The real consequences of financial stress
Year of publication: |
2013
|
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Authors: | Mittnik, Stefan ; Semmler, Willi |
Publisher: |
Berlin : Humboldt University of Berlin, Collaborative Research Center 649 - Economic Risk |
Subject: | Bankenkrise | Finanzkrise | Geldpolitik | VAR-Modell | Theorie | banking-sector instability | financial stress | monetary policy | nonlinear VAR | regime dependence |
Series: | SFB 649 Discussion Paper ; 2013-011 |
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Type of publication: | Book / Working Paper |
Type of publication (narrower categories): | Working Paper |
Language: | English |
Other identifiers: | 737324074 [GVK] hdl:10419/79563 [Handle] RePEc:hum:wpaper:sfb649dp2013-011 [RePEc] |
Classification: | E2 - Consumption, Saving, Production, Employment, and Investment ; E6 - Macroeconomic Policy Formation, Macroeconomic Aspects of Public Finance, Macroeconomic Policy, and General Outlook ; C13 - Estimation |
Source: |
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The real consequences of financial stress
Mittnik, Stefan, (2013)
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The Real Consequences of Financial Stress
Mittnik, Stefan, (2013)
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The real consequences of financial stress
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