ESRB Working Paper Series, European Systemic Risk Board (ESRB)

ISSN: 2467-0677

Collection's Items (Sorted by Title in Descending order): 141 to 153 of 153
Year of PublicationTitleAuthor(s)
2016Liquidity transformation in asset management: Evidence from the cash holdings of mutual fundsChernenko, Sergey; Sunderam, Adi
2016Securities trading by banks and credit supply: Micro-evidence from the crisisAbbassi, Puriya; Iyer, Rajkamal; Peydró, José-Luis; Tous, Francesc R.
2016The (unintended?) consequences of the largest liquidity injection everCrosignani, Matteo; Faria-e-Castro, Miguel; Fonseca, Luís
2016Multiplex interbank networks and systemic importance – An application to European dataAldasoro, Iñaki; Alves, Iván
2016Macroeconomic effects of secondary market tradingNeuhann, Daniel
2016Double bank runs and liquidity risk managementIppolito, Filippo; Peydró, José-Luis; Polo, Andrea; Sette, Enrico
2016ESBies: Safety in the tranchesBrunnermeier, Markus K.; Langfield, Sam; Pagano, Marco; Reis, Ricardo; Nieuwerburgh, Stijn Van; Vayanos, Dimitri
2016Financial intermediation, resource allocation, and macroeconomic interdependenceOzhan, Galip Kemal
2016Assessing the costs and benefits of capital-based macroprudential policyBehn, Markus; Groß, Marco; Peltonen, Tuomas
2016How excessive is banks' maturity transformation?Segura, Anatoli; Suarez, Javier
2016Cross-country exposures to the Swiss FrancBénétrix, Agustín S.; Lane, Philip R.
2016Capital market financing, firm growth, and firm size distributionDidier, Tatiana; Levine, Ross; Schmukler, Sergio L.
2016How does risk flow in the credit default swap market?D'Errico, Marco; Battiston, Stefano; Peltonen, Tuomas; Scheicher, Martin
Collection's Items (Sorted by Title in Descending order): 141 to 153 of 153
Browse