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Year of publication
Subject
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Financial crisis 59,557 Finanzkrise 59,557 Welt 15,329 World 15,328 Wirtschaftskrise 8,628 Economic crisis 8,419 Theorie 7,330 Theory 7,326 Bankenkrise 6,671 Banking crisis 6,601 Geldpolitik 6,245 Monetary policy 6,181 International financial market 5,028 Internationaler Finanzmarkt 5,028 USA 4,916 Financial market 4,903 Finanzmarkt 4,903 EU countries 4,884 EU-Staaten 4,882 United States 4,834 Bank regulation 4,276 Bankenregulierung 4,276 Wirkungsanalyse 4,088 Impact assessment 4,087 Konjunktur 3,842 Business cycle 3,814 Financial market regulation 3,698 Finanzmarktregulierung 3,697 Bank 3,660 Financial sector 2,988 Finanzsektor 2,987 Systemic risk 2,974 Systemrisiko 2,968 Börsenkurs 2,945 Share price 2,944 Eurozone 2,934 Euro area 2,922 Schwellenländer 2,599 Emerging economies 2,595 Bankrisiko 2,562
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Online availability
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Free 23,607 Undetermined 11,685 CC license 893
Type of publication
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Book / Working Paper 31,711 Article 27,902 Journal 15
Type of publication (narrower categories)
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Article in journal 22,132 Aufsatz in Zeitschrift 22,132 Graue Literatur 11,467 Non-commercial literature 11,467 Working Paper 10,140 Arbeitspapier 10,136 Aufsatz im Buch 5,657 Book section 5,657 Collection of articles of several authors 1,967 Sammelwerk 1,967 Aufsatzsammlung 745 Konferenzschrift 718 Hochschulschrift 634 Conference proceedings 473 Thesis 393 Conference paper 314 Konferenzbeitrag 314 Amtsdruckschrift 193 Government document 193 Collection of articles written by one author 187 Sammlung 187 Rezension 106 Case study 90 Fallstudie 90 Bibliografie enthalten 83 Bibliography included 83 Systematic review 69 Übersichtsarbeit 69 Glossar enthalten 51 Glossary included 51 Bibliografie 49 Mehrbändiges Werk 48 Multi-volume publication 48 Festschrift 42 Interview 42 Lehrbuch 37 Reprint 33 Textbook 33 Ratgeber 25 Advisory report 21
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Language
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English 55,175 German 2,947 French 466 Spanish 388 Russian 280 Polish 131 Italian 79 Portuguese 62 Undetermined 41 Swedish 19 Ukrainian 19 Czech 18 Norwegian 15 Serbian 15 Danish 14 Dutch 13 Slovak 13 Bulgarian 12 Croatian 6 Turkish 6 Finnish 5 Romanian 5 Hungarian 4 Slovenian 4 Chinese 4 Lithuanian 3 Albanian 3 Japanese 1 Korean 1 Macedonian 1
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Author
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Aizenman, Joshua 240 Bordo, Michael D. 167 Acharya, Viral V. 152 Eichengreen, Barry 149 Caballero, Ricardo J. 131 Reinhart, Carmen M. 126 Krishnamurthy, Arvind 119 Allen, Franklin 117 Peydró, José-Luis 117 Kose, M. Ayhan 116 Claessens, Stijn 114 Gorton, Gary 111 Laeven, Luc 106 Taylor, Alan M. 105 Stulz, René M. 100 Mendoza, Enrique G. 98 Borio, Claudio E. V. 95 Schmukler, Sergio L. 95 Shin, Hyun Song 94 Adrian, Tobias 88 Stiglitz, Joseph E. 87 Goodhart, Charles A. E. 84 Mishkin, Frederic S. 80 Schularick, Moritz 80 Gambacorta, Leonardo 72 Berger, Allen N. 71 Rogoff, Kenneth S. 69 Dungey, Mardi H. 68 Metrick, Andrew 68 Rebucci, Alessandro 68 Arestis, Philip 66 Belke, Ansgar 66 Wray, L. Randall 66 Jinjarak, Yothin 65 Carletti, Elena 61 Haan, Jakob de 61 Hein, Eckhard 60 Park, Donghyun 60 Sornette, Didier 60 Frankel, Jeffrey A. 58
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Institution
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National Bureau of Economic Research 867 World Bank 89 International Monetary Fund 85 Internationaler Währungsfonds 56 Edward Elgar Publishing 44 European Central Bank 43 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 40 International Monetary Fund / Monetary and Capital Markets Department 39 OECD 38 International Monetary Fund (IMF) 34 European Commission / Directorate-General for Economic and Financial Affairs 31 SUERF - The European Money and Finance Forum 31 European Parliament / Directorate-General for Internal Policies of the Union 29 Asian Development Bank 19 Brookings Institution 16 European Systemic Risk Board 16 Springer Fachmedien Wiesbaden 16 Weltbank 16 World Bank Group 16 Europäische Kommission / Generaldirektion Wirtschaft und Finanzen 15 Centre for International Economic Studies 14 Nomos Verlagsgesellschaft 14 Friedrich-Schiller-Universität Jena 12 Sachverständigenrat zur Begutachtung der Gesamtwirtschaftlichen Entwicklung 12 William Davidson Institute <Ann Arbor, Mich.> 12 Christian-Albrechts-Universität zu Kiel / Institut für Weltwirtschaft 11 Oesterreichische Nationalbank 11 Institute for International Economics 10 Institute of Southeast Asian Studies 10 Massachusetts Institute of Technology / Department of Economics 10 Metropolis-Verlag für Ökonomie Gesellschaft und Politik GmbH 10 Peterson Institute for International Economics 10 UNCTAD 10 European Commission / Joint Research Centre 9 European University Institute / Department of Law 9 International Monetary Fund / Fiscal Affairs Dept 9 Springer International Publishing 9 FinanzBuch Verlag 8 Institut Mirovoj Ėkonomiki i Meždunarodnych Otnošenij 8 Inter-American Development Bank / Research Department 8
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Published in...
