Result Number | Material Type | Add to My Shelf Action | Record Details and Options |
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1 |
Material Type: Artículo
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A network analysis of global banking: 1978–2010Minoiu, Camelia ; Reyes, Javier A.Journal of financial stability, 2013-06, Vol.9 (2), p.168-184 [Revista revisada por pares]Elsevier B.VTexto completo disponible |
2 |
Material Type: Artículo
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Deposit insurance around the world: A comprehensive analysis and databaseDemirgüç-Kunt, Asli ; Kane, Edward ; Laeven, LucJournal of financial stability, 2015-10, Vol.20, p.155-183 [Revista revisada por pares]Elsevier B.VTexto completo disponible |
3 |
Material Type: Artículo
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Financial fragility of euro area householdsAmpudia, Miguel ; van Vlokhoven, Has ; Żochowski, DawidJournal of financial stability, 2016-12, Vol.27, p.250-262 [Revista revisada por pares]Elsevier B.VTexto completo disponible |
4 |
Material Type: Artículo
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Default cascades: When does risk diversification increase stability?Battiston, Stefano ; Gatti, Domenico Delli ; Gallegati, Mauro ; Greenwald, Bruce ; Stiglitz, Joseph E.Journal of financial stability, 2012-09, Vol.8 (3), p.138-149 [Revista revisada por pares]Elsevier B.VTexto completo disponible |
5 |
Material Type: Artículo
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Stress-testing macro stress testing: Does it live up to expectations?Borio, Claudio ; Drehmann, Mathias ; Tsatsaronis, KostasJournal of financial stability, 2014-06, Vol.12, p.3-15 [Revista revisada por pares]Elsevier B.VTexto completo disponible |
6 |
Material Type: Artículo
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The effect of TARP on bank risk-takingBlack, Lamont K. ; Hazelwood, Lieu N.Journal of financial stability, 2013-12, Vol.9 (4), p.790-803 [Revista revisada por pares]Elsevier B.VTexto completo disponible |
7 |
Material Type: Artículo
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Determinants of time varying co-movements among international stock markets during crisis and non-crisis periodsMobarek, Asma ; Muradoglu, Gulnur ; Mollah, Sabur ; Hou, Ai JunJournal of financial stability, 2016-06, Vol.24, p.1-11 [Revista revisada por pares]Elsevier B.VTexto completo disponible |
8 |
Material Type: Artículo
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Assessing the systemic risk of a heterogeneous portfolio of banks during the recent financial crisisHuang, Xin ; Zhou, Hao ; Zhu, HaibinJournal of financial stability, 2012-09, Vol.8 (3), p.193-205 [Revista revisada por pares]Elsevier B.VTexto completo disponible |
9 |
Material Type: Artículo
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Central bank transparency and financial stabilityHorváth, Roman ; Vaško, DanJournal of financial stability, 2016-02, Vol.22, p.45-56 [Revista revisada por pares]Elsevier B.VTexto completo disponible |
10 |
Material Type: Artículo
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Securitization and lending standards: Evidence from the European wholesale loan marketKara, Alper ; Marques-Ibanez, David ; Ongena, StevenJournal of financial stability, 2016-10, Vol.26, p.107-127 [Revista revisada por pares]Elsevier B.VTexto completo disponible |