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Monetary policy and the risk-taking channel. (2009). Gambacorta, Leonardo.
In: BIS Quarterly Review.
RePEc:bis:bisqtr:0912f.

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  1. One Monetary Policy and Two Bank Lending Standards: A Tale of Two Europes. (2023). Choi, Sangyup ; Kim, Jiseob ; Jeong, Kimoon.
    In: Working papers.
    RePEc:yon:wpaper:2023rwp-209.

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  2. Climate Risk, Bank Lending and Monetary Policy. (2023). Polo, Andrea ; Boucinha, Miguel ; Pagano, Marco ; Altavilla, Carlo.
    In: CSEF Working Papers.
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  3. Macro-prudential policies to contain the effect of structural risks on financial downturns. (2023). Hodula, Martin ; Jank, Jan ; Pfeifer, Luka.
    In: Journal of Policy Modeling.
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  4. Banks, deposit rigidity and negative rates. (2023). Guille, Marianne ; Grandi, Pietro.
    In: Journal of International Money and Finance.
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  5. Is bank resilience affected by unconventional monetary policy in the Euro area?. (2023). mamatzakis, emmanuel ; Avalos, Fernando.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:130:y:2023:i:c:s0261560622001656.

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  6. .

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  7. Euro area banking and monetary policy shocks in the QE era. (2022). Kabundi, Alain ; de Simone, Francisco Nadal.
    In: Journal of Financial Stability.
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  8. THE RELATION BETWEEN INNOVATIVE POLICY INSTRUMENTS AND SMES RESILIENCE: CONCEPTUAL ANALYSIS. (2022). Ez-Zarzari, Zakaria ; Chati, Adam ; Cheikh, Mohsine Ait ; Msady, Adil.
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  9. Bank risk-taking and impaired monetarypolicy transmission. (2021). Schliephake, Eva ; Koenig, Philipp J.
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  10. Effects of monetary policy and credibility on financial intermediation: evidence from the Brazilian banking sector. (2021). Pereira, Jose Americo ; Montes, Gabriel Caldas ; Araujo, Alexei Ferreira.
    In: Empirical Economics.
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  11. The Joint Impact of Bank Capital and Funding Liquidity on the Monetary Policys Risk-Taking Channel. (2021). de Menna, Bruno.
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  12. Low interest rates and risk incentives for banks with market power. (2021). Xiao, Kairong ; Wu, Yufeng ; Whited, Toni M.
    In: Journal of Monetary Economics.
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  13. Monetary policy and credit flows. (2021). Bianco, Timothy .
    In: Journal of Macroeconomics.
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  14. Unconventional monetary policy and the portfolio choice of international mutual funds. (2021). Elard, Ilaf ; Cenedese, Gino.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:115:y:2021:i:c:s0261560621000061.

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  15. Do negative interest rates affect bank risk-taking?. (2021). Williams, Jonathan ; Reghezza, Alessio ; Santamaria, Riccardo ; Bongiovanni, Alessio.
    In: Journal of Empirical Finance.
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  16. The effect of stimulus policy on lending behavior and bank risk: Evidence from the Chinese banking sector. (2021). Wang, Cong ; Dong, Yan.
    In: Emerging Markets Review.
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  17. What does peer-to-peer lending evidence say about the Risk-Taking Channel of monetary policy?. (2021). Li, Xiang ; Huang, Yiping ; Wang, Chu.
    In: Journal of Corporate Finance.
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  18. Shadow Banking, Bank Liquidity and Monetary Policy Shocks in Emerging Countries: A Panel VAR Approach. (2020). Zhou, Sheunesu.
    In: Journal of Economics and Behavioral Studies.
    RePEc:rnd:arjebs:v:11:y:2020:i:6:p:46-59.

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  19. Austrian banks’ lending risk appetite in times of expansive monetary policy and tightening capital regulation. (2020). Steiner, Katharina ; Kerbl, Stefan.
    In: Financial Stability Report.
    RePEc:onb:oenbfs:y:2020:i:39:b:2.

