:p:87-117.

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  40. Heterogeneity in money holdings across euro area countries: The role of housing. (2010). Wolff, Guntram ; Van den Noord, Paul ; Setzer, Ralph.
    In: Discussion Paper Series 1: Economic Studies.
    RePEc:zbw:bubdp1:201004.

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  41. Asset Prices, Inflation and Monetary Control - Re-inventing Money as a Policy Tool. (2010). Spahn, Peter.
    In: Diskussionspapiere aus dem Institut für Volkswirtschaftslehre der Universität Hohenheim.
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  42. Signals from housing and lending booms. (2010). Ca' Zorzi, Michele ; Bunda, Irina ; Ca' Zorzi, Michele, ; Ca'Zorzi, Michele, .
    In: Emerging Markets Review.
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  43. Housing, consumption and monetary policy: how different are the US and the euro area?. (2010). Stracca, Livio ; Neri, Stefano ; Musso, Alberto.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20101161.

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  44. Monetary Policy and Risk Taking. (2010). Angeloni, Ignazio.
    In: Working Papers.
    RePEc:bre:wpaper:380.

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  45. Containing systemic risk. (2009). Whelan, Karl.
    In: Working Papers.
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  46. Financial market failures and public policies. (2009). Gonzalez-Paramo, Jose Manuel.
    In: Hacienda Pública Española.
    RePEc:hpe:journl:y:2009:v:190:i:3:p:127-156.

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  47. Signals from housing and lending booms. (2009). Ca' Zorzi, Michele ; Bunda, Irina.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20091094.

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  48. Asset price misalignments and the role of money and credit. (2009). Roffia, Barbara ; Reimers, Hans-Eggert ; Gerdesmeier, Dieter.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20091068.

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  49. A New Two-Pillar Strategy for the ECB. (2009). Gros, Daniel ; De Grauwe, Paul ; DeGrauwe, Paul.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_2818.

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  50. Assessing the risk of banking crises - revisited. (2009). Drehmann, Mathias ; BORIO, Claudio.
    In: BIS Quarterly Review.
    RePEc:bis:bisqtr:0903e.

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