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Bank risk and monetary policy. (2010). Marques-Ibanez, David ; Gambacorta, Leonardo ; Altunbas, Yener.
In: Journal of Financial Stability.
RePEc:eee:finsta:v:6:y:2010:i:3:p:121-129.

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  1. Bank Risk and Firm Investment: Evidence from Firm-Level Data. (2023). Weill, Laurent ; Shamshur, Anastasiya.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:63:y:2023:i:1:d:10.1007_s10693-022-00379-y.

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  2. Has monetary policy fueled the rise in shadow banking?. (2023). Hodula, Martin ; Libich, Jan.
    In: Economic Modelling.
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  3. To lend or not to lend? The ECB as the ‘intermediary of last resort’. (2023). Burietz, Aurore ; Picault, Matthieu.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:122:y:2023:i:c:s0264999323000408.

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  4. The role of financial stability considerations in monetary policy and the interaction with macroprudential policy in the euro area. (2023). Signoretti, Federico ; Nikolov, Kalin ; Ambrocio, Gene ; Heider, Florian ; Jovanovic, Mario ; Lewis, Vivien ; Miettinen, Pavo ; Policy, Monetary ; Bonatti, Guido ; Prieto, Esteban ; Redak, Vanessa ; Altavilla, Carlo ; Geiger, Felix ; Chalamandaris, Dimitrios ; Fourel, Valere ; Jan, Jansen David ; Kok, Christoffer ; Mazelis, Falk ; Balfoussia, Hiona ; Licak, Marek ; Patriek, Matic ; Pogulis, Armands ; Adolf, Petra ; Garabedian, Garo ; Cassar, Alan ; Weigert, Benjamin ; Fahr, Stephan ; Ioannidis, Michael ; Vlassopoulos, Thomas ; Maddaloni, Angela ; Klein, Melanie ; Papageorghiou, Maria ; Galati, Gabriele ; Fernandez, Luis ; Busch, Ulrike ; Valderrama, Maria ; Bussiere, Mat
  5. Sovereign Risk and the Bank Lending Channel: Differences across Countries and the Effects of the Financial Crisis. (2022). Olmo, Begoa Torre ; Torreolmo, Begoa ; Azofra, Sergio Sanfilippo ; Sanfilippoazofra, Sergio ; Canterosaiz, Maria.
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  6. Securitization and CDS in U.S. bank lending. (2022). di Tommaso, Caterina.
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  7. QE: Implications for Bank Risk-Taking, Profitability, and Systemic Risk. (2022). Velic, Adnan ; Kapoor, Supriya.
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  8. The Effect of the Paycheck Protection Program and Financial Reporting Standards on Bank Risk-Taking. (2022). Stuber, Sarah B ; Nicoletti, Allison ; Ballew, Hailey B.
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  9. Credit Risk Evaluation of Forest Farmers under Internet Crowdfunding Mode: The Case of China’s Collective Forest Regions. (2022). Liu, Boru ; Tu, Jiangwei ; Wu, Xiaowo ; Zhou, XI.
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  10. Financial Stability Considerations for Monetary Policy: Empirical Evidence and Challenges. (2022). Schularick, Moritz ; Favara, Giovanni ; Boyarchenko, Nina.
    In: Staff Reports.
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  11. Financial Stability Considerations for Monetary Policy: Empirical Evidence and Challenges. (2022). Schularick, Moritz ; Favara, Giovanni ; Boyarchenko, Nina.
    In: Finance and Economics Discussion Series.
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  12. Non-linear nexus between economic policy uncertainty and bank lending. (2022). Bakhsh, Satar ; Hashmi, Shujahat Haider ; Jiang, Ping ; Shabir, Mohsin.
    In: International Review of Economics & Finance.
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  13. IFABS 2017: Towards an Integrated View of Financial Regulation: Key Lessons from the Crisis and Future Challenges. (2022). Berrospide, Jose M.
    In: Journal of Banking & Finance.
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  14. Did QE lead banks to relax their lending standards? Evidence from the Federal Reserve’s LSAPs. (2022). Zimmermann, Tom ; Luck, Stephan ; Kurtzman, Robert.
    In: Journal of Banking & Finance.
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  15. The internationalization of domestic banks and the credit channel of monetary policy. (2022). Sarmiento, Miguel ; Lemus, Juan S ; Osorio, Daniel ; Morales, Paola.
    In: Journal of Banking & Finance.
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  16. A loan-level analysis of financial resilience in Mexico. (2022). Cantu Garcia, Carlos ; Lopez-Gallo, Fabrizio ; Lobato, Roberto.
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  17. How do bank-specific characteristics affect lending? New evidence based on credit registry data from Latin America. (2022). Gambacorta, Leonardo ; Claessens, Stijn ; Cantu Garcia, Carlos.
    In: Journal of Banking & Finance.
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  18. Monetary policy and bank performance: The role of business models. (2022). Huynh, Japan ; Dang, Van Dan.
    In: The North American Journal of Economics and Finance.
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  19. How risky is Monetary Policy? The Effect of Monetary Policy on Systemic Risk in the Euro Area. (2021). Zerobin, Manuel ; Wolfmayr, Anna ; Hubel, Teresa ; Leitner, Georg.
    In: Department of Economics Working Papers.
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  20. The Internationalization of Domestic Banks and the Credit Channel of Monetary Policy. (2021). Morales, Paola ; Paipilla, Miguel Sarmiento ; Lemus, Juan S ; Osorio, Daniel.
    In: Other publications TiSEM.
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  21. The Internationalization of Domestic Banks and the Credit Channel of Monetary Policy. (2021). Morales, Paola ; Paipilla, Miguel Sarmiento ; Lemus, Juan S ; Osorio, Daniel.
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  22. The Internationalization of Domestic Banks and the Credit Channel of Monetary Policy. (2021). Morales, Paola ; Paipilla, Miguel Sarmiento ; Lemus, Juan S ; Osorio, Daniel.
    In: Discussion Paper.
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  23. The Impact of Cross-Border Capital Flows on the Chinese Banking System. (2021). Xu, Zichun ; Zhao, Yang.
    In: SAGE Open.
    RePEc:sae:sagope:v:11:y:2021:i:2:p:21582440211021410.

