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Rethinking financial stability. (2018). Kapadia, Sujit ; Hinterschweiger, Marc ; HALDANE, ANDREW ; Aikman, David.
In: Bank of England working papers.
RePEc:boe:boeewp:0712.

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  4. Financial Spillover and Contagion Risks in the Euro Area in 2007-2019. (2021). Vogel, Lukas ; Vašíček, Bořek ; Vaiek, Boek ; Perticari, Francesco ; Monteiro, Daniel ; Lorenzani, Dimitri ; Garcia, Roman.
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  5. CoMap: Mapping Contagion in the Euro Area Banking Sector. (2021). Kok, Christoffer ; Gorpe, Mehmet Ziya ; Covi, Giovanni.
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  7. Credit growth, the yield curve and financial crisis prediction: evidence from a machine learning approach. (2021). Bluwstein, Kristina ; Imek, Ozgur ; Kapadia, Sujit ; Joseph, Andreas ; Buckmann, Marcus.
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  11. The Costs and Benefits of Bank Capital—A Review of the Literature. (2020). Warusawitharana, Missaka ; Uluc, Arzu ; Straughan, Michael ; Gutierrez Girault, Matias ; DE BANDT, OLIVIER ; Palvia, Ajay ; Morgan, Donald P ; Mio, Hitoshi ; Krogh, Tord ; Hancock, Diana ; Firestone, Simon ; von Hafften, Alexander H ; Birn, Martin ; Scalone, Valerio.
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  12. Bank capital, financial stability and Basel regulation in a low interest-rate environment. (2020). Rubio, Margarita ; Yao, Fang.
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  13. The bank capital-competition-risk nexus – A global perspective. (2020). Noel, Dennison ; Karim, Dilruba ; Davis, Philip E.
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  14. Are bank capital requirements optimally set? Evidence from researchers’ views. (2020). Ristolainen, Kim ; HASAN, IFTEKHAR ; Ambrocio, Gene ; Jokivuolle, Esa.
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  16. Are bank capital requirements optimally set? Evidence from researchers’ views. (2020). Ristolainen, Kim ; HASAN, IFTEKHAR ; Ambrocio, Gene ; Jokivuolle, Esa.
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  17. Credit growth, the yield curve and financial crisis prediction: evidence from a machine learning approach. (2020). Kapadia, Sujit ; Bluwstein, Kristina ; Kang, Miao ; Joseph, Andreas ; Buckmann, Marcus ; Simsek, Ozgur.
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  18. Evaluación Económica de pérdidas por enfermedades en bovinos: métodos de valuación de perdida. (2020). Amaro, Ignacio Benito .
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  23. The Bank Capital-Competition-Risk Nexus - A Global Perspective. (2019). Davis, E ; Noel, Dennison ; Karim, Dilruba.
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  24. Bank Leverage Ratios, Risk and Competition - An Investigation Using Individual Bank Data. (2019). Davis, E ; Noel, Dennison ; Karim, Dilruba .
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  25. CoMap: Mapping Contagion in the Euro Area Banking Sector. (2019). Kok, Christoffer ; Covi, Giovanni ; Gorpe, Mehmet Ziya.
    In: IMF Working Papers.
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  26. Building an effective financial stability policy framework: lessons from the post-crisis decade. (2019). Demekas, Dimitri.
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  27. Income inequality, consumer debt, and prudential regulation: An agent-based approach to study the emergence of crises and financial instability. (2019). D'Orazio, Paola.
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  28. CoMap: mapping contagion in the euro area banking sector. (2019). Covi, Giovanni ; Kok, Christoffer ; Gorpe, Mehmet Ziya.
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  29. Macroprudential policy at the ECB: Institutional framework, strategy, analytical tools and policies. (2019). Fell, John ; Altimar, Sergio Nicoletti ; Constancio, Vitor ; Salleo, Carmelo ; Pires, Fatima ; Kapadia, Sujit ; Hiebert, Paul ; Henry, Jerome ; Detken, Carsten ; Cabral, Ines.
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  30. The language of rules: textual complexity in banking reforms. (2019). Walczak, Eryk ; Patel, Rajan ; Garbarino, Nicola ; Brookes, James ; Amadxarif, Zahid.
