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Sovereign Default Risk and Banks in a Monetary Union. (2013). Uhlig, Harald.
In: NBER Working Papers.
RePEc:nbr:nberwo:19343.

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  1. Drivers of Sovereign Bond Demand – The Case of Japans. (2023). Piscarreta, Carlos Alberto.
    In: Working Papers REM.
    RePEc:ise:remwps:wp02642023.

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  2. An investigation into feedback and spatial relationships between banks’ share prices and sovereign bond spreads during the euro crisis. (2022). Tavlas, George ; Hall, Stephen ; Gibson, Heather ; Petroulas, Pavlos.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:63:y:2022:i:c:s157230892200078x.

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  3. The repo channel of cross-border lending in the European sovereign debt crisis. (2022). Luque, Jaime .
    In: Journal of Financial Markets.
    RePEc:eee:finmar:v:59:y:2022:i:pa:s1386418121000574.

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  4. Sovereign risk spill-overs in the banking sectors of Central America and the Caribbean. (2021). Brei, Michael ; Robinson, Justin ; Bangwayo-Skeete, Prosper ; Noel, Dorian.
    In: Post-Print.
    RePEc:hal:journl:hal-03592667.

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  5. Bank capital, government bond holdings, and sovereign debt capacity. (2021). Crosignani, Matteo.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:141:y:2021:i:2:p:693-704.

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  6. The design and transmission of central bank liquidity provisions. (2021). Crosignani, Matteo ; Carpinelli, Luisa.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:141:y:2021:i:1:p:27-47.

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  7. Sovereign risk spill-overs in the banking sectors of Central America and the Caribbean. (2021). Brei, Michael ; Robinson, Justin ; Bangwayo-Skeete, Prosper F ; Noel, Dorian M.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:73:y:2021:i:c:s1042443121000986.

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  8. Sovereign risk and bank fragility. (2020). Mankart, Jochen ; Anand, Kartik.
    In: Discussion Papers.
    RePEc:zbw:bubdps:542020.

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  9. International Evidence on the Determinants of Domestic Sovereign Debt Bank Holdings. (2020). Milonas, Nikolaos ; Dotsis, George ; Chronopoulos, Dimitris K.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:58:y:2020:i:2:d:10.1007_s10693-019-00326-4.

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  10. The (Unintended?) consequences of the largest liquidity injection ever. (2020). Fonseca, Luís ; Faria-e-Castro, Miguel ; Crosignani, Matteo.
    In: Journal of Monetary Economics.
    RePEc:eee:moneco:v:112:y:2020:i:c:p:97-112.

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  11. Monetary policy and bank stability: the analytical toolbox reviewed. (2020). Popov, Alexander ; Marques-Ibanez, David ; Albertazzi, Ugo ; Barbiero, Francesca ; Marques-Ibaez, David ; Dacri, Costanza Rodriguez ; Vlassopoulos, Thomas .
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20202377.

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  12. The effect of possible EU diversification requirements on the risk of banks sovereign bond portfolios. (2019). Paterlini, Sandra ; Giuzio, Margherita ; Craig, Ben.
    In: ESRB Working Paper Series.
    RePEc:srk:srkwps:201989.

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  13. The (Unintended?) Consequences of the Largest Liquidity Injection Ever. (2019). Fonseca, Luís ; Faria-e-Castro, Miguel ; Crosignani, Matteo.
    In: Working Papers.
    RePEc:fip:fedlwp:2017-039.

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  14. Politics, banks, and sub-sovereign debt: Unholy trinity or divine coincidence?. (2018). Popov, Alexander ; Koetter, Michael.
    In: Discussion Papers.
    RePEc:zbw:bubdps:532018.

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  15. Agglomeration and Industry Spillover Effects in the Aftermath of a Credit Shock. (2018). Rocha, Joana ; Jorge, Jose.
    In: CEF.UP Working Papers.
    RePEc:por:cetedp:1801.

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  16. Agglomeration and Industry Spillover Effects in the Aftermath of a Credit Shock. (2018). Rocha, Joana ; Jorge, Jose.
    In: GEE Papers.
    RePEc:mde:wpaper:0115.