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  20. Monetary Policy Implementation: Operational Issues for Countries with Evolving Monetary Policy Frameworks. (2020). Mahle, Nils.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2020/026.

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  21. Monetary Policy, Prudential Policy, and Banks Risk-Taking: A Literature Review. (2020). NGAMBOU DJATCHE, Melchisedek Joslem.
    In: GREDEG Working Papers.
    RePEc:gre:wpaper:2020-40.

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  22. Monetary and Prudential Policy Coordination: impact on Banks Risk-Taking. (2020). NGAMBOU DJATCHE, Melchisedek Joslem ; Bruno, Olivier.
    In: GREDEG Working Papers.
    RePEc:gre:wpaper:2020-24.

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  23. Risk-Taking Channel and Its Non-Linearities: The Case of an Emerging Market Economy. (2020). Stanisławska, Ewa ; Łyziak, Tomasz ; Chmielewski, Tomasz.
    In: Czech Journal of Economics and Finance (Finance a uver).
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  24. Globalization in Growing Financial Markets as a Threat to the Financial Security of the Global Economy. (2020). Gebska, Marta ; Redo, Magdalena .
    In: European Research Studies Journal.
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  25. To decrease or not to decrease: The impact of zero and negative interest rates on investment decisions. (2020). Rosenboim, Mosi ; Galil, Koresh ; David-Pur, Lior.
    In: Journal of Behavioral and Experimental Economics (formerly The Journal of Socio-Economics).
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  26. Identifying the risk-Taking channel of monetary transmission and the connection to economic activity. (2020). Segev, Nimrod.
    In: Journal of Banking & Finance.
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  27. Monetary policy and systemic risk-taking in the euro area banking sector. (2020). Kabundi, Alain ; de Simone, Francisco Nadal .
    In: Economic Modelling.
    RePEc:eee:ecmode:v:91:y:2020:i:c:p:736-758.

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  28. Cash Flow at Risk Assessment for the Banking Sector of Georgia. (2020). Mkhatrishvili, Shalva ; Mdivnishvili, Tamar ; Tutberidze, Davit.
    In: NBG Working Papers.
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  29. Cash Flow at Risk Assessment for the Banking Sector of Georgia. (2020). Mkhatrishvili, Shalva ; Tutberidze, Davit ; Mdivnishvili, Tamar.
    In: NBG Working Papers.
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  30. What does peer-to-peer lending evidence say about the risk-taking channel of monetary policy?. (2019). Wang, Chu ; Li, Xiang ; Huang, Yiping.
    In: IWH Discussion Papers.
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  31. The Long-term Rate and Interest Rate Volatility in Monetary Policy Transmission. (2019). Chen, Zhengyang.
    In: EconStor Preprints.
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  32. The transmission of bank capital requirements and monetary policy to bank lending. (2019). Vogel, Ursula ; Imbierowicz, Bjorn ; Loffler, Axel .
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  33. Heterogeneous Households and the Portfolio Rebalancing Channel of Monetary Policy. (2019). Rogers, Ciaran ; Leombroni, Matteo.
    In: 2019 Meeting Papers.
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  34. The Long-term Rate and Interest Rate Volatility in Monetary Policy Transmission. (2019). Chen, Zhengyang.
    In: MPRA Paper.
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  35. Macroprudential Policy in a Monetary Union. (2019). Gambacorta, Leonardo ; Dehmej, Salim.
    In: Comparative Economic Studies.
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  36. (Un)Conventional monetary policy and bank risk-taking: A nonlinear relationship. (2019). Brana, Sophie ; Lapteacru, Ion ; Campmas, Alexandra.
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  37. Negative interest rate, bank profitability and risk-taking. (2019). BOUNGOU, Whelsy.
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  38. Financial intermediation analysis from financial flows. (2019). Rodrigues, Adriano ; Pereira, Jose Americo ; de Moraes, Claudio Oliveira.
    In: Journal of Economic Studies.
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  39. Does monetary policy influence banks’ risk weights under the internal ratings-based approach?. (2019). Malovana, Simona ; Bro, Vaclav ; Kolcunova, Dominika.
    In: Economic Systems.
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  40. Re-exploring the nexus between monetary policy and banks risk-taking. (2019). Ngambou, Melchisedek Joslem.
    In: Economic Modelling.
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  41. (Un)Conventional monetary policy and bank risk-taking: A nonlinear relationship. (2019). Lapteacru, Ion ; Campmas, Alexandra ; Brana, Sophie .
    In: Economic Modelling.
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  42. Monetary policy, macroprudential policy, and financial stability. (2019). Repullo, Rafael ; Martinez-Miera, David.
    In: Working Paper Series.
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  43. What Does Peer-To-Peer Lending Evidence Say about the Risk-Taking Channel of Monetary Policy?. (2019). Wang, Chu ; Li, Xiang ; Huang, Yiping.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_7792.