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  24. Credit Enhancement Mechanism in Loan Securitization and Its Implication to Systemic Risk. (2021). Ivanov, Katerina.
    In: Discussion Paper Series.
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  25. Response of Bank Lending to Monetary Policy in India: Does Liquidity Matter?Abstract: We examine the role of bank liquidity in monetary policy transmission in India. We apply threshold panel regressio. (2021). Sensarma, Rudra ; Ansari, Md Gyasuddin.
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  26. Information Disclosure in China’s Rising Securitization Market. (2021). Wang, Chao ; Chen, Xueer.
    In: IJFS.
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  27. Impacts of the sovereign risk perception on financial stability: Evidence from Brazil. (2021). de Moraes, Claudio ; Valladares, Matheus ; Montes, Gabriel Caldas.
    In: The Quarterly Review of Economics and Finance.
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  28. Asymmetries in the Euro area banking profitability. (2021). Laureano, Luis ; de Carvalho, Paulo Viegas ; Verissimo, Pedro.
    In: The Journal of Economic Asymmetries.
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  29. Asymmetric impacts of monetary policy and business cycles on bank risk-taking: Evidence from Emerging Asian markets. (2021). Su, Thanh Dinh ; Nguyen, Canh Phuc ; Bui, Duy-Tung.
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  30. Liquidity injection, bank lending, and security holdings: The asymmetric effects in Vietnam. (2021). Dang, Van Cuong.
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  31. Bank risks and lending outcomes: Evidence from QE. (2021). Girardone, Claudia ; Paltrinieri, Andrea ; Beltrame, Federico ; Sclip, Alex.
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  32. How has the rise of Pan-African banks impacted bank stability in WAEMU?. (2021). Soumare, Issouf ; Murinde, Victor ; Kanga, Desire.
    In: Journal of International Financial Markets, Institutions and Money.
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  33. How do bank characteristics affect the bank liquidity creation channel of monetary policy?. (2021). Dang, Van Cuong.
    In: Finance Research Letters.
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  34. The role of financial stability considerations in monetary policy and the interaction with macroprudential policy in the euro area. (2021). Weigert, Benjamin ; Rodriguez-Moreno, Maria ; Prieto, Esteban ; Nikolov, Kalin ; Maddaloni, Angela ; Mazelis, Falk ; Lewis, Vivien ; Geiger, Felix ; Martin, Alberto ; Jovanovic, Mario ; Miettinen, Pavo ; Andreeva, Desislava ; Cuciniello, Vincenzo ; Albertazzi, Ugo ; Heider, Florian ; Redak, Vanessa ; Bonatti, Guido ; Licak, Marek ; Jan, Jansen David ; Garabedian, Garo ; Altavilla, Carlo ; Chalamandaris, Dimitrios ; Fourel, Valere ; Pogulis, Armands ; Carlo Altavilla , ; Balfoussia, Hiona ; Ioannidis, Michael ; Patriek, Matic ; Fernandez, Luis ; Kok, Christoffer ; Cassar, Alan ; Klein, Melanie ; Papageorghiou, Maria ; Fahr, Stephan ; Falagiarda, Matteo ; Adolf, Petra ;
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  36. Are central banks to blame? Monetary policy and bank lending behavior. (2021). Savva, Christos ; Koursaros, Demetris ; Michail, Nektarios A.
    In: Bulletin of Economic Research.
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  37. The internationalization of domestic banks and the credit channel of monetary policy. (2021). Osorio-Rodriguez, Daniel ; Sarmiento, Miguel ; Lemus-Esquivel, Juan S ; Morales, Paola.
    In: Borradores de Economia.
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  39. Bank Capital and Monetary Policy Transmission in India. (2020). Behera, Harendra ; Muduli, Silu.
    In: EconStor Preprints.
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  40. The Impact of Market Power on Bank Risk-Taking: an Empirical Investigation. (2020). Hamza, Taher ; Bahri, Ferdaous.
    In: Journal of the Knowledge Economy.
    RePEc:spr:jknowl:v:11:y:2020:i:3:d:10.1007_s13132-019-0584-y.

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  41. Bank Capital and Monetary Policy Transmission in India. (2020). Behera, Harendra ; Muduli, Silu.
    In: MPRA Paper.
    RePEc:pra:mprapa:103676.

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  42. US or Domestic Monetary Policy: Which Matters More for Financial Stability?. (2020). Cecchetti, Stephen ; Sahay, Ratna ; Narita, Machiko ; Mancini-Griffoli, Tommaso.
    In: IMF Economic Review.
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  43. Contingent Linear Financial Networks. (2020). Rigobon, Roberto ; Dahleh, Munther A ; Jiang, Bomin.
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  44. Monetary Policy, Risk Aversion and Uncertainty in an International Context. (2020). Deisting, Florent ; Sehgal, Sanjay ; Saini, Sakshi.
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  45. Monetary and Prudential Policy Coordination: impact on Banks Risk-Taking. (2020). NGAMBOU DJATCHE, Melchisedek Joslem ; Bruno, Olivier.
    In: GREDEG Working Papers.
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  46. Globalization in Growing Financial Markets as a Threat to the Financial Security of the Global Economy. (2020). Gebska, Marta ; Redo, Magdalena .
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  47. The conditioning role of performance on the bank risk-taking channel of monetary policy: Evidence from a multiple-tool regime. (2020). Dang, Van Cuong.
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  48. Economic policy uncertainty and credit growth: Evidence from a global sample. (2020). LE, Thai-Ha ; Canh, Nguyen ; Su, Thanh Dinh ; Nguyen, Canh Phuc.
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  49. Bank diversification and systemic risk. (2020). Chou, Ray Yeutien ; Liu, Chih-Liang ; Yang, Hsin-Feng .
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  50. Bank asset structure and deposit insurance pricing. (2020). Fodor, Andrew ; Davidson, Travis ; Camara, Antonio.
    In: Journal of Banking & Finance.
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  51. Government support, regulation, and risk taking in the banking sector. (2020). Correa, Ricardo ; Sapriza, Horacio ; Brandao-Marques, Luis.
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  52. Impact of internet finance on the performance of commercial banks in China. (2020). Yin, Lijun ; Dong, Jichang ; Liu, Lei ; Hu, Meiting.
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  53. Foreign banks and international transmission of monetary policy: Evidence from the syndicated loan market. (2020). Huizinga, Harry ; Horvath, Balint ; Demirguc-Kunt, Asli ; Demirgu-Kunt, Asli.
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  54. 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 .
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  55. Monetary and Macroprudential Policy with Endogenous Risk. (2020). Adrian, Tobias ; Duarte, Fernando ; Liang, Nellie ; Zabczyk, Pawel.
    In: CEPR Discussion Papers.
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  56. Den Strukturwandel meistern. Jahresgutachten 2019/20. (2019). Wieland, Volker ; Truger, Achim ; Schnabel, Isabel ; Schmidt, Christoph M ; Feld, Lars P.
    In: Annual Economic Reports / Jahresgutachten.
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  57. Does bank capital affect the monetary policy transmission mechanism? A case study of Emerging Market Economies (EMEs). (2019). Alam, Shaista ; Iftikhar, Syed Faizan ; Abbas, Zia.
    In: International Journal of Financial Engineering (IJFE).
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  58. SMALL BUSINESS LENDING AND CREDIT RISK: GRANGER CAUSALITY EVIDENCE. (2019). Disli, Mustafa ; Faysan, Ahmet Faruk.
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  59. Heterogeneous Households and the Portfolio Rebalancing Channel of Monetary Policy. (2019). Rogers, Ciaran ; Leombroni, Matteo.
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  60. Determinantes del crecimiento del crédito y el canal de préstamo bancario en el Perú: Un análisis a nivel de préstamos. (2019). Nivin, Rafael ; Cuba, Walter ; Bustamante, Jose .
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  61. Monetary and macroprudential policy coordination among multiple equilibria. (2019). Agur, Itai.
    In: Journal of International Money and Finance.
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  62. Politicians’ promotion incentives and bank risk exposure in China. (2019). Menkhoff, Lukas ; Xu, Xian ; Schroder, Michael ; Wang, LI.
    In: Journal of Banking & Finance.
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  63. Foreign expansion, competition and bank risk. (2019). Laffitte, Sébastien ; Faia, Ester.
    In: Journal of International Economics.
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  64. Basel III liquidity rules: The implications for bank lending growth in Africa. (2019). Adesina, Kolade Sunday.
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  65. Bank’s risk measures and monetary policy: Evidence from a large emerging economy. (2019). de Mendonça, Helder ; deMendona, Helder Ferreira ; de Moraes, Claudio Oliveira ; de Mendona, Helder Ferreira.
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  66. Will macroprudential policy counteract monetary policy’s effects on financial stability?. (2019). Demertzis, Maria ; Agur, Itai.
    In: The North American Journal of Economics and Finance.
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  67. Small business lending and credit risk: Granger causality evidence. (2019). Disli, Mustafa ; Aysan, Ahmet Faruk.
    In: Economic Modelling.
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  68. Re-exploring the nexus between monetary policy and banks risk-taking. (2019). Ngambou, Melchisedek Joslem.
    In: Economic Modelling.
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  69. Microfinance institutions and the bank lending channel in Asia and Latin America. (2019). Cantero-Saiz, Maria ; Torre-Olmo, Begoa ; Sanfilippo-Azofra, Sergio.
    In: Journal of Asian Economics.
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  70. Monetary Policy and Shadow Banking: Trapped between a Rock and a Hard Place. (2019). Hodula, Martin.
    In: Working Papers.
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  71. Determinants of credit growth and the bank-lending channel in Peru: A loan level analysis. (2019). Nivin, Rafael ; Cuba, Walter ; Bustamante, Jose .
    In: BIS Working Papers.
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  72. A loan-level analysis of bank lending in Mexico. (2019). Lopez-Gallo, Fabrizio ; Lobato, Roberto ; Cantu, Carlos.
    In: BIS Working Papers.
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  73. How do bank-specific characteristics affect lending? New evidence based on credit registry data from Latin America. (2019). Gambacorta, Leonardo ; Cantu, Carlos.
    In: BIS Working Papers.
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  74. The Role of Stability and Ownership Structure in Determining the Efficiency of US Bank Holding Companies. (2019). Ashraf, Dawood ; Obaid, Asfia ; Kalyal, Samar Jameel.
    In: Business & Economic Review.
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  75. The Risk-Taking Channel and Monetary Transmission Mechanisms in China. (2019). Zhang, Mei ; Guo, Rong ; Kang, LI.
    In: Asian Economic and Financial Review.
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  76. Incentives for the finance sector: How the ECB affects banks business assembling. (2018). Gilroy, Bernard ; Stockmann, Nico ; Peitz, Christian ; Golderbein, Alexander.
    In: Working Papers CIE.
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  77. Improved own funds levels: effects on banks’ “problem probability”. (2018). Leitner, Christoph ; Kerbl, Stefan.
    In: Financial Stability Report.
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  78. Lending Channel of Monetary Policy in Russia: Microeconomic Estimates for Retail and Corporative Segments of Credit Market. (2018). Mamonov, M.
    In: Journal of the New Economic Association.
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  79. The Financial Accelerator in Europe after the Financial Crisis. (2018). Bakova, Klara.
    In: European Journal of Business Science and Technology.
    RePEc:men:journl:v:4:y:2018:i:2:p:143-155.

