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Capital flows and the current account: Taking financing (more) seriously. (2015). Disyatat, Piti ; BORIO, Claudio.
In: BIS Working Papers.
RePEc:bis:biswps:525.

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  1. Impacts of US interest rates on growth, income distribution, and macroeconomic policy space in developing countries: A SFC supermultiplier model. (2024). Vaz, Joo Emboava.
    In: IPE Working Papers.
    RePEc:zbw:ipewps:287743.

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  2. Estimating financial integration in Europe: How to separate structural trends from cyclical fluctuations. (2024). Lake, Alfred ; Minnella, Enrico ; Maurin, Laurent.
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:95:y:2024:i:c:p:85-97.

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  3. Green Macro-Financial Governance in the European Monetary Architecture: Assessing the Capacity to Finance the Net-Zero Transition. (2023). Guter-Sandu, Andrei ; Murau, Steffen ; Haas, Armin.
    In: SocArXiv.
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  4. Emerging Market Economies’ Challenge: Managing the Yield Curve in a Financially Globalized World. (2023). Ito, Hiro ; Tran, Phuong.
    In: Open Economies Review.
    RePEc:kap:openec:v:34:y:2023:i:1:d:10.1007_s11079-021-09661-3.

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  5. A macro-financial perspective to analyse maturity mismatch and default. (2023). Wang, Xuan.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:151:y:2023:i:c:s0378426622000681.

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  6. The case of financial and banking integration of Central, Eastern and South Eastern European countries: A gravity model approach. (2023). Raguideau-Hannotin, Leonore.
    In: International Economics.
    RePEc:eee:inteco:v:174:y:2023:i:c:p:91-111.

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  7. .

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  8. Taming the Capital Flows-Credit Nexus: A Sectoral Approach. (2022). Rogelio, JR ; Lepers, Etienne ; Carvalho, Daniel.
    In: Working Papers.
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  9. Le frontiere della politica monetaria: aspetti didattici, teorici, di politica economica. Un review article (The frontiers of monetary policy: didactic, theoretical, economic policy aspects. A review . (2022). Cesaratto, Sergio.
    In: Moneta e Credito.
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  10. Capital Flows and the Eurozones North-South Divide. (2022). Kohler, Karsten.
    In: Working Papers.
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  11. The Effects of Capital Controls on Housing Prices. (2022). Zhou, Yang.
    In: Discussion Paper Series.
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  12. The role of fractional-reserve banking in amplifying credit booms: Evidence from panel data. (2022). Albinowski, Maciej.
    In: The Review of Austrian Economics.
    RePEc:kap:revaec:v:35:y:2022:i:1:d:10.1007_s11138-019-00492-7.

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  13. The case of financial and banking integration of Central, Eastern and South Eastern European countries: a gravity model approach. (2022). Raguideau-Hannotin, Lonore.
    In: Working Papers.
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  14. Financial adjustment as a driver of growth model change: a balance-sheet approach to comparative political economy. (2022). Voss, Dustin ; Spielberger, Lukas.
    In: LSE Research Online Documents on Economics.
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  15. Target 2 determinants: The role of Balance of Payments imbalances in the long run. (2022). Minenna, Marcello.
    In: Journal of Banking & Finance.
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  16. The case of financial and banking integration of Central, Eastern and South Eastern European countries: A gravity model approach. (2022). Raguideau-Hannotin, Leonore.
    In: EconomiX Working Papers.
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  17. How Credit Improves the Exchange Rate Forecast. (2022). Casta, Martin.
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  18. Hero or villain? The financial system in the 21st century. (2022). Libich, Jan ; Lenten, Liam.
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  19. Cross-border financial centres. (2022). Wooldridge, Philip ; Pogliani, Pamela.
    In: BIS Working Papers.
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  20. .