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  44. What does peer-to-peer lending evidence say about the risk-taking channel of monetary policy?. (2019). Wang, Chu ; Li, Xiang ; Huang, Yiping.
    In: BOFIT Discussion Papers.
    RePEc:bof:bofitp:2019_016.

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  45. Do Negative Interest Rates Affect Bank Risk-Taking?. (2019). Reghezza, Alessio ; Santamaria, Riccardo ; Bongiovanni, Alessio ; Williams, Jonathan.
    In: Working Papers.
    RePEc:bng:wpaper:19012.

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  46. .

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  47. Monetary Policy, Bank Competitiveness and Bank Risk-Taking: Empirical Evidence from Vietnam. (2018). Quyen, Phan Gia ; Thai, Nguyen Tran.
    In: Asian Academy of Management Journal of Accounting and Finance (AAMJAF).
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  48. Shadow Banks and the Risk-Taking Channel of Monetary Policy Transmission in the Euro Area. (2018). Neuenkirch, Matthias ; Wischnewsky, Arina.
    In: Research Papers in Economics.
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  49. Lessons Learned From the Global Recession - Redesigned Framework of Key Macroeconomic Policies. (2018). Trenovski, Borce ; Tashevska, Biljana.
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  50. Macroprudential policy and bank risk. (2018). Gambacorta, Leonardo ; Binici, Mahir ; Altunbas, Yener.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:81:y:2018:i:c:p:203-220.

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  51. Dichotomous stock market reaction to episodes of rules and discretion in the US monetary policy. (2018). MARINESCU, Ion-Iulian ; Lupu, Radu ; Horobet, Alexandra .
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  52. Monetary policy and long-run systemic risk-taking. (2018). LEVIEUGE, Gregory ; Popescu, Alexandra ; Colletaz, Gilbert.
    In: Journal of Economic Dynamics and Control.
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  53. Shadow Banks and the Risk-Taking Channel of Monetary Policy Transmission in the Euro Area. (2018). Neuenkirch, Matthias ; Wischnewsky, Arina.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_7118.

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  54. Unconventional monetary policy and the portfolio choice of international mutual funds. (2018). Cenedese, Gino ; Elard, Ilaf.
    In: Bank of England working papers.
    RePEc:boe:boeewp:0705.

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  55. Euro area unconventional monetary policy and bank resilience. (2018). mamatzakis, emmanuel ; Avalos, Fernando.
    In: BIS Working Papers.
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  56. Monetary Policy and Long-Run Systemic Risk-Taking. (2018). Popescu, Alexandra ; Levieuge, Gregory ; Colletaz, Gilbert.
    In: Working papers.
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  57. Les taux d’intérêt nominaux négatifs sont-ils efficaces pour relancer la croissance des crédits et de l’économie ?. (2017). Dai, Meixing ; Loux, Fanny.
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  58. Macroprudential Policy in a Monetary Union. (2017). Gambacorta, Leonardo ; Dehmej, Salim.
    In: Document de travail.
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  59. Monetary Policy and Financial Stability. (2017). Dell'Ariccia, Giovanni ; Mancini-Griffoli, Tommaso ; Haksar, Vikram ; Habermeier, Karl .
    In: RBA Annual Conference Volume.
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  60. Is Monetary Policy Less Effective When Interest Rates Are Persistently Low?. (2017). Borio, Claudio ; Hofmann, Boris.
    In: RBA Annual Conference Volume.
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  61. Exploring the Link between the Macroeconomic and Financial Cycles. (2017). Cagliarini, Adam ; Price, Fiona .
    In: RBA Annual Conference Volume.
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  62. Les taux d’intérêt nominaux négatifs sont-ils efficaces pour relancer la croissance des crédits et de l’économie ?. (2017). Dai, Meixing ; Loux, Fanny.
    In: Post-Print.
    RePEc:hal:journl:hal-04080478.

