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Learning from history: volatility and financial crises. (2016). Danielsson, Jon ; Zer, Ilknur ; Valenzuela, Marcela.
In: LSE Research Online Documents on Economics.
RePEc:ehl:lserod:66046.

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  1. Flexible inflation targeting and stock market volatility: Evidence from emerging market economies. (2023). Boughrara, Adel ; Dridi, Ichrak.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:126:y:2023:i:c:s0264999323002328.

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  2. Market Risk and Volatility Weighted Historical Simulation After Basel III. (2022). Firouzi, Hassan Omidi ; Laurent, Jean-Paul.
    In: Working Papers.
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  3. Beautiful cycles: A theory and a model implying a curious role for interest. (2022). Gross, Marco.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:106:y:2022:i:c:s0264999321002674.

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  4. Net external position, financial development, and banking crisis. (2021). Ganioglu, Aytul ; Binici, Mahir.
    In: Empirical Economics.
    RePEc:spr:empeco:v:61:y:2021:i:3:d:10.1007_s00181-020-01899-z.

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  5. The Influence of Uncertainty on Market Efficiency: Evidence from Selected European Financial Markets. (2021). Paskaleva, Mariya ; Stoykova, Ani.
    In: Economic Studies journal.
    RePEc:bas:econst:y:2021:i:8:p:175-198.

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  7. Identifying financial instability conditions using high frequency data. (2020). Mancino, Maria Elvira ; Sanfelici, Simona.
    In: Journal of Economic Interaction and Coordination.
    RePEc:spr:jeicoo:v:15:y:2020:i:1:d:10.1007_s11403-019-00253-6.

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  8. An empirical analysis of systemic and macroeconomic risk in South Africa: an application of the quantile regression. (2020). Eita, Joel ; Muteba, John Weirstrass ; Ngobese, Sibusiso Blessing.
    In: MPRA Paper.
    RePEc:pra:mprapa:101493.

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  9. The anatomy of financial vulnerabilities and banking crises. (2020). Stebunovs, Viktors ; Posenau, Kelly E ; Lee, Seung Jung.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:112:y:2020:i:c:s0378426618300864.

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  10. Financial, business and trust cycles: the issues of synchronization. (2019). Vasilyeva, Tetyana ; Buriak, Anna ; Brychko, Maryna ; Bilan, Yuriy.
    In: Zbornik radova Ekonomskog fakulteta u Rijeci/Proceedings of Rijeka Faculty of Economics.
    RePEc:rfe:zbefri:v:37:y:2019:i:1:p:113-138.

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  11. A multi-agent methodology to assess the effectiveness of alternative systemic risk adjusted capital requirements. (2019). Gurgone, A ; Iori, G.
    In: Working Papers.
    RePEc:cty:dpaper:19/05.

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  12. Does Financial Tranquility Call for Stringent Regulation?. (2018). Zhao, Yunhui ; Basak, Deepal.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2018/123.

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  13. What is a market crash?. (2018). le Bris, David.
    In: Economic History Review.
    RePEc:bla:ehsrev:v:71:y:2018:i:2:p:480-505.

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  14. What Do We Know About the Effects of Macroprudential Policy?. (2018). Moessner, Richhild ; Galati, Gabriele.
    In: Economica.
    RePEc:bla:econom:v:85:y:2018:i:340:p:735-770.

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  15. Decomposing financial (in)stability in emerging economies. (2017). Sánchez Serrano, Antonio ; Lepers, Etienne.
    In: ESRB Working Paper Series.
    RePEc:srk:srkwps:201739.

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  16. Does Financial Tranquility Call for More Stringent Regulation?. (2017). Basak, Deepal ; Zhao, Yunhui ; Murray, Alexander.
    In: MPRA Paper.
    RePEc:pra:mprapa:81373.

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  17. Calibrating Macroprudential Policy to Forecasts of Financial Stability. (2017). Lopez, Jose ; Brave, Scott.
    In: Working Paper Series.
    RePEc:fip:fedfwp:2017-17.

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  18. Volatility Forecasting before the Subprime Crisis. (2017). Maia, Sinezio Fernandes ; de Oliveira, Felipe.
    In: EcoMod2017.
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  19. Why macropru can end up being procyclical. (2016). Tsomocos, Dimitrios ; Danielsson, Jon ; Zigrand, Jean-Pierre ; MacRae, Robert.
    In: LSE Research Online Documents on Economics.
    RePEc:ehl:lserod:70711.

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