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  80. Re-Exploring the Nexus between Monetary Policy and Banks Risk-Taking. (2018). NGAMBOU DJATCHE, Melchisedek Joslem.
    In: GREDEG Working Papers.
    RePEc:gre:wpaper:2018-12.

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  81. Does Monetary Policy Influence Banks Perception of Risks?. (2018). Malovana, Simona ; Kolcunová, Dominika ; Brož, Václav.
    In: Working Papers IES.
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  82. Financial development and the bank lending channel in developing countries. (2018). Sanfilippo-Azofra, Sergio ; Lopez-Gutierrez, Carlos ; Cantero-Saiz, Maria ; Torre-Olmo, Begoa.
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  83. Bank market power and lending during the global financial crisis. (2018). Cubillas, Elena ; Suarez, Nuria.
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  84. Prudential filters, portfolio composition at fair value and capital ratios in European banks. (2018). Argimon, Isabel ; Estrada, Angel ; Dietsch, Michel.
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  85. Credit risk and monetary pass-through—Evidence from Chile. (2018). Pedersen, Michael.
    In: Journal of Financial Stability.
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  86. A new approach to the analysis of monetary policy transmission through bank capital. (2018). Saiz, Maria Cantero ; Gutierrez, Carlos Lopez ; Lopezgutierrez, Carlos ; Olmo, Begoa Torre ; Torreolmo, Begoa ; Azofra, Sergio Sanfilippo ; Sanfilippoazofra, Sergio .
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  87. Central bank disclosure as a macroprudential tool for financial stability. (2018). de Mendonça, Helder ; de Moraes, Claudio Oliveira ; de Mendona, Helder Ferreira ; deMendona, Helder Ferreira .
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  88. Politicians Promotion Incentives and Bank Risk Exposure. (2018). Schröder, Michael ; Menkhoff, Lukas ; Xu, Xian ; Schroder, Michael ; Wang, LI.
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  89. The effect of accommodative monetary policy on the risk weights applied by domestic banks. (2018). Malovana, Simona ; Broz, Vaclav ; Kolcunova, Dominika.
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  90. Will macroprudential policy counteract monetary policy’s effects on financial stability?. (2018). Demertzis, Maria ; Agur, Itai.
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  91. Interest rates, capital and bank risk-taking. (2018). Acosta-Smith, Jonathan.
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  92. Frontiers of macrofinancial linkages. (2018). Claessens, Stijn ; Kose, Ayhan M.
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  93. News-sentiment networks as a risk indicator. (2018). Sarlin, Peter ; Forss, Thomas .
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  94. Does financial VAT affect the size of the financial sector?. (2017). López-Laborda, Julio ; Pea, Guillermo ; Lopez-Laborda, Julio.
    In: Economics - The Open-Access, Open-Assessment E-Journal.
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  95. Bank Profitability and Risk-Taking under Low Interest Rates. (2017). Bikker, Jacob ; Vervliet, Tobias M.
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  96. The Risk-Taking Channel of Monetary Policy Transmission in the Euro Area. (2017). Neuenkirch, Matthias ; Nöckel, Matthias ; Nockel, Matthias.
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  97. Essays in empirical finance and monetary policy. (2017). van Holle, Frederiek.
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  98. The Risk-Taking Channel in the US: A GVAR Approach. (2017). Mouratidis, Kostas ; Caglayan, Mustafa ; Alzubi, Raslan .
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  99. Monetary Policy and Financial Stability. (2017). Dell'Ariccia, Giovanni ; Mancini-Griffoli, Tommaso ; Haksar, Vikram ; Habermeier, Karl .
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  100. Lending Conditions in EU: The Role of Credit Demand and Supply. (2017). Kapounek, Svatopluk.
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  101. Market Reactions to ECB Policy Innovations: A Cross-Country Analysis. (2017). Venegoni, Andrea ; Vena, Luigi ; Pacicco, Fausto.
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  102. Market Reactions to ECB Policy Innovations: A Cross-Country Analysis. (2017). Pacicco, Fausto ; Venegoni, Andrea ; Vena, Luigi.
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  103. Understanding Financial Fluctuations and Their Relation to Macroeconomic Stability. (2017). Pagliacci, Carolina ; Guarata, Nora .
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  104. Sustainable Financial Obligations and Crisis Cycles. (2017). Kim, Moshe ; Juselius, John.
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  105. Did QE Lead Banks to Relax Their Lending Standards? Evidence from the Federal Reserves LSAPs. (2017). Luck, Stephan ; Zimmermann, Thomas ; Kurtzman, Robert J.
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  106. A structural model for the housing and credit market in Italy. (2017). Nobili, Andrea ; Zollino, Francesco.
    In: Journal of Housing Economics.
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  107. Monetary policy and bank risk-taking: Evidence from the corporate loan market. (2017). santos, joao ; Paligorova, Teodora.
    In: Journal of Financial Intermediation.
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  108. Lending conditions in EU: The role of credit demand and supply. (2017). Kucerova, Zuzana ; Kapounek, Svatopluk ; Fidrmuc, Jarko ; Kuerova, Zuzana.
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  109. The bank lending channel of monetary policy in EU countries during the global financial crisis. (2017). Tzeremes, Panayiotis ; Heryan, Tomas.
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  110. Monetary Policy and Bank Excessive Risk-Taking. (2017). Zaghdoudi, Taha ; MAKTOUF, Samir.
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    RePEc:dug:actaec:y:2017:i:2:p:157-173.