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  63. Banks Risk Taking Behavior and the Optimization Monetary Policy. (2017). Triandhari, Risna ; Alamsyah, Halim ; Syamsudin, M ; Safuan, Sugiharso.
    In: European Research Studies Journal.
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  64. Capital inflows, monetary policy, and financial imbalances. (2017). Merrouche, Ouarda ; Nier, Erlend .
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:77:y:2017:i:c:p:117-142.

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  65. Rethinking monetary policy after the crisis. (2017). Mishkin, Frederic.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:73:y:2017:i:pb:p:252-274.

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  66. Monetary policy and macroprudential policy: Rivals or teammates?. (2017). Malovana, Simona ; Frait, Jan.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:32:y:2017:i:c:p:1-16.

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  67. Interest rates and financial fragility. (2017). Li, Yang.
    In: Journal of Economic Dynamics and Control.
    RePEc:eee:dyncon:v:82:y:2017:i:c:p:195-205.

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  68. Financial System Vulnerability Indicators in Indonesia. (2017). Suidarma, Made I ; Anggaradana, Nyoman I ; Nengah, Gusti I ; Indrawati, Yulia.
    In: International Journal of Economics and Financial Issues.
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  69. The transmission channels of monetary, macro- and microprudential policies and their interrelations. (2017). Vergote, Olivier ; Schwarz, Claudia ; Rünstler, Gerhard ; Papadopoulou, Niki ; Beyer, Andreas ; Sousa, Joo ; Runstler, Gerhard ; Papsdorf, Patrick ; Nicoletti, Giulio.
    In: Occasional Paper Series.
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  70. Monetary Policy and Bank Excessive Risk-Taking. (2017). Zaghdoudi, Taha ; MAKTOUF, Samir.
    In: Acta Universitatis Danubius. OEconomica.
    RePEc:dug:actaec:y:2017:i:2:p:157-173.

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  71. The interplay between quantitative easing and risk: the case of the Japanese banking. (2017). mamatzakis, emmanuel ; Vu, Anh N.
    In: Working Papers.
    RePEc:bog:wpaper:226.

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  72. Is monetary policy less effective when interest rates are persistently low?. (2017). Hofmann, Boris ; BORIO, Claudio.
    In: BIS Working Papers.
    RePEc:bis:biswps:628.

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  73. Collateralized Borrowing and Risk Taking at Low Interest Rates. (2016). Ueberfeldt, Alexander ; Shukayev, Malik ; Cociuba, Simona.
    In: Working Papers.
    RePEc:ris:albaec:2016_002.

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  74. Monetary Policy and Long-Run Risk-Taking. (2016). LEVIEUGE, Gregory ; Popescu, Alexandra ; Colletaz, Gilbert.
    In: LEO Working Papers / DR LEO.
    RePEc:leo:wpaper:2409.

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  75. 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).
    RePEc:jns:jbstat:v:236:y:2016:i:1:p:349-388.

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  76. Monetary Policy and Corporate Bond Returns. (2016). Zekaite, Zivile ; Kontonikas, Alexandros ; Maio, Paulo.
    In: Working Papers.
    RePEc:gla:glaewp:2016_05.

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  77. On the separation of monetary and prudential policy: How much of the precrisis consensus remains?. (2016). Cecchetti, Stephen.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:66:y:2016:i:c:p:157-169.

