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Towards a Macroprudential Framework for Financial Supervision and Regulation?. (2003). BORIO, Claudio.
In: CESifo Economic Studies.
RePEc:oup:cesifo:v:49:y:2003:i:2:p:181-215..

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  1. IRB Asset and Default Correlation: Rationale for the Macroprudential Mark-Ups to the IRB Risk-Weights. (2023). Penikas, Henry.
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  2. Cross border flows, financial intermediation and interactions of policy rules in a small open economy. (2023). Verma, Akhilesh ; Goyal, Ashima.
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  3. The effect of structural risks on financial downturns. (2022). Jank, Jan ; Pfeifer, Luka ; Hodula, Martin.
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  4. Borrower- and lender-based macroprudential policies: What works best against bank systemic risk?. (2022). Apergis, Nicholas ; Aysan, Ahmet F ; Bakkar, Yassine.
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  5. Bank credit risk and macro-prudential policies: Role of counter-cyclical capital buffer. (2022). Sousa, Ricardo ; Mallick, Sushanta K ; Kumar, Abhishek ; Benbouzid, Nadia ; Stojanovic, Aleksandar.
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  6. Capital flows liberalisation and macroprudential policies: The effects on credit cycles in emerging economies. (2022). Nedeljkovic, Milan ; Lazarevic, Jelisaveta ; Kuzman, Tanja .
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  9. How does the interaction of macroprudential and monetary policies affect cross-border bank lending?. (2021). Temesvary, Judit ; Takats, Elod.
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  10. Macroprudential measures and developments in bank funding costs. (2021). Koak, Marko ; Ehaji, Aida.
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  11. Salience, systemic risk and spectral risk measures as capital requirements. (2021). Matyska, Branka.
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  12. Interaction of Cyclical and Structural Systemic Risks: Insights from Around and After the Global Financial Crisis. (2021). Hodula, Martin ; Pfeifer, Lukas ; Janku, Jan.
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  15. 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.
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  16. A Fisherian Approach to Financial Crises: Lessons from the Sudden Stops Literature. (2020). Mendoza, Enrique ; Bianchi, Javier.
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  17. Cross border flows, financial Intermediation and interactions of policy rules in a small open economy model. (2020). Goyal, Ashima ; Verma, Akhilesh K.
    In: Indira Gandhi Institute of Development Research, Mumbai Working Papers.
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  18. Cross-border spillovers of macroprudential policy in the Euro area. (2020). Figuet, Jean-Marc ; Carias, Marcos ; Badarau, Cristina.
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  19. Credit policy and asset price bubbles. (2020). Caraiani, Petre ; Wesselbaum, Dennis ; Luik, Marc-Andre.
    In: Journal of Macroeconomics.
    RePEc:eee:jmacro:v:65:y:2020:i:c:s0164070420301555.

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  20. Monetary policy and systemic risk-taking in the Euro area investment fund industry: A structural factor-augmented vector autoregression analysis. (2020). de Simone, Francisco Nadal ; Jin, Xisong.
    In: Journal of Financial Stability.
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  21. Macroprudential policy and bank systemic risk. (2020). Vander Vennet, Rudi ; Meuleman, Elien.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:47:y:2020:i:c:s1572308920300024.

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  22. Credit creation under multiple banking regulations: The impact of balance sheet diversity on money supply. (2020). Stanley, Eugene H ; Wang, Yougui ; Xing, Xiaoyun.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:91:y:2020:i:c:p:720-735.