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  111. Foreign Banks and International Transmission of Monetary Policy: Evidence from the Syndicated Loan Market. (2017). Huizinga, Harry ; Horvath, Balint ; Demirguc-Kunt, Asli.
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  112. Does Monetary Policy Influence Banks Perception of Risks?. (2017). Malovana, Simona ; Kolcunová, Dominika ; Brož, Václav ; Broz, Vaclav ; Kolcunova, Dominika.
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  113. Money, Lending and Banking Crises. (2017). Pea, Guillermo .
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  114. Optimal Monetary and Prudential Policies. (2017). Loisel, Olivier ; Diba, Behzad ; Dellas, Harris ; Collard, Fabrice.
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  115. Loan growth and bank solvency: evidence from the Pakistani banking sector. (2016). Iftikhar, Khurram ; Kashif, Muhammad.
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  116. Risk-taking, Ownership and Excess Reserves in the Ghanaian Banking System. (2016). .
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  117. European lending channel: differences in transmission mechanisms due to the global financial crisis. (2016). Heryan, Tomas ; Matousek, Roman ; Tzeremes, Panayiotis G.
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  118. Characteristics of Banking Crises: A Comparative Study with Geographical Contagion. (2016). Stremmel, Hanno ; Fendel, Ralf.
    In: Journal of Economics and Statistics (Jahrbuecher fuer Nationaloekonomie und Statistik).
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  119. Monetary Policy, Loan Maturity, and Credit Availability. (2016). Rosen, Richard ; Black, Lamont K.
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  120. Monetary policy, financial conditions, and financial stability. (2016). Adrian, Tobias ; Liang, Nellie J..
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  121. Sentiment Volatility and Bank Lending Behavior. (2016). Caglayan, Mustafa ; Xu, Bing.
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  122. Bank competition and monetary policy transmission through the bank lending channel: Evidence from ASEAN. (2016). Chan, Sok-Gee ; Ahmad, Rubi Binti ; Khan, Habib Hussain ; Gee, Chan Sok .
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  123. Impact of bank competition on the bank lending channel of monetary transmission: Evidence from China. (2016). Yang, Jun ; Shao, Hanhua .
    In: International Review of Economics & Finance.
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  124. Unconventional monetary policy and aggregate bank lending: Does financial structure matter?. (2016). Wang, Ling.
    In: Journal of Policy Modeling.
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  125. What is the impact of bankrupt and restructured loans on Japanese bank efficiency?. (2016). mamatzakis, emmanuel ; Matousek, Roman ; Vu, Anh Nguyet .
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  126. Banks’ external financing costs and the bank lending channel: Results from a SVAR analysis. (2016). Sindermann, Friedrich ; Scharler, Johann ; Breitenlechner, Max.
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  127. Inflation volatility effects on the allocation of bank loans. (2016). Xu, Bing ; Caglayan, Mustafa.
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  128. Sentiment volatility and bank lending behavior. (2016). Xu, Bing ; Caglayan, Mustafa.
    In: International Review of Financial Analysis.
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  129. How does credit supply respond to monetary policy and bank minimum capital requirements?. (2016). Wieladek, Tomasz ; Aiyar, Shekhar ; Calomiris, Charles W.
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  130. Bank leverage and monetary policys risk-taking channel: evidence from the United States. (2016). Laeven, Luc ; Dell'ariccia, Giovanni ; Suarez, Gustavo A ; Dellariccia, Giovanni.
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  131. The Lack of Persistence of Interest Rate Changes on Banks’ Lending and Risk Taking Behaviour. (2016). Savva, Christos ; Koursaros, Demetris ; Michail, Nektarios A.
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  132. The Lack of Persistence of Interest Rate Changes on Banks’ Lending and Risk Taking Behaviour. (2016). Michail, Nektarios A ; Savva, Christos S.
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  133. Monetary Policy, Financial Conditions, and Financial Stability. (2016). Adrian, Tobias ; Liang, Nellie.
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  134. Bank Leverage and Monetary Policys Risk-Taking Channel: Evidence from the United States. (2016). Laeven, Luc ; Dell'ariccia, Giovanni ; Suarez, Gustavo ; Dellariccia, Giovanni.
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  135. Pass-Through, Expectations, and Risks. What Affects Chilean Banks’ Interest Rates?. (2016). Pedersen, Michael.
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  136. Short-term Interest Rates and Bank Lending Terms: Evidence from a Survey of U.S. Loans. (2016). Dellariccia, Giovanni ; Suarez, Gustavo ; Laeven, Luc.
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  137. The Bank Lending Channel of Monetary Policy: Does the Financial Structure of Banks Matter. (2016). Ojeda-Joya, Jair ; Kutan, Ali ; Gomez-Gonzalez, Jose ; Ortiz, Maria Camila .
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  138. Politicians promotion incentives and bank risk exposure in China. (2015). Xu, Xian ; Schröder, Michael ; Menkhoff, Lukas ; Wang, LI ; Schroder, Michael .
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  139. Politicians promotion incentives and bank risk exposure in China. (2015). Xu, Xian ; Schröder, Michael ; Menkhoff, Lukas ; Wang, LI ; Schroder, Michael .
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  140. Monetary Policy, Risk-Taking and Pricing: Evidence from a Quasi-Natural Experiment. (2015). Peydro, Jose-Luis ; Ongena, Steven ; Ioannidou, Vasso.
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  141. Monetary conditions and banks’ behaviour in the Czech Republic. (2015). Jakubík, Petr ; Peydro, Jose-Luis ; Ongena, Steven ; Kowalczyk, Dorota ; Jakubik, Petr ; Gerl, Adam.
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  142. What makes banking crisis resolution difficult? Lessons from Japan and the Nordic Countries. (2015). Vollmer, Uwe ; Diemer, Michael.
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  143. Lean-Against-the-Wind Monetary Policy: The Post-Crisis Shift in the Literature. (2015). Kokores, Ioanna .
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  144. Monetary Policy Transmission in Emerging Asia: The Role of Banks and the Effects of Financial Globalization. (2015). Ananchotikul, Nasha ; Seneviratne, Dulani.
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  145. Monetary Policy Transmission in Emerging Asia: The Role of Banks and the Effects of Financial Globalization. (2015). Seneviratne, Dulani ; Ananchotikul, Nasha.
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  146. Monetary policy, excessive risk-taking and banking crisis. (2015). Zaghdoudi, Taha.
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  147. The bank lending channel: An empirical analysis of EU accession countries from 2004-2013. (2015). Khosravi, Taha.
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  148. Does monetary policy affect lending? Evidence from some panel data. (2015). Pea, Guillermo.
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  149. Home-Host Banking Issues and Non-Core Funding—Evidence from Central and Eastern Europe. (2015). Babin, Adrian .
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  150. Monetary Conditions and Banks’ Behaviour in the Czech Republic. (2015). Peydro, Jose-Luis ; Ongena, Steven ; Kowalczyk, Dorota ; Jakubík, Petr ; Gersl, Adam ; Gerl, Adam.
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  151. Will Macroprudential Policy Counteract Monetary Policy’s Effects on Financial Stability?. (2015). Demertzis, Maria ; Agur, Itai.
    In: IMF Working Papers.
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  152. Monetary Policy Transmission in Emerging Asia; The Role of Banks and the Effects of Financial Globalization. (2015). Seneviratne, Dulani ; Ananchotikul, Nasha.
    In: IMF Working Papers.
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  153. Bank risks, monetary shocks and the credit channel in Brazil: Identification and evidence from panel data. (2015). Ramos-Tallada, Julio.
    In: Journal of International Money and Finance.
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  154. Risk aversion and monetary policy in a global context. (2015). Nave, Juan M ; Ruiz, Javier .
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  155. An analysis of involuntary excess reserves, monetary policy and risk-taking behaviour of Chinese Banks. (2015). Nguyen, Thai ; Boateng, Agyenim ; Nguyen, Vu Hong Thai, .
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  156. Assessing optimal credit growth for an emerging banking system. (2015). Moinescu, Bogdan-Gabriel ; Jakubík, Petr ; Jakubik, Petr .
    In: Economic Systems.
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  157. Policy interest rate, loan portfolio management and bank liquidity. (2015). giulioni, gianfranco.
    In: The North American Journal of Economics and Finance.
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  158. Riesgo de crédito y la transmisión de la política monetaria en Colombia. (2015). Zarate-Solano, Hector ; López, Enrique ; Enciso, Enrique Lopez ; Galarza, Fernando Tenjo .
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  159. Monetary and Macroprudential Policies: Empirical Evidences from Panel-VAR. (2015). Divino, Jose Angelo ; da Silva, Fernando .
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  160. the coherence and the predictive content of the French Bank Lending Survey’s indicators (in French). (2015). LEVIEUGE, Gregory.
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  161. Bank risks, monetary shocks and the credit channel in Brazil: identification and evidence from panel data.. (2015). Ramos-Tallada, Julio.
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  162. Riesgo de crédito y la transmisión de la política monetaria en Colombia. (2015). Zarate-Solano, Hector ; López, Enrique ; Galarza, Fernando Tenjo ; Enciso, Enrique Lopez.
    In: Borradores de Economia.
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  163. Investment funds? vulnerabilities: A tail-risk dynamic CIMDO approach. (2015). Nadal De Simone, Francisco ; Jin, Xisong.
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  164. Effects of Funding Portfolios on the Credit Supply of Canadian Banks. (2015). Terajima, Yaz ; Damar, Evren ; Meh, Cesaire.
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  165. LOW INTEREST RATES AND BANK RISK-TAKING: HAS THE CRISIS CHANGED ANYTHING? EVIDENCE FROM THE EUROZONE. (2015). AndrieÈ™, Alin Marius ; Cocris, Vasile ; Plescau, Ioana .
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  166. Hazardous times for monetary policy: what do twenty-three million bank loans say about the effects of monetary policy on credit risk-taking?. (2014). Saurina, Jesus ; Peydro, Jose-Luis ; Ongena, Steven ; Jimenez, Gabriel.
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  167. Hazardous Times for Monetary Policy: What Do Twenty‐Three Million Bank Loans Say About the Effects of Monetary Policy on Credit Risk‐Taking?. (2014). Saurina, Jesús ; Peydro, Jose-Luis ; Ongena, Steven ; Jimenez, Gabriel.
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  168. THE IMMINENT HOUSING COLLAPSE - WILL HISTORY REPEAT ITSELF?. (2014). CHAN, Ho Sum ; LAI, Ping-fu .
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  169. Bank Systemic Risk-Taking and Loan Pricing : Evidence from Syndicated Loans. (2014). Gong, Di.
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  170. Bank Systemic Risk-Taking and Loan Pricing : Evidence from Syndicated Loans. (2014). Gong, Di.
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  171. Bank Systemic Risk-Taking and Loan Pricing : Evidence from Syndicated Loans. (2014). Gong, Di.
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  172. Can Low Interest Rates be Harmful: An Assessment of the Bank Risk-Taking Channel in Asia. (2014). Ramayandi, Arief ; Tang, Hsiao Chink ; Rawat, Umang .
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  173. Bank Lending Dynamics in Bulgaria. (2014). Peshev, Petar.
    In: Economic Alternatives.
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  174. The Effects of Unconventional Monetary Policies on Bank Soundness. (2014). Ueda, Kenichi ; Lambert, Frederic.
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  175. Monetary Policy, Financial Conditions, and Financial Stability. (2014). Adrian, Tobias ; Liang, Nellie.
    In: IMES Discussion Paper Series.
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  176. Monetary policy effects on bank risk taking. (2014). Thaler, Dominik ; Abbate, Angela.
    In: Economics Working Papers.
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  177. Sovereign risk and the bank lending channel in Europe. (2014). Torre-Olmo, Begoa ; Sanfilippo-Azofra, Sergio ; Cantero-Saiz, Maria ; Lopez-Gutierrez, Carlos.
    In: Journal of International Money and Finance.
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  178. Real interest rates, leverage, and bank risk-taking. (2014). Marquez, Robert ; Laeven, Luc ; Dellariccia, Giovanni.
    In: Journal of Economic Theory.
    RePEc:eee:jetheo:v:149:y:2014:i:c:p:65-99.

