28 documents matched the search for the 2020-08-10 issue of the NEP report on Banking (nep-ban), currently edited by Sergio Castellanos-Gamboa.
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11121
Welfare analysis of bank merger with financial instability, Akio Ino and Yusuke Matsuki,
from Tokyo Center for Economic Research
(2020)
Bank capital regulation in a zero interest environment, Robin Döttling,
from European Central Bank
(2020)
Keywords: capital regulation, franchise value, search for yield, unconventional monetary policy, zero lower bound
Does Excess Bank Liquidity Impact Non-Performing Loan? A Study on Bangladeshi Economy, Md. Khaled Amir,
from University Library of Munich, Germany
(2019)
Keywords: Bank Liquidity, Bank Run, Inflation, Investment, OLS, Interest Rates, Loanable Funds.
The Banking View of Bond Risk Premia, David Sraer and Valentin Haddad,
from C.E.P.R. Discussion Papers
(2019)
Optimal Forbearance of Bank Resolution, Linda Schilling,
from C.E.P.R. Discussion Papers
(2019)
Keywords: Bank resolution; Deposit insurance; Global games; Suspension of convertibility; Bank run; Mandatory stay; Forbearance; Deposit freeze; Recovery rates
The Risk-Taking Channel in the US: A GVAR Approach, Raslan Alzuabi, Mustafa Caglayan and Kostas Mouratidis,
from University Library of Munich, Germany
(2020)
Keywords: Risk-taking channel: GVAR: Monetary policy shocks; Spillover effects; Impulse response analysis
Identifying indicators of systemic risk, Benny Hartwig, Christoph Meinerding and Yves Schüler,
from Deutsche Bundesbank
(2020)
Keywords: systemic risk, macroprudential regulation, forecasting, growth-at-risk, financial cycles
Global banks' dollar funding needs and central bank swap lines, Iñaki Aldasoro, Torsten Ehlers, Patrick McGuire and Goetz von Peter,
from Bank for International Settlements
(2020)
Has regulatory capital made banks safer? Skin in the game vs moral hazard, Ernest Dautović,
from European Central Bank
(2020)
Keywords: capital requirements, difference-in-difference, impact evaluation, macroprudential policy, risk-taking
A Theory of Participation in OTC and Centralized Markets, Pierre-Olivier Weill, Jérôme Dugast and Semih Üslü,
from C.E.P.R. Discussion Papers
(2019)
Production and financial networks in interplay: Crisis evidence from supplier-customer and credit registers, Kenan Huremović, Gabriel Jimenez, Enrique Moral-Benito, Fernando Vega-Redondo and Jose-Luis Peydro,
from ZBW - Leibniz Information Centre for Economics
(2020)
Keywords: networks, supply chains, shock propagation, credit supply, real effects of finance
Are Loans Cheaper when Tomorrow seems Further ?, Christophe Godlewski and Laurent Weill,
from HAL
(2020)
Keywords: language,bank,loans
Cash Use Across Countries and the Demand for Central Bank Digital Currency, Tanai Khiaonarong and David Humphrey,
from International Monetary Fund
(2019)
Keywords: WP;cash use;payment instrument;cash share forecast;cash substitute;cash payment; cash forecasting; central bank digital currency; use data; Currencies; Payment systems; Central Bank digital currencies; Bank deposits; Digital currencies; Europe
How Effective is Macroprudential Policy? Evidence from Lending Restriction Measures in EU Countries, Tigran Poghosyan,
from International Monetary Fund
(2019)
Keywords: WP; macroprudential regulation; financial stability; credit; house prices; monetary policy rate; restriction measure; target variable; house price growth; lending restriction measure; number of observation; property price growth; credit growth; Housing prices; Central bank policy rate; Macroprudential policy instruments; Foreign banks; Global
Digging Deeper--Evidence on the Effects of Macroprudential Policies from a New Database, Zohair Alam, Adrian Alter, Jesse Eiseman, R. Gaston Gelos, Heedon Kang, Machiko Narita, Erlend Nier and Naixi Wang,
from International Monetary Fund
(2019)
Keywords: WP;LTV limit;credit growth;household credit;limit series;limit data;LTV adjustment;LTV cap
Costs of Sovereign Defaults: Restructuring Strategies, Bank Distress and the Capital Inflow-Credit Channel, Tamon Asonuma, Marcos Chamon, Aitor Erce and Akira Sasahara,