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  21. Taming the Capital Flows-Credit Nexus: A Sectoral Approach. (2021). Mercado, Rogelio ; Lepers, Etienne ; Carvalho, Daniel.
    In: Trinity Economics Papers.
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  22. Current account imbalances and the Euro Area. Controversies and policy lessons. (2021). Tamborini, Roberto ; Mazzocchi, Ronny.
    In: Economia Politica: Journal of Analytical and Institutional Economics.
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  23. Trade imbalances within the Euro Area: two regions, two demand regimes. (2021). Covi, Giovanni.
    In: Empirica.
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  24. Banks, money, and the zero lower bound on deposit rates. (2021). Kumhof, Michael ; Wang, Xuan.
    In: Journal of Economic Dynamics and Control.
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  25. Measuring Market Liquidity and Liquidity Mismatches across Sectors. (2021). Ponomarenko, Alexey ; Burova, Anna ; Makhankova, Natalia ; Akhmetov, Arthur.
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  26. Financial Liberalization and Current Account Developments in New EU Member States. (2020). Zorii, Zdenka Obuljen.
    In: Zagreb International Review of Economics and Business.
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  27. New synchronicity indices between real and financial cycles: Is there any link to structural characteristics and recessions in European Union countries?. (2020). Comunale, Mariarosaria.
    In: International Journal of Finance & Economics.
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  28. Current account deficits and implications on Romanian economy. (2020). Mihai, Dorneanu ; Ionica, Radulic Marilena ; Cristian, Ni Sorin.
    In: Proceedings of the International Conference on Business Excellence.
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  29. A Macro-Financial Perspective to Analyse Maturity Mismatch and Default. (2020). Wang, Xuan.
    In: Tinbergen Institute Discussion Papers.
    RePEc:tin:wpaper:20200064.