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  179. Bank procyclicality and output: Issues and policies. (2014). Delis, Manthos ; Athanasoglou, Panayiotis ; Daniilidis, Ioannis .
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:72:y:2014:i:c:p:58-83.

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  180. Anxious periods and bank lending. (2014). Tsoumas, Chris ; Kouretas, Georgios ; Delis, Manthos.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:38:y:2014:i:c:p:1-13.

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  181. Does business regulation matter for banks in the European Union?. (2014). mamatzakis, emmanuel ; Kalyvas, Antonios.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:32:y:2014:i:c:p:278-324.

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  182. Competition and the bank lending channel in Eurozone. (2014). Leroy, Aurélien.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:31:y:2014:i:c:p:296-314.

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  183. The cost of deviating from the optimal monetary policy: A panel VAR analysis. (2014). Guerello, Chiara.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:15:y:2014:i:c:p:210-229.

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  184. International diversification and risk of multinational banks: Evidence from the pre-crisis period. (2014). Pozzolo, Alberto ; Gulamhussen, M. A. ; Pinheiro, Carlos .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:13:y:2014:i:c:p:30-43.

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  185. The effect of monetary policy interventions on interbank markets, equity indices and G-SIFIs during financial crisis. (2014). Fiordelisi, Franco ; Ricci, Ornella ; Galloppo, Giuseppe.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:11:y:2014:i:c:p:49-61.

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  186. Monetary policy and credit cycles: A DSGE analysis. (2014). Popescu, Alexandra ; Badarau, Cristina.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:42:y:2014:i:c:p:301-312.