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  17. Politics, banks, and sub-sovereign debt: unholy trinity or divine coincidence?. (2018). Popov, Alexander ; Koetter, Michael.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20182146.

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  18. Fiscal transfers in a monetary union with sovereign risk. (2018). Bandeira, Guilherme.
    In: Working Papers.
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  19. Why are banks not recapitalized during crises?. (2017). Crosignani, Matteo.
    In: ESRB Working Paper Series.
    RePEc:srk:srkwps:201757.

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  20. Bank Exposures and Sovereign Stress Transmission. (2017). Simonelli, Saverio ; Pagano, Marco ; Altavilla, Carlo ; Carlo Altavilla , .
    In: Review of Finance.
    RePEc:oup:revfin:v:21:y:2017:i:6:p:2103-2139..

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  21. Why Are Banks Not Recapitalized During Crises?. (2017). Crosignani, Matteo.
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2017-84.

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  22. The Effect of Central Bank Liquidity Injections on Bank Credit Supply. (2017). Crosignani, Matteo ; Carpinelli, Luisa.
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2017-38.

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  23. The (Unintended?) Consequences of the Largest Liquidity Injection Ever. (2017). Fonseca, Luís ; Faria-e-Castro, Miguel ; Crosignani, Matteo.
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2017-11.

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  24. The 2012 eurozone crisis and the ECB’s OMT program: A debt-overhang banking and sovereign crisis interpretation. (2017). Occhino, Filippo.
    In: European Economic Review.
    RePEc:eee:eecrev:v:100:y:2017:i:c:p:337-363.

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  25. Bank exposures and sovereign stress transmission. (2016). Simonelli, Saverio ; Pagano, Marco ; Altavilla, Carlo ; Carlo Altavilla , .
    In: CFS Working Paper Series.
    RePEc:zbw:cfswop:539.

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  26. The (unintended?) consequences of the largest liquidity injection ever. (2016). Fonseca, Luís ; Faria-e-Castro, Miguel ; Crosignani, Matteo.
    In: ESRB Working Paper Series.
    RePEc:srk:srkwps:201631.

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  27. Bank exposures and sovereign stress transmission. (2016). Simonelli, Saverio ; Pagano, Marco ; Altavilla, Carlo ; Carlo Altavilla , .
    In: ESRB Working Paper Series.
    RePEc:srk:srkwps:201611.

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  28. The (Unintended?) Consequences of the Largest Liquidity Injection Ever. (2016). Fonseca, Luís ; Faria-e-Castro, Miguel ; Crosignani, Matteo.
    In: 2016 Meeting Papers.
    RePEc:red:sed016:43.

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  29. Fiscal and Financial Crises. (2016). Meissner, Christopher ; Bordo, Michael.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:22059.

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  30. Bank Exposures and Sovereign Stress Transmission. (2016). Simonelli, Saverio ; Pagano, Marco ; Altavilla, Carlo.
    In: EIEF Working Papers Series.
    RePEc:eie:wpaper:1613.

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  31. Fiscal and Financial Crises. (2016). Bordo, M D ; Meissner, C M.
    In: Handbook of Macroeconomics.
    RePEc:eee:macchp:v2-355.

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  32. Bank exposures and sovereign stress transmission. (2016). Simonelli, Saverio ; Pagano, Marco ; Altavilla, Carlo ; Carlo Altavilla , .
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20161969.

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  33. The invisible hand of the government: “Moral suasion” during the European sovereign debt crisis. (2016). Van Horen, Neeltje ; Popov, Alexander ; Ongena, Steven.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20161937.

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  34. Bank Exposures and Sovereign Stress Transmission. (2016). Simonelli, Saverio ; Pagano, Marco ; Altavilla, Carlo.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:11269.

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  35. The invisible hand of the government: Moral suasion during the European sovereign debt crisis. (2016). Van Horen, Neeltje ; Ongena, Steven ; Popov, Alexander.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:11153.

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  36. Bailouts, Moral Hazard and Banks Home Bias for Sovereign Debt. (2016). Zetlin-Jones, Ariel ; Gaballo, Gaetano.
    In: Working papers.
    RePEc:bfr:banfra:594.

