Results 111-120 of 201.
|2007 ||Bank supervision Russian style: Evidence of conflicts between micor- and macroprudential concerns||Claeys, Sophie / Schoors, Koen
|2010 ||Identifying VARs through heterogeneity: An application to bank runs||De Graeve, Ferre / Karas, Alexei
|2010 ||Monetary regime change and business cycles||Cúrdia, Vasco / Finocchiaro, Daria
|2007 ||Finance and growth: An empirical assessment of the Indian economy||Das, Pranab Kumar / Guha-Khasnobis, Basudeb
|2010 ||$1.25 trillion is still real money: Some facts about the effects of the Federal Reserve's mortgage market investments||Fuster, Andreas / Willen, Paul S.
|2003 ||Are banks really special? New evidence from the FDIC-induced failure of healthy banks||Ashcraft, Adam B.
|2005 ||Reconciling Bagehot with the Fed's response to September 11||Martin, Antoine
|2007 ||Monetary policy under sudden stops||Cúrdia, Vasco
|2005 ||Establishing credibility: Evolving perceptions of the European Central Bank||Goldberg, Linda S. / Klein, Michael W.
|2007 ||Global New Turkish Lira Bond Issuances||Gormez, Yuksel / Yilmaz, Gokhan