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  78. Asset allocation and monetary policy: Evidence from the eurozone. (2016). Hau, Harald ; Lai, Sandy .
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:120:y:2016:i:2:p:309-329.

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  79. How does capital regulation react to monetary policy? New evidence on the risk-taking channel. (2016). Montes, Gabriel ; de Moraes, Claudio ; Pereira, Jose Americo .
    In: Economic Modelling.
    RePEc:eee:ecmode:v:56:y:2016:i:c:p:177-186.

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  80. The ECB, Between Conservatism and Pragmatism. (2016). huchet, nicolas ; BASTIDON, Cécile ; Gilles, Philippe.
    In: Journal of Central Banking Theory and Practice.
    RePEc:cbk:journl:v:5:y:2016:i:1:p:25-52.

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  81. BANK REGULATORY CAPITAL, RISK-TAKING CHANNEL AND MONETARY POLICY: EVIDENCE FROM AN INFLATION TARGETING EMERGING ECONOMY. (2016). Montes, Gabriel ; de Moraes, Claudio ; Pereira, Jose Americo .
    In: Anais do XLIII Encontro Nacional de Economia [Proceedings of the 43rd Brazilian Economics Meeting].
    RePEc:anp:en2015:042.

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  82. Lean-Against-the-Wind Monetary Policy: The Post-Crisis Shift in the Literature. (2015). Kokores, Ioanna .
    In: SPOUDAI Journal of Economics and Business.
    RePEc:spd:journl:v:65:y:2015:i:3-4:p:66-99.

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  83. Monetary policy, excessive risk-taking and banking crisis. (2015). Zaghdoudi, Taha.
    In: MPRA Paper.
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  84. The Impact of a Low Interest Rate Environment: Empirical Evidence from the Euro Area Bank Lending Survey. (2015). Khosravi, Taha.
    In: MPRA Paper.
    RePEc:pra:mprapa:67363.

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  85. Interactions between monetary and macroprudential policy. (2015). Boeckx, Jef ; van Nieuwenhuyze, CH ; de Sola, M ; Kashama, Kasongo M ; Ilbas, P.
    In: Economic Review.
    RePEc:nbb:ecrart:y:2015:m:september:i:ii:p:7-29.

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  86. Risk aversion and monetary policy in a global context. (2015). Nave, Juan M ; Ruiz, Javier .
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:20:y:2015:i:c:p:14-35.

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  87. An analysis of involuntary excess reserves, monetary policy and risk-taking behaviour of Chinese Banks. (2015). Nguyen, Thai ; Boateng, Agyenim ; Nguyen, Vu Hong Thai, .
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:37:y:2015:i:c:p:63-72.

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  88. Policy interest rate, loan portfolio management and bank liquidity. (2015). giulioni, gianfranco.
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:31:y:2015:i:c:p:52-74.

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  89. Information Acquisition and Excessive Risk: Impact of Policy Rate and Market Volatility. (2015). Audzei, Volha.
    In: CERGE-EI Working Papers.
    RePEc:cer:papers:wp536.

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  90. Monetary and Macroprudential Policies: Empirical Evidences from Panel-VAR. (2015). Divino, Jose Angelo ; da Silva, Fernando .
    In: Brazilian Review of Finance.
    RePEc:brf:journl:v:13:y:2015:i:4:p:691-731.

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  91. Global Asset Allocation Shifts. (2015). Schrimpf, Andreas ; Schmeling, Maik ; Kroencke, Tim.
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    RePEc:kap:jfsres:v:36:y:2009:i:2:p:227-230.

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  12. Informal Finance: A Theory of Moneylenders. (2009). Madestam, Andreas.
    In: Working Papers.
    RePEc:fem:femwpa:2009.69.

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  13. Finance, financial sector policies, and long-run growth. (2008). Levine, Ross ; Demirguc-Kunt, Asli.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:4469.

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  14. Are Spectral Estimators Useful for Implementing Long-Run Restrictions in SVARs?. (2008). Herger, Nils.
    In: Working Papers.
    RePEc:szg:worpap:0804.

