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Credit protection and lending relationships. (2014). Arping, Stefan.
In: Journal of Financial Stability.
RePEc:eee:finsta:v:10:y:2014:i:c:p:7-19.

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Cited: 31

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Cites: 37

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  2. Credit default swaps and shareholder monitoring. (2024). Xiong, XI ; Si, Fangbo ; Kong, Dongmin ; Gu, Qiankun ; Yu, Xiaoxu.
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  3. The Impact of Macroeconomic Risk Factors, the Adoption of Financial Derivatives on Working Capital Management, and Firm Performance. (2022). san Ong, Tze ; Muhamad, Haslinah ; Reyad, Hossain Mohammad ; Zariyawati, Mohd Ashhari.
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  4. Identifying empty creditors with a shock and micro-data. (2021). Ongena, Steven ; O'Flynn, Kuchulain ; Gunduz, Yalin ; Degryse, Hans.
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  5. Intermediation Variety. (2021). Thakor, Anjan ; Piacentino, Giorgia ; Donaldson, Jason Roderick.
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  6. Do banks still monitor when there is a market for credit protection?. (2019). Shan, Chenyu ; Winton, Andrew ; Tang, Dragon Yongjun.
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  7. Reaction of the credit default swap market to the release of periodic financial reports. (2019). Nasiri, Maryam Akbari ; Mishra, Sagarika ; Narayan, Paresh Kumar.
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  8. Credit default swaps, exacting creditors and corporate liquidity management. (2017). Subrahmanyam, Marti G ; Wang, Sarah Qian ; Tang, Dragon Yongjun.
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  9. Credit Default Swaps, Exacting Creditors and Corporate Liquidity Management. (2016). Tang, Dragon Yongjun ; Wang, Sarah Qian ; Subrahmanyam, Marti G.
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  10. Credit derivatives as a commitment device: Evidence from the cost of corporate debt. (2016). , .
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  11. IMPLICATIONS OF CREDIT RISK TRANSFER ON BANK PERFORMANCES. (2015). Cociug, Victoria ; Postolache, Victoria.
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  12. Synthetic or real? The equilibrium effects of credit default swaps on bond markets. (2015). Zawadowski, Adam ; Oehmke, Martin.
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  13. Credit default swaps and the market for sovereign debt. (2015). Phillips, Blake ; Ismailescu, Iuliana.
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  14. Credit Default Swaps: A Survey. (2014). Tang, Dragon Yongjun ; Wang, Sarah Qian ; Augustin, Patrick ; Subrahmanyam, Marti G..
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  15. Proprietary Trading and the Real Economy. (2013). Arping, Stefan.
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  16. CEO Option Compensation, Risk-Taking Incentives, and Systemic Risk in the Banking Industry. (2013). Song, Frank ; Frank M. Song Author-Workplace-Name: University o, ; Mary L. Z. Ma, ; Li, LI ; Kim, Jeong-Bon.
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  17. Credit Protection and Lending Relationships. (2012). Arping, Stefan.
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  18. Credit Default Swaps and Sovereign Debt with Moral Hazard and Debt Renegotiation. (2012). Sambalaibat, Batchimeg.
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  19. Does the Tail Wag the Dog? The Effect of Credit Default Swaps on Credit Risk. (2012). Tang, Dragon Yongjun ; Wang, Sarah Qian ; Subrahmanyam, Marti G..
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  20. Credit Default Swaps and the Empty Creditor Problem. (2010). Bolton, Patrick ; Oehmke, Martin.
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  21. Credit Derivatives and Sovereign Debt Crises. (2009). Wagner, Wolf ; Goderis, Benedikt.
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  22. Banking fragility and liquidity creation: options as a substitute for deposits. (2009). Wagner, Wolf.
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  23. Bank incentives and optimal CDOs. (2009). Pagès, Henri ; Pages, H..
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  24. Optimal Credit Risk Transfer, Monitored Finance, and Banks. (2008). Chiesa, Gabriella.
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  25. Innovations in credit risk transfer: implications for financial stability. (2008). Duffie, Darrell.
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  26. The liquidity of bank assets and banking stability. (2007). Wagner, Wolf.
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  27. Outside-Director Liability: A Policy Analysis. Comment. (2006). Wambach, Achim.
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  28. Credit risk transfer and financial sector stability. (2006). Wagner, Wolf ; Marsh, Ian.
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  29. The effect of lenders credit risk transfer activities on borrowing firms equity returns. (2006). Marsh, Ian.
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  30. Credit risk transfer and contagion. (2005). Carletti, Elena ; Allen, Franklin.
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  50. OTC Derivatives Market in India: Recent Regulatory Initiatives and Open Issues for Market Stability and Development. (). Arora, Dayanand ; Rathinam, Francis Xavier .
    In: Indian Council for Research on International Economic Relations, New Delhi Working Papers.
    RePEc:ind:icrier:248.

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