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  37. Central Bank Interventions, Demand for Collateral, and Sovereign Borrowing Costs. (2015). Fonseca, Luís ; Faria-e-Castro, Miguel ; Crosignani, Matteo.
    In: Working Papers.
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  38. Exporting Sovereign Stress: Evidence from Syndicated Bank Lending during the Euro Area Sovereign Debt Crisis. (2015). Van Horen, Neeltje ; Popov, Alexander.
    In: Review of Finance.
    RePEc:oup:revfin:v:19:y:2015:i:5:p:1825-1866..

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  39. “Sovereigns and banks in the euro area: a tale of two crises”. (2015). Sosvilla-Rivero, Simon ; Gómez-Puig, Marta ; Gomez-Puig, Marta ; Singh, Manish K.
    In: IREA Working Papers.
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  40. Determinants and Valuation Effects of the Home Bias in European Banks Sovereign Debt Portfolios. (2015). Ioannidou, Vasso ; Huizinga, Harry ; Horvath, Balint.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:10661.

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  41. Cross-Border Liquidity, Relationships and Monetary Policy: Evidence from the Euro Area Interbank Crisis. (2015). Peydro, Jose-Luis ; Fecht, Falko ; Bräuning, Falk ; Abbassi, Puriya ; Brauning, Falk.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:10479.

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  42. Sovereigns and banks in the euro area: A tale of two crises. (2015). Sosvilla-Rivero, Simon ; Gómez-Puig, Marta ; Gomez-Puig, Marta ; Singh, Manish K..
    In: Working Papers.
    RePEc:aee:wpaper:1501.

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  43. The Pass-Through of Sovereign Risk. (2014). Bocola, Luigi.
    In: 2014 Meeting Papers.
    RePEc:red:sed014:1286.

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  44. The Making of a Continental Financial System; Lessons for Europe from Early American History. (2014). Gaspar, Vitor.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2014/183.

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  45. An analysis of eurobonds. (2014). Mavromatis, Kostas(Konstantinos) ; Beetsma, Roel.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:45:y:2014:i:c:p:91-111.

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  46. Government Debt and Banking Fragility: The Spreading of Strategic Uncertainty. (2013). Nikolov, Kalin ; Cooper, Russell.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:19278.

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References

References cited by this document

  1. Acharya, Viral V. and Sascha Steffen (2013), “The ‘Greatest’ Carry Trade Ever? Understanding Eurozone Bank Risks,” CEPR Discussion Paper No. 9432.

  2. Broner, Fernando, Aitor Erce, Alberto Martin and Jaume Ventura (2013), “Sovereign Debt Markets in Turbulent times: Creditor Discrimination and Crowding-Out Effects,” draft, CREI and UPF, Barcelona.

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  43. Banks and sovereign risk: A granular view. (2013). Ohls, Jana ; Koetter, Michael ; Buch, Claudia.
    In: Discussion Papers.
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  44. Lending concentration, bank performance and systemic risk : exploring cross-country variation. (2013). De Jonghe, Olivier ; Beck, Thorsten.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:6604.

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  45. Sovereign Default Risk and Banks in a Monetary Union. (2013). Uhlig, Harald.
    In: NBER Working Papers.
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  46. Government Debt and Banking Fragility: The Spreading of Strategic Uncertainty. (2013). Nikolov, Kalin ; Cooper, Russell.
    In: NBER Working Papers.
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  47. The Euro and the Geography of International Debt Flows. (2013). Hale, Galina ; Obstfeld, Maurice.
    In: NBER Chapters.
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  48. Sovereign Default Risk and Banks in a Monetary Union. (2013). Uhlig, Harald.
    In: CESifo Working Paper Series.
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  49. Bankenunion: Teil einer finanz- und fiskalpolitischen Strategie für Europa?. (2013). Gruner, Hans Peter.
    In: Perspektiven der Wirtschaftspolitik.
    RePEc:bla:perwir:v:14:y:2013:i:3-4:p:219-232.

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  50. Currency Union with and without Banking Union.. (2013). Rojas Breu, Mariana ; Breton, Régis ; Bignon, Vincent.
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    RePEc:bfr:banfra:450.

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