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  15. International evidence on the impact of regulations and supervision on banks’ technical efficiency: an application of two-stage data envelopment analysis. (2008). Pasiouras, Fotios.
    In: Review of Quantitative Finance and Accounting.
    RePEc:kap:rqfnac:v:30:y:2008:i:2:p:187-223.

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  16. Regulation and efficiency in transition: the case of Romanian banks. (2008). Kumbhakar, Subal ; Asaftei, Gabriel.
    In: Journal of Regulatory Economics.
    RePEc:kap:regeco:v:33:y:2008:i:3:p:253-282.

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  17. Depositors’ Assessment of Bank Riskiness in the Russian Federation. (2008). zyldrm, Suheyla ; Caner, Seluk ; Ungan, Ece.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:33:y:2008:i:2:p:77-100.

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  18. Informal Finance: A Theory of Moneylenders. (2008). Madestam, Andreas.
    In: Working Papers.
    RePEc:igi:igierp:347.

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  19. Financial constraints and firms investment: results of a natural experiment measuring firm response to power interruption. (2008). Steinbuks, Jevgenijs.
    In: Cambridge Working Papers in Economics.
    RePEc:cam:camdae:0844.

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  20. The Impact of Market Structure, Contestability and Institutional Environment on Banking Competition. (2007). Bikker, Jacob ; Spierdijk, Laura ; Finnie, Paul.
    In: Working Papers.
    RePEc:use:tkiwps:0729.

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  21. Sophisticated Discipline in a Nascent Deposit Market: Evidence from Post-Communist Russia. (2007). Schoors, Koen ; Karas, Alexei ; PYLE, W..
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
    RePEc:rug:rugwps:07/450.

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  22. The Economic Consequences of Legal Origins. (2007). Shleifer, Andrei ; Lopez-de-Silanes, Florencio ; La Porta, Rafael.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:13608.

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  23. Determinants of Deposit-Insurance Adoption and Design. (2007). Laeven, Luc ; Kane, Edward ; Demirguc-Kunt, Asli.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:12862.

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  24. A multicriteria discrimination approach for the credit rating of Asian banks. (2007). Pasiouras, Fotios ; Gaganis, Chrysovalantis.
    In: Annals of Finance.
    RePEc:kap:annfin:v:3:y:2007:i:3:p:351-367.

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  25. Financial dollarization: the role of banks and interest rates. (2007). Basso, Henrique ; Jurgilas, Marius ; Calvo-Gonzalez, Oscar.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:2007748.

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  26. Stock market performance and pension fund investment policy: rebalancing, free float, or market timing?. (2007). Bikker, Jacob ; Spierdijk, Laura ; Finniez, Paul.
    In: DNB Working Papers.
    RePEc:dnb:dnbwpp:156.

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  27. Do Differences in Institutional and Legal Environments Explain Cross-Country Variations in IPO Underpricing?. (2007). Hopp, Christian ; Dreher, Axel.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_2082.

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  28. The Emergence of Market Monitoring in Japanese Banks: Evidence from the Subordinated Debt Market.. (2006). Imai, Masami.
    In: Wesleyan Economics Working Papers.
    RePEc:wes:weswpa:2006-008.

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  29. Sophisticated Discipline in Nascent Deposit Markets: Evidence from Post-Communist Russia. (2006). Schoors, Koen ; Karas, Alexei ; Pyle, William.
    In: William Davidson Institute Working Papers Series.
    RePEc:wdi:papers:2006-829.

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  30. THE COST STRUCTURE OF MICROFINANCE INSTITUTIONS IN EASTERN EUROPE AND CENTRAL ASIA. (2006). Gropper, Daniel ; Caudill, Steven B ; Hartarska, Valentina.
    In: William Davidson Institute Working Papers Series.
    RePEc:wdi:papers:2006-809.

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  31. Banking services for everyone ? Barriers to bank access and use around the world. (2006). Martinez Peria, Maria ; Demirguc-Kunt, Asli ; Beck, Thorsten.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:4079.