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  23. Pattern recognition of financial institutions’ payment behavior. (2020). León, Carlos ; Ortega, Fabio ; Gage, Gerardo ; Acero, Oscar ; Barucca, Paolo ; Leon, Carlos.
    In: Borradores de Economia.
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  24. How does the interaction of macroprudential and monetary policies affect cross-border bank lending?. (2019). Temesvary, Judit ; Takats, Elod.
    In: Finance and Economics Discussion Series.
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  25. The switching impact of financial stability and economic growth in Qatar: Evidence from an oil-rich country. (2019). Barkat, Karim ; Jarallah, Shaif ; Mrabet, Zouhair ; Alsamara, Mouyad ; Al Samara, Mouyad .
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  26. Managing credit booms and busts: A Pigouvian taxation approach. (2019). Korinek, Anton ; Jeanne, Olivier.
    In: Journal of Monetary Economics.
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  27. Identifying Systemically Important Banks: A temporal approach for macroprudential policies. (2019). Kaltwasser, Rovira P ; Pecora, N ; Spelta, A.
    In: Journal of Policy Modeling.
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  28. Systemic financial risk and macroeconomic activity in China. (2019). Qian, Zongxin ; Gan, Jingyun ; Liu, Junyi ; He, Qing.
    In: Journal of Economics and Business.
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  29. A new macro stress testing approach for financial realignment in the Eurozone. (2019). Apergis, Emmanuel.
    In: Journal of International Financial Markets, Institutions and Money.
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  30. Fostering green investments and tackling climate-related financial risks: Which role for macroprudential policies?. (2019). D'Orazio, Paola ; Popoyan, Lilit ; Dorazio, Paola.
    In: Ecological Economics.
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  31. Monetary Policy in the Grip of a Pincer Movement. (2019). Rungcharoenkitkul, Phurichai ; Juselius, Mikael ; Disyatat, Piti ; Borio, Claudio.
    In: Central Banking, Analysis, and Economic Policies Book Series.
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  32. How does the interaction of macroprudential and monetary policies affect cross-border bank lending?. (2019). Temesvary, Judit ; Takats, Elod.
    In: BIS Working Papers.
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  33. The Role of Shadow Banking for Financial Regulation. (2018). Gebauer, Stefan ; Mazelis, Falk.
    In: Annual Conference 2018 (Freiburg, Breisgau): Digital Economy.
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  34. Bank Regulation and Financial Stability. (2018). Bui, Christina.
    In: PhD Thesis.
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  35. Approaching non-performing loans from a macroprudential angle. (2018). Suarez, Javier ; Sánchez Serrano, Antonio.
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  36. Macroeconomic Drivers of Non-Performing Loans: A Meta-Regression Analysis. (2018). Melecky, Ales ; Ulganova, Monika ; MacHaek, Martin.
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  37. Systemic risk in the US: Interconnectedness as a circuit breaker. (2018). Dungey, Mardi ; Veredas, David ; Luciani, Matteo.
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  38. Macroprudential Policy: Promise and Challenges. (2018). Mendoza, Enrique G.
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  39. Would macroprudential regulation have prevented the last crisis?. (2018). Siegert, Caspar ; Bridges, Jonathan ; Aikman, David ; Siergert, Caspar ; Kashyap, Anil.
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  40. Frontiers of macrofinancial linkages. (2018). Claessens, Stijn ; Kose, Ayhan M.
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  41. Bank capital, lending booms, and busts. Evidence from Spain in the last 150 years. (2018). Saurina, Jesús ; estrada, Angel ; Bedayo, Mikel.
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  42. Une Perspective Macroprudentielle Pour La Stabilité Financière. (2017). Pinshi, Christian P.
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  43. Une perspective macroprudentielle pour la stabilité financière. (2017). Paula, Christian Pinshi .
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  44. Une perspective macroprudentielle pour la stabilité financière. (2017). Pinshi, Christian .
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  45. Une perspective macroprudentielle pour la stabilité financière. (2017). Pinshi, Christian .
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  46. Capital regulation and credit fluctuations. (2017). Rochet, Jean ; Gersbach, Hans.
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  47. Credit cycles and capital flows: Effectiveness of the macroprudential policy framework in emerging market economies. (2017). Fendoglu, Salih ; Fendolu, Salih.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:79:y:2017:i:c:p:110-128.

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  48. Re-anchoring countercyclical capital buffers: Bayesian estimates and alternatives focusing on credit growth. (2017). Gonzalez, Rodrigo Barbone ; Gomes, Leonardo Sousa ; Alves, Joaquim Ignacio .
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  49. Is there a competition-stability trade-off in European banking?. (2017). Lucotte, Yannick ; Leroy, Aurélien.
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  50. Macroprudential policy: A review. (2017). Lehar, Alfred ; Kahou, Mahdi Ebrahimi .
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  51. An analysis of the literature on systemic financial risk: A survey. (2017). Silva, Walmir ; Sobreiro, Vinicius Amorim ; Kimura, Herbert.
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  52. The impact of the liquidity coverage ratio on money creation: A stock-flow based dynamic approach. (2017). Li, Boyao ; Wang, Yougui ; Chen, Liujun ; Xiong, Wanting.
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  53. Assessing Systemic Importance With a Fuzzy Logic Inference System. (2016). Murcia, Andrés ; León, Carlos ; Sarlin, Peter ; Machado, Clara ; Leon, Carlos.
    In: Intelligent Systems in Accounting, Finance and Management.
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  54. Macroprudential Policy: Promise and Challenges. (2016). Mendoza, Enrique.
    In: NBER Working Papers.
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  55. Changes in Prudential Policy Instruments — A New Cross-Country Database. (2016). Segalla, Esther ; Correa, Ricardo ; Cerutti, Eugenio ; Fiorentino, Elisabetta.
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  56. Changes in Prudential Policy Instruments ---- A New Cross-Country Database. (2016). Segalla, Esther ; Correa, Ricardo ; Cerutti, Eugenio ; Fiorentino, Elisabetta .
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  57. Evaluating measures of adverse financial conditions. (2016). Oet, Mikhail V ; Sarlin, Peter ; Gramlich, Dieter.
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    RePEc:eee:finsta:v:27:y:2016:i:c:p:234-249.