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  187. Risk-taking channel, bank lending channel and the “paradox of credibility”. (2014). Montes, Gabriel ; Peixoto, Gabriel Barros Tavares, .
    In: Economic Modelling.
    RePEc:eee:ecmode:v:39:y:2014:i:c:p:82-94.

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  188. Monetary policy, bank leverage, and financial stability. (2014). Valencia, Fabian.
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:47:y:2014:i:c:p:20-38.

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  189. In search for yield? Survey-based evidence on bank risk taking. (2014). Prieto, Esteban ; Eickmeier, Sandra ; Buch, Claudia.
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:43:y:2014:i:c:p:12-30.

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  190. The effectiveness of non-standard monetary policy in addressing liquidity risk during the financial crisis: The experiences of the Federal Reserve and the European Central Bank. (2014). Eisenschmidt, Jens ; Demiralp, Selva ; Carpenter, Seth .
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:43:y:2014:i:c:p:107-129.

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  191. How does credit supply respond to monetary policy and bank minimum capital requirements?. (2014). Wieladek, Tomasz ; Calomiris, Charles ; Aiyar, Shekhar.
    In: Bank of England working papers.
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  192. Monetary policy and financial stability: what role in prevention and recovery?. (2014). BORIO, Claudio.
    In: BIS Working Papers.
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  193. Simple banking: profitability and the yield curve. (2014). Nelson, Benjamin ; Alessandri, Piergiorgio.
    In: Temi di discussione (Economic working papers).
    RePEc:bdi:wptemi:td_945_14.

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  194. Credit dynamics in Central and Eastern Europe. (2014). Peshev, Petar.
    In: Economic Thought journal.
    RePEc:bas:econth:y:2014:i:2:p:37-58,59-79.

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  195. The light and dark side of TARP. (2013). Uhde, Andre ; Michalak, Tobias C. ; Farruggio, Christian .
    In: Annual Conference 2013 (Duesseldorf): Competition Policy and Regulation in a Global Economic Order.
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  196. LOST IN TRANSMISSION? THE EFFECTIVENESS OF MONETARY POLICY TRANSMISSION CHANNELS IN THE GCC COUNTRIES. (2013). Cevik, Serhan ; Teksoz, Katerina .
    In: Middle East Development Journal (MEDJ).
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  197. FORECASTING INFLATION WITH A FINANCIAL CONDITIONS INDEX: THE CASE OF SINGAPORE. (2013). Chow, Hwee Kwan.
    In: Annals of Financial Economics (AFE).
    RePEc:wsi:afexxx:v:08:y:2013:i:02:n:s2010495213500097.

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  198. The effect of banking market structure on the lending channel: Evidence from emerging markets. (2013). Wolfe, Simon ; Amidu, Mohammed.
    In: Review of Financial Economics.
    RePEc:wly:revfec:v:22:y:2013:i:4:p:146-157.

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  199. Bank liquidity risk and monetary policy. Empirical evidence on the impact of Basel III liquidity standards. (2013). Schumacher, Ingmar ; Giordana, Gastón.
    In: International Review of Applied Economics.
    RePEc:taf:irapec:v:27:y:2013:i:5:p:633-655.

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  200. Equilibrium risk shifting and interest rate in an opaque financial system. (2013). Ragot, Xavier ; Mojon, Benoit ; Challe, Edouard.
    In: Sciences Po publications.
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  201. Decizii strategice ale politicii monetare. (2013). Stefanescu, Razvan ; DUMITRIU, Ramona.
    In: MPRA Paper.
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  202. Bank procyclicality and output: Issues and policies. (2013). Delis, Manthos ; Athanasoglou, Panayiotis ; Ioannis, Daniilidis ; Manthos, Delis .
    In: MPRA Paper.
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  203. Effects of culture on firm risk-taking: a cross-country and cross-industry analysis. (2013). Mihet, Roxana.
    In: Journal of Cultural Economics.
    RePEc:kap:jculte:v:37:y:2013:i:1:p:109-151.

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  204. Loan growth and bank risk: new evidence. (2013). Murcia, Andrés ; Gomez-Gonzalez, Jose ; Amador Torres, Juan.
    In: Financial Markets and Portfolio Management.
    RePEc:kap:fmktpm:v:27:y:2013:i:4:p:365-379.

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  205. Bank Leverage and Monetary Policys Risk-Taking Channel; Evidence from the United States. (2013). Laeven, Luc ; Suarez, Gustavo ; Dell'Ariccia, Giovanni.
    In: IMF Working Papers.
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  206. International Evidence on Government Support and Risk Taking in the Banking Sector. (2013). Brandao Marques, Luis ; Correa, Ricardo ; Sapriza, Horacio.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2013/094.

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  207. Leaning Against the Wind and the Timing of Monetary Policy. (2013). Demertzis, Maria ; Agur, Itai.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2013/086.

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  208. Wholesale Bank Funding, Capital Requirements and Credit Rationing. (2013). Agur, Itai.
    In: IMF Working Papers.
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  209. Equilibrium risk shifting and interest rate in an opaque financial system. (2013). Ragot, Xavier ; Mojon, Benoit ; Challe, Edouard.
    In: PSE-Ecole d'économie de Paris (Postprint).
    RePEc:hal:pseptp:halshs-00944916.

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  210. Equilibrium risk shifting and interest rate in an opaque financial system. (2013). Ragot, Xavier ; Mojon, Benoit ; Challe, Edouard.
    In: PSE - Labex OSE-Ouvrir la Science Economique.
    RePEc:hal:pseose:halshs-00944916.

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  211. Equilibrium risk shifting and interest rate in an opaque financial system. (2013). Ragot, Xavier ; Mojon, Benoit ; Challe, Edouard.
    In: Post-Print.
    RePEc:hal:journl:halshs-00944916.

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  212. International evidence on government support and risk taking in the banking sector. (2013). Sapriza, Horacio ; Brandao Marques, Luis ; Correa, Ricardo ; Brandao-Marques, Luis.
    In: International Finance Discussion Papers.
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  213. Financial Stability and Monetary Policy - The case of Brazil. (2013). Tabak, Benjamin.
    In: Revista Brasileira de Economia - RBE.
    RePEc:fgv:epgrbe:v:67:y:2013:i:4:a:11849.

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  214. Financial Stability and Monetary Policy - The case of Brazil. (2013). Tabak, Benjamin Miranda.
    In: Revista Brasileira de Economia - RBE.
    RePEc:fgv:epgrbe:v:67:n:4:a:2.

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  215. Macroprudential, Microprudential and Monetary Policies: Policies, Complementarities and Trade-Offs. (2013). Visco, Ignazio ; Nicoletti-Altimari, Sergio ; Angelini, Paolo .
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  216. The effect of banking market structure on the lending channel: Evidence from emerging markets. (2013). Amidu, Mohammed ; Wolfe, Simon.
    In: Review of Financial Economics.
    RePEc:eee:revfin:v:22:y:2013:i:4:p:146-157.

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  217. Risk, uncertainty and monetary policy. (2013). Lo Duca, Marco ; Hoerova, Marie ; Bekaert, Geert.
    In: Journal of Monetary Economics.
    RePEc:eee:moneco:v:60:y:2013:i:7:p:771-788.

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  218. Capital regulation and monetary policy with fragile banks. (2013). Faia, Ester ; Angeloni, Ignazio.
    In: Journal of Monetary Economics.
    RePEc:eee:moneco:v:60:y:2013:i:3:p:311-324.