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  30. Banks, Money, and the Zero Lower Bound on Deposit Rates. (2020). Wang, Xuan ; Kumhof, Michael.
    In: Tinbergen Institute Discussion Papers.
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  31. Verification of Feldstein-Horioka Puzzle (Example of European Union Countries). (2020). Imova, Kateina.
    In: ?eský finan?ní a ú?etní ?asopis.
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  32. Verification of Feldstein-Horioka Puzzle (Example of European Union Countries). (2020). Imova, Kateina.
    In: ?eský finan?ní a ú?etní ?asopis.
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  33. Gross capital flows and the balance-of-payments: a balance sheet perspective. (2020). Kohler, Karsten.
    In: Working Papers.
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  34. A Very Political Macro-financial Interpretation of the Crash of Neoliberalism: Review of Adam Tooze, On Crashed. How a Decade of Financial Crises Changed the World. (2020). Garibaldo, Francesco ; Bellofiore, Riccardo.
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  35. An exorbitant privilege in the first age of international financial integration?. (2020). van Hombeeck, Carlos Eduardo.
    In: Journal of International Money and Finance.
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  36. Why the money multiplier has remained persistently so low in the post-crisis United States?. (2020). Morelli, Pierluigi ; Seghezza, Elena.
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  37. Modelling Small Open Developing Economies in a Financialized World: A Stock-Flow Consistent Prototype Growth Model. (2020). Yilmaz, Sakir ; Godin, Antoine.
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  38. Current account imbalances and the Euro Area. Alternative views. (2019). Tamborini, Roberto ; Mazzocchi, Ronny.
    In: DEM Working Papers.
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  39. 20 Years of the German Euro Are More than Enough. (2019). Bibow, Joerg.
    In: Revista de Economía Crítica.
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  40. Global Dimensions of U.S. Monetary Policy. (2019). Obstfeld, Maurice.
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  41. Managing the Yield Curve in a Financially Globalized World. (2019). Tran, Phuong ; Hiroyuki, Ito .
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  42. Competitive or recession gains? On the recent macroeconomic rebalances in the EMU. (2019). esposito, piero ; Messori, Marcello.
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  43. Global Dimensions of U.S. Monetary Policy. (2019). Obstfeld, Maurice.
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  44. Current Account Imbalances and the Euro Area: Alternative Views. (2019). Tamborini, Roberto ; Mazzocchi, Ronny.
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  45. Growth of international finance and emerging economies: Elements for alternative approach. (2019). Alves, Carolina ; Toporowski, J.
    In: Cambridge Working Papers in Economics.
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  46. Towards a new monetary theory of exchange rate determination. (2019). Sokol, Andrej ; Kumhof, Michael ; Thwaites, Gregory ; Cesa-Bianchi, Ambrogio.
    In: Bank of England working papers.
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  47. Do sterilized foreign exchange interventions create money?. (2019). Ponomarenko, Alexey.
    In: Bank of Russia Working Paper Series.
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  48. Monetary policy hysteresis and the financial cycle. (2019). Rungcharoenkitkul, Phurichai ; Disyatat, Piti ; Author, Piti Disyatat ; Borio, Claudio.
    In: BIS Working Papers.
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  49. What do aggregate saving rates (not) show?. (2018). Ponomarenko, Alexey.
    In: Economics - The Open-Access, Open-Assessment E-Journal.
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  50. When is a Current Account Deficit Bad?. (2018). Loayza, Norman ; Devadas, Sharmila.
    In: World Bank Other Operational Studies.
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  51. Varieties of Capitalism and post-Keynesian economics on Eurocrisis. (2018). Stockhammer, Engelbert ; Ali, Syed Mohib.
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  52. The External Wealth of Nations Revisited: International Financial Integration in the Aftermath of the Global Financial Crisis. (2018). Milesi-Ferretti, Gian Maria ; Lane, Philip R.
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  53. Varieties of Capitalism and post-Keynesian economics on Euro crisis. (2018). Stockhammer, Engelbert ; Ali, Syed Mohib.
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  54. La política monetaria cercada por un movimiento de pinzas Abstract: Monetary policy has been in the grip of a pincer movement, caught between growing financial cycles, on the one hand, and an inflati. (2018). Rungcharoenkitkul, Phurichai ; BORIO, Claudio ; Juselius, Mikael ; Disyatat, Piti.
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  55. Macroeconomic Imbalances and the Euro Zone. Alternative Views. (2018). Tamborini, Roberto.
    In: EconPol Working Paper.
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  56. Banks are not intermediaries of loanable funds — facts, theory and evidence. (2018). Kumhof, Michael ; Jakab, Zoltán.
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  57. Can swap line arrangements help solve the Triffin dilemma? How?. (2018). Seghezza, Elena.
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  58. Credit, Capital Flows and Monetary Policy: A Post-Keynesian Analysis. (2018). Ekinci, Nazim Kadri .
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  59. A model of the market for bank credit: The case of Germany. (2017). Ries, Mathias ; Maas, Daniel ; Bofinger, Peter.
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  60. What do aggregate saving rates (not) show?. (2017). Ponomarenko, Alexey.
    In: Economics Discussion Papers.
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  61. 10 Years after the Global Financial Crisis: What Have We Learnt About International Capital Flows?. (2017). Guichard, Stephanie.
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  62. Bofinger and Ries versus Borio and Disyatat: macroeconomics after endogenous money. A brief note. (2017). Cesaratto, Sergio.
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  63. Beyond the traditional monetary circuit: endogenous money, finance and the theory of long-period effective demand. (2017). Cesaratto, Sergio.
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  64. The nature of the eurocrisis. A reply to Febrero, Uxò and Bermejo. (2017). Cesaratto, Sergio.
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  65. Monetary dynamics in the euro area : a disaggregate panel approach. (2017). Liu, John ; Kool, Clemens ; C. J. M. Kool, .
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  66. The role of fractional-reserve banking in amplifying credit booms: evidence from panel data. (2017). Albinowski, Maciej.
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  67. The role of fractional-reserve banking in amplifying credit booms: evidence from panel data. (2017). .
    In: Working Papers.
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  68. Banking theories and Macroeconomics.. (2017). Sardoni, Claudio ; Bianco, Antonio .
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  69. Explaining trade imbalances in the euro area: Liquidity preference and the role of finance. (2017). Gabrisch, Hubert.
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  70. International Monetary Relations: Taking Finance Seriously. (2017). Taylor, Alan ; Obstfeld, Maurice.
    In: NBER Working Papers.
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  71. The Great Leveraging in the European crisis countries: Domestic credit and net foreign liabilities. (2017). Staehr, Karsten ; Cuestas, Juan.
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  72. Capital liberalization and various financial markets: Evidence from Taiwan. (2017). Huang, Paoyu ; Wu, Manhwa ; Ni, Yensen.
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  73. The great moderation in international capital flows: A global phenomenon?. (2017). Schmitz, Martin ; McQuade, Peter.
    In: Journal of International Money and Finance.
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  74. What Difference Would a Capital Markets Union Make for Risk-Sharing in the EU?. (2017). , Waltraudschelkle ; Schelkle, Waltraud ; Dimperio, Paolo.
    In: Vierteljahrshefte zur Wirtschaftsforschung / Quarterly Journal of Economic Research.
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  75. Excess saving and low interest rates: Theory and empirical evidence. (2017). Bofinger, Peter ; Ries, Mathias .
    In: CEPR Discussion Papers.
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  76. International Monetary Relations: Taking Finance Seriously. (2017). Obstfeld, Maurice ; Taylor, Alan M.
    In: CEPR Discussion Papers.
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  77. Europe at the Interdependence War. (2017). Tamborini, Roberto.
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  78. Triffin: dilemma or myth?. (2017). McCauley, Robert ; Bordo, Michael.
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  79. The Nature of the Eurocrisis. A Reply to Febrero, Uxò and Bermejo. (2017). Cesaratto, Sergio.
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  80. International Monetary Relations: Taking Finance Seriously. (2017). Obstfeld, Maurice ; Taylor, Alan M.
    In: Journal of Economic Perspectives.
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  81. International financial flows in the new normal: Key patterns (and why we should care). (2016). Valla, Natacha ; Schmidt, Julia ; Bussiere, Matthieu.
    In: EIB Working Papers.
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  82. The EuroZone `Debt’ Crisis: Another `Center’ – `Periphery’ Crisis Under Financial Globalization?. (2016). Oconnell, Arturo.
    In: Working Papers Series.
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  83. Improved Structural Competitiveness or Deep Recession? On the recent macroeconomic rebalances in the EMU. (2016). Messori, Marcello ; esposito, piero.
    In: SEP Working Papers.
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  84. Current Account Deficits During Heightened Risk: Menacing or Mitigating?. (2016). Nenova, Tsvetelina ; Hjortsoe, Ida ; Forbes, Kristin.
    In: NBER Working Papers.
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  85. Current account deficits during heightened risk: menacing or mitigating?. (2016). Nenova, Tsvetelina ; Hjortsoe, Ida ; Forbes, Kristin.
    In: Discussion Papers.
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  86. The Current Account Version of the Triffin Dilemma. (2016). McCauley, Robert ; Bordo, Michael D.
    In: Atlantic Economic Journal.
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  87. On the centrality of the current account in international economics. (2016). BORIO, Claudio.
    In: Journal of International Money and Finance.
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  88. The great moderation in international capital flows: a global phenomenon?. (2016). Schmitz, Martin ; McQuade, Peter.
    In: Working Paper Series.
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  89. Rethinking the International Monetary System. (2016). Taylor, John.
    In: Cato Journal.
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  90. International Financial Flows in the New Normal: Key Patterns (and Why We Should Care). (2016). Valla, Natacha ; Schmidt, Julia ; Bussiere, Matthieu.
    In: CEPII Policy Brief.
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  91. A note on money creation in emerging market economies. (2016). Ponomarenko, Alexey.
    In: BOFIT Discussion Papers.
    RePEc:bof:bofitp:2016_004.