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  58. The new financial regulation in Basel III and monetary policy: A macroprudential approach. (2016). Rubio, Margarita ; Carrasco-Gallego, José.
    In: Journal of Financial Stability.
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  59. Demystifying the Prudential Carve-out: A proposal. (2016). Trujillo, Samuel .
    In: CONTEXTO (ARTICULOS SOBRE ECONOMÍA).
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  60. Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool. (2015). Tröger, Tobias ; Troger, Tobias H..
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  61. Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool. (2015). Tröger, Tobias ; Troger, Tobias H..
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  62. RECENT DEVELOPMENTS IN THE STRATEGIES OF THE EUROPEAN MONETARY AUTHORITIES. (2015). Lupu, Iulia ; Criste, Adina.
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  63. Optimal Time-Consistent Macroprudential Policy. (2015). Mendoza, Enrique ; Bianchi, Javier.
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  64. Evaluating the Information Value for Measures of Systemic Conditions. (2015). Sarlin, Peter ; Oet, Mikhail ; Dooley, John ; Ong, Stephen J ; Gramlich, Dieter.
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  65. Managing systemic risk in The Netherlands. (2015). Sojli, Elvira ; Tham, Wing Wah ; Liao, Shuyu .
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  66. Financial stability and economic performance. (2015). Labondance, Fabien ; Hubert, Paul ; Creel, Jerome.
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  67. Macro-Prudential Assessment of Colombian Financial Institutions’ Systemic Importance. (2014). Murcia, Andrés ; León, Carlos ; Leon, C. ; Machado, C..
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  68. TOWARDS A MACROPRUDENTIAL POLICY IN THE EU: MAIN ISSUES. (2014). Gualandri, Elisabetta ; Noera, Mario .
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  69. TOWARDS A MACROPRUDENTIAL POLICY IN THE EU: MAIN ISSUES. (2014). Noera, Mario ; Gualandri, Elisabetta.
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  70. Measuring aggregate risk: Can we robustly identify asset-price boom–bust cycles?. (2014). Renne, Jean-Paul ; CLERC, Laurent ; Borgy, Vladimir.
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  73. Macroprudential Policies in a Global Perspective. (2014). Jeanne, Olivier.
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  76. IS ADEQUATE THE METHOD OF LOAN LOSS PROVISIONING? - EVIDENCE FROM ROMANIA. (2013). Gheorghe, Chitan .
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  78. Multivariate dependence of implied volatilities from equity options as measure of systemic risk. (2013). Jobst, Andreas.
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  79. The anatomy of standard DSGE models with financial frictions. (2013). Makarski, Krzysztof ; Kolasa, Marcin ; Brzoza-Brzezina, Michal.
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  81. The Governance of a Fragile Eurozone. (2012). De Grauwe, Paul ; DeGrauwe, Paul.
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  82. Going Regional: How to Deepen ASEANs Financial Markets. (2012). Remolona, Eli ; Gochoco-Bautista, Maria Socorro.
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  83. A Macroprudential Framework for Monitoring and Examining Financial Soundness. (2012). Song, Lei Lei ; Albert, Jose Ramon G., ; Schou-Zibell, Lotte .
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  84. Policies for Macrofinancial Stability; How to Deal with Credit Booms. (2012). Tong, Hui ; Laeven, Luc ; Igan, Deniz ; Dell'ariccia, Giovanni ; Kaufman, Martin David ; Phillips, Steven ; Valds, Rodrigo O. ; Eyzaguirre, Nicolas.
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  85. Revisiting bank profitability: A semi-parametric approach. (2012). Kanas, Angelos ; Eriotis, Nikolaos ; Vasiliou, Dimitrios .
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  86. Capital regulation, risk-taking and monetary policy: A missing link in the transmission mechanism?. (2012). BORIO, Claudio ; Zhu, Haibin .
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  87. Capital Regulation and Credit Fluctuations. (2012). Rochet, Jean ; Gersbach, Hans.
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  88. Financial Systemic Stability: Challenging Aspects of Central Banks. (2012). Sa-nguanpan, Sukrita ; Sabborriboon, Worawut ; Sawangngoenyuang, Wanvimol .
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  89. Anchoring Countercyclical Capital Buffers: The role of Credit Aggregates. (2011). Tsatsaronis, Kostas ; Drehmann, Mathias ; BORIO, Claudio.
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  90. Regulating the Regulators: The Changing Face of Financial Supervision Architectures Before and After the Financial Crisis. (2011). Masciandaro, Donato ; Quintyn, Marc.
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  91. The subprime asset-backed securities market and the equity prices of large complex financial institutions. (2011). Giovanni, Calice .
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