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  32. Finance and economic development : policy choices for developing countries. (2006). Demirguc-Kunt, Asli.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:3955.

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  33. Creating a more efficient financial system : challenges for Bangladesh. (2006). Beck, Thorsten ; Rahman, Md. Habibur, ; RAHMAN, MD. HABIBUR, .
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:3938.

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  34. Creating an efficient financial system : challenges in a global economy. (2006). Beck, Thorsten.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:3856.

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  35. Determinants of deposit-insurance adoption and design. (2006). Laeven, Luc ; Kane, Edward ; Demirguc-Kunt, Asli.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:3849.

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  36. The Financial System and the Institutional Environment as Determinants of Economic Performance: Austria in Comparison. (2006). Fritzer, Friedrich.
    In: Monetary Policy & the Economy.
    RePEc:onb:oenbmp:y:2006:i:1:b:6.

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  37. Do Local Analysts Know More? A Cross-Country Study of the Performance of Local Analysts and Foreign Analysts. (2006). Stulz, René ; Tan, Hongping ; Tyagi, Pallavi ; Bae, Kee-Hong .
    In: Working Paper Series.
    RePEc:ecl:ohidic:2005-18.

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  38. Reaching out : access to and use of banking services across countries. (2005). Martinez Peria, Maria ; Demirguc-Kunt, Asli ; Beck, Thorsten.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:3754.

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  39. Private Credit in 129 Countries. (2005). Shleifer, Andrei ; Djankov, Simeon ; McLiesh, Caralee .
    In: NBER Working Papers.
    RePEc:nbr:nberwo:11078.

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  40. EXPLAINING MARKET POWER DIFFERENCES IN BANKING: A CROSS-COUNTRY STUDY. (2005). Maudos, Joaquin ; Nagore, Amparo ; Villarroya, Joaquin Maudos .
    In: Working Papers. Serie EC.
    RePEc:ivi:wpasec:2005-10.

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  41. Strengthening IMF Crisis Prevention. (2005). Ostry, Jonathan ; Zettelmeyer, Jeromin.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2005/206.

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  42. Did the Basel Accord Cause a Credit Slowdown in Latin America?. (2005). Chami, Ralph ; Barajas, Adolfo ; Cosimano, Thomas F.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2005/038.

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  43. The Effects on Firm Borrowing Costs of Bank M&As. (2005). Valdés, Rodrigo ; Repetto, Andrea ; Duarte, Fabián ; Rodrigo O. Valdés, ; Fabián Duarte, .
    In: Documentos de Trabajo.
    RePEc:edj:ceauch:206.

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  44. Crises and Capital Requirements in Banking. (2005). White, Lucy ; Morrison, Alan D..
    In: American Economic Review.
    RePEc:aea:aecrev:v:95:y:2005:i:5:p:1548-1572.

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  45. Governance and Performance of Microfinance Institutions in Central And Eastern Europe and the Newly Independent States. (2004). Hartarska, Valentina.
    In: William Davidson Institute Working Papers Series.
    RePEc:wdi:papers:2004-677.

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  46. The political economy of deposit insurance. (2004). Laeven, Luc.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:3247.

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  47. Do equity investments affect banks profitability? Evidence from OECD countries. (2004). Gonzalez, Francisco.
    In: Applied Financial Economics.
    RePEc:taf:apfiec:v:14:y:2004:i:15:p:1111-1124.

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  48. Rapid loan growth in Russia : A lending boom or a permanent financial deepening?. (2004). Havrylchyk, Olena.
    In: MPRA Paper.
    RePEc:pra:mprapa:20997.

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  49. The Political Economy of Deposit Insurance. (2004). Laeven, Luc.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:26:y:2004:i:3:p:201-224.

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  50. How to Restructure Failed Banking Systems: Lessons from the U.S. in the 1930s and Japan in the 1990s. (2003). Calomiris, Charles ; Mason, Joseph R..
    In: NBER Working Papers.
    RePEc:nbr:nberwo:9624.

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