from International Monetary Fund
(2019)
Keywords: WP;net capital;growth rate;banking sector; Sovereign Debt; Sovereign Defaults; Sovereign Debt Restructurings; GDP Growth; Investment; Banking Crisis; Local Projection; debt restructuring; net capital capital inflow; default restructuring; inflows-to-GDP ratio; Debt restructuring; Capital inflows; Sudden stops; Banking crises; Credit; Global
Capital Flows: The Role of Bank and Nonbank Balance Sheets, Yuko Hashimoto and Signe Krogstrup,
from International Monetary Fund
(2019)
Keywords: WP;capital flow;bank-nonbank interconnectedness;bank share;nonbank investor;portfolio adjustment; foreign exposure; global factor; risk aversion; global financial crisis; forward contract; capital flow management measures; macro prudential policy; risk management behavior; bank credit; nonbank balance sheet exposure; nonbank liability; nonbank risk management behavior; nonbank client; nonbank share; nonbank balance sheets; nonbank risk management practice; Capital flows; Foreign currency exposure; Financial statements; Foreign assets; Nonbank financial institutions; Global; Africa
Conceptual Issues in Calibrating the Basel III Countercyclical Capital Buffer, Torsten Wezel,
from International Monetary Fund
(2019)
Keywords: WP;BCBS gap definition;Basel gap specification;BCBS buffer guide; Macroprudential Policy; Procyclicality; Basel III; credit-to-GDP gap; BCBS calibration; loan loss; credit-to-GDP ratio; Credit gaps; Financial cycles; Housing prices; Credit; Global; Central and Eastern Europe; Eastern Europe
Taming Financial Development to Reduce Crises, Sami Ben Naceur, Bertrand Candelon and Quentin Lajaunie,
from International Monetary Fund
(2019)
Keywords: WP;banking crisis;banking;crisis; Financial Development; Banking crises; Regulation; banking instability; database of leaven; bank crisis predictor; banking crisis variable; banking crisis early warning indicator; banking crisis database; probability of a banking crisis; Financial sector development; Logit models; Systemic crises; Global
On the Essentiality of Credit and Banking at the Friedman Rule, Paola Boel and Christopher Waller,
from Federal Reserve Bank of St. Louis
(2020)
Keywords: Money; Credit; Banking; Heterogeneity; Friedman rule
Heterogeneity in Bank Leverage: the Funding Channels of Complexity, Matthieu Bussiere, Baptiste Meunier and Justine Pedrono,
from Banque de France
(2020)
Keywords: bank, complexity, risk, capital structure, leverage, cost of equity, funding cost, capital requirements.
How Do Markets React to Tighter Bank Capital Requirements?, Cyril Couaillier and Dorian Henricot,
from Banque de France
(2020)
Keywords: Event Studies, Banking, Capital Requirements.
Bank lending in the knowledge economy, Dell’Ariccia, Giovanni, Camelia Minoiu, Lev Ratnovski and Dalida Kadyrzhanova,
from European Central Bank
(2020)
Keywords: bank lending, commercial loans, corporate intangible capital, real estate loans
Systemic Risk: a Network Approach, Jean-Baptiste Hasse,
from Aix-Marseille School of Economics, France
(2020)
Keywords: financial networks, interconnectedness, systemic risk, spillover
Operational Risk Capital, Thomas Conlon, Xing Huan and Steven Ongena,
from Swiss Finance Institute
(2020)
Keywords: Bank Regulation, Basel II, Measurement Approach, Monitoring, Operational Risk
Bank Risk-Taking and Monetary Policy Transmission: Evidence from China, Xiaoming Li, Zheng Liu, Yuchao Peng and Zhiwei Xu,
from Federal Reserve Bank of San Francisco
(2020)
Keywords: risk assessment; Monetary policy - China; risk management; china
The Credit Line Channel, Daniel L. Greenwald, John Krainer and Pascal Paul,
from Federal Reserve Bank of San Francisco
(2020)
Keywords: Credit Lines; Monetary Policy; covid-19; Banks; Firms
Productivity growth in Indian banking: Who did the gains accrue to?, Rajeswari Sengupta and Harsh Vardhan,
from Indira Gandhi Institute of Development Research, Mumbai, India
(2020)
Keywords: Banking sector, Bank productivity, Beneficiaries, Efficiency gains
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