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  219. “Leaning against the wind” and the timing of monetary policy. (2013). Demertzis, Maria ; Agur, Itai.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:35:y:2013:i:c:p:179-194.

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  220. The light and dark side of TARP. (2013). Uhde, Andre ; Michalak, Tobias C. ; Farruggio, Christian .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:7:p:2586-2604.

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  221. The impact of excess reserves beyond precautionary levels on Bank Lending Channels in China. (2013). Nguyen, Thai ; Boateng, Agyenim ; Nguyen, Vu Hong Thai, .
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:26:y:2013:i:c:p:358-377.

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  222. Multiple bank regulators and risk taking. (2013). Agur, Itai.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:3:p:259-268.

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  223. Wholesale bank funding, capital requirements and credit rationing. (2013). Agur, Itai.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:1:p:38-45.

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  224. Securitization and systemic risk: An empirical investigation on Italian banks over the financial crisis. (2013). Gallo, Angela ; Battaglia, Francesca .
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:30:y:2013:i:c:p:274-286.

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  225. Equilibrium risk shifting and interest rate in an opaque financial system. (2013). Ragot, Xavier ; Mojon, Benoit ; Challe, Edouard.
    In: European Economic Review.
    RePEc:eee:eecrev:v:63:y:2013:i:c:p:117-133.

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  226. Risk, uncertainty and monetary policy. (2013). Lo Duca, Marco ; Hoerova, Marie ; Bekaert, Geert.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20131565.

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  227. Asset Allocation and Monetary Policy: Evidence from the Eurozone. (2013). Hau, Harald ; Lai, Sandy .
    In: CEPR Discussion Papers.
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  228. Credit Cycles, Credit Risk and Countercyclical Loan Provisions. (2013). Zarate-Solano, Hector ; López, Martha ; Galarza, Fernando Tenjo ; Lopez, Martha .
    In: BORRADORES DE ECONOMIA.
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  229. Bank Lending, Risk Taking, and the Transmission of Monetary Policy: New Evidence for Colombia. (2013). Reyes, Nidia ; Ojeda-Joya, Jair ; Gomez-Gonzalez, Jose ; Jose Eduardo Gomez G., .
    In: BORRADORES DE ECONOMIA.
    RePEc:col:000094:010970.

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  230. Bank Lending, Risk Taking, and the Transmission of Monetary Policy: New Evidence for Colombia. (2013). Joya, Jair Ojeda .
    In: BORRADORES DE ECONOMIA.
    RePEc:col:000094:010860.

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  231. Loans Growth and Banks´ Risk: New Evidence. (2013). Murcia, Andrés ; Gomez-Gonzalez, Jose ; Amador Torres, Juan ; Pabon, Andres Murcia ; Juan Sebastian Amador Torres, ; Jose Eduardo Gomez G., .
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  232. Macro-Prudential Policy and the Conduct of Monetary Policy. (2013). Mojon, Benoit ; CLERC, Laurent ; Cahn, Christophe ; Beau, Denis .
    In: Working Papers Central Bank of Chile.
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  233. Credit Cycles, Credit Risk and Countercyclical Loan Provisions. (2013). Zarate-Solano, Hector ; López, Martha ; Tenjo, Fernando ; Lopez, Martha .
    In: Borradores de Economia.
    RePEc:bdr:borrec:788.

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  234. Bank Lending, Risk Taking, and the Transmission of Monetary Policy: New Evidence for Colombia. (2013). Reyes, Nidia ; Ojeda-Joya, Jair ; Gomez-Gonzalez, Jose ; Jose Eduardo Gomez G., .
    In: Borradores de Economia.
    RePEc:bdr:borrec:772.

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  235. Monetary policy, interest rates and risk-taking. (2012). Claussen, Carl Andreas ; Apel, Mikael .
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  236. International Evidence on Government Support and Risk-Taking in the Banking Sector. (2012). Brandao Marques, Luis ; Correa, Ricardo ; Sapriza, H ; Brandao-Marques, L.
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  237. Housing Bubbles and Interest Rates. (2012). Jokipii, Terhi ; Hott, Christian.
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  238. Politique monétaire, choix de portefeuille du secteur bancaire et canal de la prise de risque. (2012). huchet, nicolas ; gauvin, marie-sophie ; Gilles, Philippe.
    In: L'Actualité Economique.
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  239. Politique monétaire, choix de portefeuille du secteur bancaire et canal de la prise de risque. (2012). huchet, nicolas ; gauvin, marie-sophie ; Gilles, Philippe.
    In: L'Actualité Economique.
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  240. The Relevance of Haavelmos Macroeconomic Theorizing for Contemporary Macro Policy Making. (2012). chand, sheetal.
    In: Nordic Journal of Political Economy.
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  241. Risk, uncertainty and monetary policy. (2012). Lo Duca, Marco ; Hoerova, Marie ; Bekaert, Geert.
    In: Working Paper Research.
    RePEc:nbb:reswpp:201210-229.

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  242. Were multinational banks taking excessive risks before the recent financial crisis?. (2012). Pozzolo, Alberto ; Pinheiro, Carlos ; Gulamhussen, Mohamed Azzim .
    In: Economics & Statistics Discussion Papers.
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  243. An Empirical Analysis of the Risk Taking Channel of Monetary Policy in Turkey. (2012). Ozsuca, Ekin Ayse ; Akbostanci, Elif.
    In: ERC Working Papers.
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  244. Were multinational banks taking excessive risks before the recent financial crisis?. (2012). Pozzolo, Alberto ; Azzim, Luis Mohamed ; Pinheiro, Carlos .
    In: Working Papers CASMEF.
    RePEc:lui:casmef:1209.

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  245. Monetary Policy and Credit Cycles: A DSGE Analysis. (2012). Popescu, Alexandra ; Badarau-Semenescu, Cristina .
    In: LEO Working Papers / DR LEO.
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  246. Lost in Transmission? The Effectiveness of Monetary Policy Transmission Channels in the GCC Countries. (2012). Cevik, Serhan ; Teksoz, Katerina.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2012/191.

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  247. Monetary Policy and Credit Cycles: A DSGE Analysis. (2012). Badarau, Cristina ; Popescu, Alexandra.
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  248. Foreign banks, corporate strategy and financial stability: lessons from the river plate. (2012). Winograd, Carlos.
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  249. Equilibrium Risk Shifting and Interest Rate in an Opaque Financial System. (2012). Ragot, Xavier ; Challe, Edouard ; Monjon, Benoit .
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  250. Foreign banks, corporate strategy and financial stability: lessons from the river plate. (2012). Winograd, Carlos ; Brei, Michael.
    In: PSE Working Papers.
    RePEc:hal:psewpa:halshs-00703738.

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  251. Equilibrium Risk Shifting and Interest Rate in an Opaque Financial System. (2012). Monjon, Benoit ; Ragot, Xavier ; Challe, Edouard.
    In: PSE Working Papers.
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  252. Time-Varying Betas of Banking Sectors. (2012). Jánský, Ivo ; Benecká, Soňa ; Adam, Tomas ; Benecka, Sona ; Jansky, Ivo .
    In: Czech Journal of Economics and Finance (Finance a uver).
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  253. Monetary policy and bank lending to small firms. (2012). Kandrac, John.
    In: Journal of Macroeconomics.
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  254. Capital regulation, risk-taking and monetary policy: A missing link in the transmission mechanism?. (2012). BORIO, Claudio ; Zhu, Haibin .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:8:y:2012:i:4:p:236-251.