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  92. A note on money creation in emerg-ing market economies. (2016). Ponomarenko, Alexey.
    In: Bank of Russia Working Paper Series.
    RePEc:bkr:wpaper:wps10.

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  93. Cross-border finance, trade imbalances and competitiveness in the euro area. (2015). Gabrisch, Hubert.
    In: MPRA Paper.
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  94. .

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  41. Rollover risk, network structure and systemic financial crises. (2012). Anand, Kartik ; Gai, Prasanna ; Marsili, Matteo.
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:36:y:2012:i:8:p:1088-1100.

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  42. Asset Returns Under Model Uncertainty: Evidence from the euro area, the U.K. and the U.S.. (2011). Sousa, Ricardo.
    In: Working Papers.
    RePEc:ptu:wpaper:w201119.

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  43. Linking External Sector Imbalances and Changing Financial Instability before the 2008 Financial Crisis. (2011). Whalley, John ; Yan, Chen ; Walsh, Sean ; Agarwal, Manmohan ; Wang, Jing.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:17645.

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  44. Transmission of macro-liquidity shocks to liquidity-sorted stock portfolios’ returns: The role of the financial crisis. (2011). Kontonikas, Alexandros ; KOSTAKIS, ALEXANDROS ; Florackis, Chris.
    In: SIRE Discussion Papers.
    RePEc:edn:sirdps:272.

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  45. Strategic complementarity, fragility, and regulation. (2011). Vives, Xavier.
    In: IESE Research Papers.
    RePEc:ebg:iesewp:d-0928.

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  46. Strategic Complementarity, Fragility, and Regulation. (2011). Vives, Xavier.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_3507.

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  47. Fire Sales in Finance and Macroeconomics. (2010). Shleifer, Andrei ; Vishny, Robert W..
    In: NBER Working Papers.
    RePEc:nbr:nberwo:16642.

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  48. Financial Cycles: What? How? When?. (2010). Kose, Ayhan M. ; Claessens, Stijn ; Terrones, Marco E..
    In: NBER Chapters.
    RePEc:nbr:nberch:12210.

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  49. Shadow banking. (2010). Ashcraft, Adam ; Adrian, Tobias ; Boesky, Hayley ; Pozsar, Zoltan.
    In: Staff Reports.
    RePEc:fip:fednsr:458.

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  50. Regulating the Shadow Banking System. (2010). Metrick, Andrew ; Gorton, Gary.
    In: Brookings Papers on Economic Activity.
    RePEc:bin:bpeajo:v:41:y:2010:i:2010-02:p:261-312.

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