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Results of search for default risk
Records found: 14
| DP14427 |
Twin Default Crises Author(s): Caterina Mendicino, Kalin Nikolov, Juan Francisco Rubio-Ramírez, Javier Suarez and Dominik Supera Published: February 2020 |
| DP14327 |
The Aggregate Consequences of Default Risk: Evidence from Firm-level Data Author(s): Timothy J. Besley, Isabelle Roland and John Van Reenen Published: January 2020 |
| DP13152 |
Bank Capital in the Short and in the Long Run Author(s): Caterina Mendicino, Kalin Nikolov, Javier Suarez and Dominik Supera Published: September 2018 |
| DP12394 |
Financial Fragility and the Keynesian Multiplier Author(s): Christiaan van der Kwaak and Sweder van Wijnbergen Published: October 2017 |
| DP11043 |
Macroeconomic Effects of Bankruptcy and Foreclosure Policies Author(s): Kurt Mitman Published: January 2016 |
| DP10891 |
Ripple effects from industry defaults Author(s): Dennis Bams, Magdalena Pisa and Christian C Wolff Published: October 2015 |
| DP10316 |
Capital Regulation in a Macroeconomic Model with Three Layers of Default Author(s): Laurent Clerc, Alexis Derviz, Caterina Mendicino, Stéphane Moyen, Kalin Nikolov, Livio Stracca, Javier Suarez and Alexandros Vardoulakis Published: December 2014 |
| DP9606 |
Sovereign Default Risk and Banks in a Monetary Union Author(s): Harald Uhlig Published: August 2013 |
| DP8624 |
Housing and the Macroeconomy: The Role of Bailout Guarantees for Government Sponsored Enterprises Author(s): Karsten Jeske, Dirk Krueger and Kurt Mitman Published: October 2011 |
| DP7202 |
Financial (In)stability, Supervision and Liquidity Injections: A Dynamic General Equilibrium Approach Author(s): Gregory de Walque, Olivier Pierrard and Abdelaziz Rouabah Published: March 2009 |
| DP5590 |
Debt, Deficits and Destabilizing Monetary Policy in Open Economies Author(s): Andreas Schabert and Sweder van Wijnbergen Published: March 2006 |
| DP5387 |
How the Eurosystem?s Treatment of Collateral in its Open Market Operations Weakens Fiscal Discipline in the Eurozone (and what to do about it) Author(s): Willem H. Buiter and Anne Sibert Published: December 2005 |
| DP3122 |
Banking Passivity and Regulatory Failure in Emerging Markets: Theory and Evidence from the Czech Republic Author(s): Jan Hanousek and Gérard Roland Published: January 2002 |
| DP2866 |
Emerging Market Debt: Measuring Credit Quality and Examining Relative Pricing Author(s): Robert Cumby and Tuvana Pastine Published: June 2001 |
Records Found 14