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  255. Financial liberalization, financial fragility and economic growth in Sub-Saharan Africa. (2012). Nyamongo, Esman Morekwa ; Misati, Roseline Nyakerario .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:8:y:2012:i:3:p:150-160.

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  256. The quest for growth: The impact of bank strategy on interest margins. (2012). de Vries-van Ewijk, Saskia ; Arnold, Ivo ; Arnold, Ivo J. M., .
    In: International Review of Financial Analysis.
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  257. The 2007–2008 financial crisis: Is there evidence of disaster myopia?. (2012). Cornand, Camille ; Gimet, Celine.
    In: Emerging Markets Review.
    RePEc:eee:ememar:v:13:y:2012:i:3:p:301-315.

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  258. Do bank characteristics influence the effect of monetary policy on bank risk?. (2012). Marques-Ibanez, David ; Gambacorta, Leonardo ; Altunbas, Yener.
    In: Economics Letters.
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  259. Excessive bank risk taking and monetary policy. (2012). Demertzis, Maria ; Agur, Itai.
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  260. Do bank characteristics influence the effect of monetary policy on bank risk?. (2012). Marques-Ibanez, David ; Gambacorta, Leonardo ; Altunbas, Yener.
    In: Working Paper Series.
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  261. Do bank characteristics influence the effect of monetary policy on bank risk?. (2012). Marques-Ibanez, David ; Gambacorta, Leonardo.
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  262. Shadow banking in the Euro area: an overview. (2012). Recine, Fabio ; Giron, Celestino ; Borgioli, Stefano ; Bakk-Simon, Klara ; Hempell, Hannah S ; Rosati, Simonetta ; Maddaloni, Angela.
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  263. Shadow banking in the Euro area: an overview. (2012). Maddaloni, Angela ; Borgioli, Stefano ; Rosati, Simonetta ; Bakk-Simon, Klara ; Hempell, Hannah Sabine ; Recine, Fabio ; Giron, Celestino.
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  264. Were Multinational Banks Taking Excessive Risks Before the Recent Financial Crisis?. (2012). Pozzolo, Alberto ; Gulamhussen, Mohamed Azzim ; Pinheiro, Carlos .
    In: Development Working Papers.
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    RePEc:eee:finsta:v:10:y:2014:i:c:p:32-49.

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  28. Shocks to Bank Lending, Risk-Taking, Securitization, and their Role for U.S. Business Cycle Fluctuations. (2014). Wagner, Wolf ; Peersman, Gert.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_4701.

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  29. The Economics of Securitization: Evidence from the European Markets. (2014). Pinto, João.
    In: Working Papers de Economia (Economics Working Papers).
    RePEc:cap:wpaper:022014.

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  30. Securitisation and banking risk: What do we know so far?. (2014). Kara, Alper ; Altunbas, Yener ; Ozkan, Aydin.
    In: Working Papers.
    RePEc:bng:wpaper:14006.

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  31. The connection between Wall Street and Main Street : measurement and implications for monetary policy. (2013). Stevanovic, Dalibor ; Eden, Maya ; Barattieri, Alessandro.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:6667.

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  32. The Connection between Wall Street and Main Street: Measurement and Implications for Monetary Policy. (2013). Stevanovic, Dalibor ; Eden, Maya ; Barattieri, Alessandro.
    In: Cahiers de recherche.
    RePEc:lvl:lacicr:1331.

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  33. The real effects of banking shocks: Evidence from OECD countries. (2013). Levintal, Oren.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:32:y:2013:i:c:p:556-578.

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  34. Cross-country effects of regulatory capital arbitrage. (2013). Milcheva, Stanimira.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:12:p:5329-5345.

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  35. The impact of excess reserves beyond precautionary levels on Bank Lending Channels in China. (2013). Nguyen, Thai ; Boateng, Agyenim ; Nguyen, Vu Hong Thai, .
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:26:y:2013:i:c:p:358-377.

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  36. Public bank lending in times of crisis. (2013). Schclarek, Alfredo ; Brei, Michael.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:4:p:820-830.

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  37. Off-balance sheet exposures and banking crises in OECD countries. (2013). Liadze, Iana ; Karim, Dilruba ; Davis, E ; Barrell, Ray.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:9:y:2013:i:4:p:673-681.

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  38. The Connection between Wall Street and Main Street: Measurement and Implications for Monetary Policy. (2013). Stevanovic, Dalibor ; Eden, Maya ; Barattieri, Alessandro.
    In: CIRANO Working Papers.
    RePEc:cir:cirwor:2013s-31.

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  39. The Bank Lending Channel and Monetary Policy Rules for European Banks: Further Extensions. (2012). Miller, Stephen ; Apergis, Nicholas ; Alevizopoulou, Effrosyni .
    In: Working papers.
    RePEc:uct:uconnp:2012-10.

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  40. The Bank Lending Channel and Monetary Policy Rules for European Banks: Further Extensions. (2012). Miller, Stephen ; Apergis, Nicholas ; Alevizopoulou, Effrosyni .
    In: Working Papers.
    RePEc:nlv:wpaper:1204.

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  41. PASSAGE OBLIGATOIRE AUX NORMES COMPTABLES IAS/IFRS, CONTRAINTES EN LIQUIDITE ET RATIONNEMENT DU CREDIT : UNE ETUDE EMPIRIQUE DANS LINDUSTRIE BANCAIRE EUROPENNE. (2012). Alexandre, Hervé ; Clavier, Julien .
    In: Post-Print.
    RePEc:hal:journl:hal-00936624.

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  42. Credit risk securitization and bank soundness in Europe. (2012). Uhde, Andre ; Michalak, Tobias C..
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:52:y:2012:i:3:p:272-285.

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  43. Credit risk transfer in U.S. commercial banks: What changed during the 2007–2009 crisis?. (2012). Bruno, Brunella ; Bedendo, Mascia.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:12:p:3260-3273.

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  44. Monetary policy, financial intermediation, current account and housing market - how do they fit together?. (2012). Milcheva, Stanimira.
    In: ERES.
    RePEc:arz:wpaper:eres2012_151.

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  45. Industry Effects of Bank Lending in Germany. (2011). Raabe, Katharina ; Kool, Clemens ; Arnold, Ivo.
    In: Working Papers.
    RePEc:use:tkiwps:1121.

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  46. Securitization and Lending Standards : Evidence from the Wholesale Loan Market. (2011). Ongena, Steven ; Marques-Ibanez, David ; Kara, Alper.
    In: Discussion Paper.
    RePEc:tiu:tiucen:d82c3ad1-2bb3-4108-80cd-0ce43bb2ed9a.

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  47. Securitization and the balance sheet channel of monetary transmission. (2011). Hepp, Ralf ; Aysun, Uluc.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:35:y:2011:i:8:p:2111-2122.

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  48. Securitization and lending standards: evidence from the wholesale loan market. (2011). Ongena, Steven ; Marques-Ibanez, David ; Kara, Alper ; Marques-Ibaez, David .
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20111362.

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  49. Bank risk and monetary policy. (2010). Marques-Ibanez, David ; Gambacorta, Leonardo ; Altunbas, Yener.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:6:y:2010:i:3:p:121-129.

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  50. The impact of supply constraints on bank lending in the euro area - crisis induced crunching?. (2010). Kok, Christoffer ; Sorensen, Christoffer Kok ; Hempell, Hannah Sabine .
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20101262.

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