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  31. Lost in Diversification. (2019). Bardoscia, Marco ; Volpati, Valerio ; Marsili, Matteo ; D'Arienzo, Daniele.
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  32. Monetary Reform, Central Banks and Digital Currencies. (2018). Dow, Sheila.
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  33. Risk sensitivity and risk shifting in banking regulation. (2018). Hinterschweiger, Marc ; Saporta, Victoria ; Neumann, Tobias.
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  28. Purchases of sovereign debt securities by Italian banks during the crisis: the role of balance-sheet conditions. (2016). Santioni, Raffaele ; Albareto, Giorgio ; Affinito, Massimiliano.
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  29. Monetary policy under the microscope: Intra-bank transmission of asset purchase programs of the ECB. (2015). Koetter, Michael ; Cycon, Lisa .
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  30. Monetary Policy under the Microscope: Intra-bank Transmission of Asset Purchase Programs of the ECB. (2015). Koetter, Michael ; Cycon, Lisa .
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  31. Banks and Sovereign Risk: A Granular View. (2015). Ohls, Jana ; Koetter, Michael ; Buch, Claudia.
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  32. Arbitraging the Basel securitization framework: Evidence from German ABS investment. (2015). Efing, Matthias.
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  33. Multinational banks deleveraging in the crisis driven by pre-crisis characteristics and behavior. (2015). Frey, Rainer .
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  34. The Information in Systemic Risk Rankings. (2015). Schwaab, Bernd ; Nucera, Federico ; Lucas, Andre ; Koopman, Siem Jan.
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  35. The Intertwining of financialisation and financial instability. (2015). Labondance, Fabien ; Hubert, Paul ; Creel, Jerome.
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  36. Central Bank Interventions, Demand for Collateral, and Sovereign Borrowing Costs. (2015). Fonseca, Luís ; Faria-e-Castro, Miguel ; Crosignani, Matteo.
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  37. The Portuguese Banking System during the Sovereign Debt Crisis. (2015). Fonseca, Luís ; Faria-e-Castro, Miguel ; Crosignani, Matteo.
    In: Economic Bulletin and Financial Stability Report Articles and Banco de Portugal Economic Studies.
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  38. Decomposing Euro Area Sovereign Debt Yields into Inflation Expectations and Expected Real Interest Rates. (2015). Mirdala, Rajmund.
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  39. A national public bank to finance a euro zone government: Getting the funds for investment and recovery packages. (2015). Picek, Oliver.
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  40. Bank sovereign bond holdings, sovereign shock spillovers, and moral hazard during the European crisis. (2015). Beltratti, Andrea ; Stulz, Rene M..
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  41. The Intertwining of financialisation and financial instability. (2015). Labondance, Fabien ; Hubert, Paul ; Creel, Jerome.
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  42. The ‘visible hand’ of the ECB’s quantitative easing. (2015). Valiante, Diego.
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  43. The effects of ratings-contingent regulation on international bank lending behavior: Evidence from the Basel 2 Accord. (2015). Wu, Eliza ; Kim, Suk-Joong ; HASAN, IFTEKHAR.
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  44. Transmission channels of systemic risk and contagion in the European financial network. (2015). Paltalidis, Nikos ; Koutelidakis, Yiannis ; Kizys, Renatas ; Gounopoulos, Dimitrios.
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  45. Sovereign stress, unconventional monetary policy, and SME access to finance. (2015). Udell, Gregory ; Popov, Alexander ; Ferrando, Annalisa.
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  46. Deadly Embrace: Sovereign and Financial Balance Sheets Doom Loops. (2015). Tirole, Jean ; Farhi, Emmanuel.
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  47. Central Bank Collateral Frameworks. (2015). Nyborg, Kjell.
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  48. Determinants and Valuation Effects of the Home Bias in European Banks Sovereign Debt Portfolios. (2015). Ioannidou, Vasso ; Huizinga, Harry ; Horvath, Balint.
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  49. Can the Provision of Long-Term Liquidity Help to Avoid a Credit Crunch? Evidence from the Eurosystems LTROs.. (2015). Mésonnier, Jean-Stéphane ; fraisse, henri ; Cahn, Christophe ; Andrade, Philippe ; J-S. Mesonnier, .
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