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Regulating the Financial Cycle: An Integrated Approach with a Leverage Ratio. (2015). Wierts, Peter ; Schoenmaker, Dirk.
In: Tinbergen Institute Discussion Papers.
RePEc:tin:wpaper:20150057.

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  1. Profitti, rischi e capital ratios: come sviluppare una vigilanza prudenziale neutrale al risk-appetite delle banche (Profits, risk, and capital ratios: how to design a prudential supervision neutral w. (2020). Esposito, Lorenzo ; Mastromatteo, Giuseppe.
    In: Moneta e Credito.
    RePEc:psl:moneta:2020:22.

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  2. Bank competition and firm credit availability: firm-bank evidence from Europe. (2018). Bozou, Caroline ; Grandi, Pietro.
    In: Working Papers.
    RePEc:hal:wpaper:hal-01897744.

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  3. Investing for the common good: a sustainable finance framework. (2017). Schoenmaker, Dirk.
    In: Essays and Lectures.
    RePEc:bre:esslec:21249.

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  4. Effective Macroprudential Policy; Cross-Sector Substitution from Price and Quantity Measures. (2016). Wierts, Peter ; Houben, Aerdt ; Frost, Jon ; Cizel, Janko.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2016/094.

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  5. Effective macroprudential policy: Cross-sector substitution from price and quantity measures. (2016). Houben, Aerdt ; Frost, Jon ; Wierts, Peter ; Cizel, Janko .
    In: DNB Working Papers.
    RePEc:dnb:dnbwpp:498.

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  6. Regulating the financial cycle: An integrated approach with a leverage ratio. (2015). Wierts, Peter ; Schoenmaker, Dirk.
    In: Economics Letters.
    RePEc:eee:ecolet:v:136:y:2015:i:c:p:70-72.

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References

References cited by this document

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  14. Geanakoplos, J. (2010), The Leverage Cycle, in: D. Acemoglu, K. Rogoff and M. Woodford (eds), NBER Macroeconomic Annual 2009, Vol 24, p. 1-65 Gersbach, H. and V. Hahn (2010), Banking-on-the-average Rules, CEPR Discussion Paper No. 7819, CEPR, London.

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