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NBER working paper series 852 Working paper / National Bureau of Economic Research, Inc. 723 NBER Working Paper 713 IMF working papers 527 Journal of banking & finance 454 Journal of financial stability 386 Discussion paper / Centre for Economic Policy Research 370 Finance research letters 326 Journal of international money and finance 322 Working paper 273 Working paper series / European Central Bank 267 Economic modelling 242 International review of financial analysis 238 CESifo working papers 226 Discussion papers / CEPR 224 Journal of international financial markets, institutions & money 223 SpringerLink / Bücher 218 Applied economics 205 IMF Working Paper 205 IMF working paper 205 Research in international business and finance 203 International review of economics & finance : IREF 197 Applied economics letters 181 ECB Working Paper 171 Journal of financial economics 148 Discussion paper 146 Policy research working paper : WPS 145 Pacific-Basin finance journal 144 Economics letters 143 The North American journal of economics and finance : a journal of financial economics studies 143 Intereconomics : review of European economic policy 134 Wirtschaftsdienst : Zeitschrift für Wirtschaftspolitik 134 Journal of economic dynamics & control 132 Journal of international economics 131 Finance and economics discussion series 127 Staff reports / Federal Reserve Bank of New York 121 IMF Working Papers 120 Journal of monetary economics 119 Working papers / The Levy Economics Institute 118 Staff working paper / Bank of Canada 107
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Source
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ECONIS (ZBW) 59,559 RePEc 60 EconStor 6 USB Cologne (business full texts) 2 BASE 1
Showing 1 - 50 of 59,628
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Impacts of U.S. stock market crash on South African top sector indices, volatility, and market linkages : evidence of copula-based BEKK-GARCH models
Mudiangombe, Benjamin; Muteba Mwamba, John - In: International Journal of Financial Studies : open … 11 (2023) 2, pp. 1-19
This paper examines the effects of the Standard and Poor’s 500 (SP500) stock index crash during the global financial crisis and the COVID-19 pandemic periods on the South African top sector indices (basic materials, consumer goods, consumer services, financials, healthcare, industrials,...
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Estimating macroeconomic models of financial crises : an endogenous regime-switching approach
Benigno, Gianluca; Foerster, Andrew; Otrok, Christopher M. - In: Quantitative economics : QE ; journal of the … 16 (2025) 1, pp. 1-47
We develop a new model of cycles and crises in emerging markets, featuring an occasionally binding borrowing constraint and stochastic volatility, and estimate it with quarterly data for Mexico since 1981. We propose an endogenous regime‐switching formulation of the occasionally binding...
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Systemic Risk Modelling System (SRMS) : a macroprudential stress testing model
Naruševičius, Laurynas; Mikaliūnaitė-Jouvanceau, Ieva - 2025
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Optimal government spending in a collateral-constrained small open economy
Hamano, Masashige; Murakami, Yuki - 2025
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Asset price bubbles and systemic risk in money market funds
Aquilina, Matteo; Cincinelli, Peter; Urga, Giovanni - 2025
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Real estate market dynamics : impacts on financial stability and the real economy, and reciprocal effects in ASEAN+3
Cheng, Kevin; Park, Eunmi - 2025
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Understanding the informal economy : the influence of political ideology during financial crises
Thanh Cong Nguyen; Thuy Tien Ho - In: Economic modelling 142 (2025), pp. 1-16
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Anatomy of wage rigidity in China : lessons from the global financial crisis for post-pandemic recovery
Ding, Jian; Zhou, Yixiao - In: Economic modelling 142 (2025), pp. 1-11
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How do macroprudential policies affect corporate investment? : insights from EIBIS data
Alper, Koray; Baskaya, Soner; Shi, Shuren - 2025
This study investigates the influence of macroprudential policies (MaPs) on corporate investment, employing firm-bank level microdata from the European Investment Bank Investment Survey (EIBIS) for the period 2015-2022. We initially document that MaP tightening, particularly through supply-based...
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Key challenges for monetary policy
Haselmann, Rainer; Heider, Florian; Pelizzon, Loriana; … - 2025
Monetary policy in the euro area faces significant challenges due to the evolving economic landscape marked by the return of inflation, financial instability risks, and the consequences of unconventional monetary policy (UMP) to the operational framework of monetary policy. This article...
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The conduct of LTV policy under inflationary shocks
Rubio, Margarita; Yao, Fang - 2025
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Fiscal policy for stabilization during the COVID-19 crisis : the role of social spending
Heimberger, Philipp - In: Applied economics letters 32 (2025) 1, pp. 131-134
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Success story or tall tale? : discursive cooperation and economic restructuring in Iceland
Ornston, Darius - In: Review of international political economy 32 (2025) 1, pp. 154-176
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Rising inequality : a material perspective on the Great Recession in the European Union
Schaffartzik, Anke; Duro, Juan Antonio - In: Ecological economics 227 (2025), pp. 1-12
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Equity financing in a banking crisis : evidence from private firms
Kochen, Federico - 2025
To what extent can private firms' external equity substitute for debt financing in a banking crisis? To answer this question, I use firm-level data and firm-bank linkages to estimate the causal effect of an imported lending cut from a large German bank on firms' capital structure and real...
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When banks hold back : credit and liquidity provision
Altavilla, Carlo; Rostagno, Massimo; Schumacher, Julian - 2025
Banks are reluctant to tap central bank backup liquidity facilities and use the borrowed funds for loans to the real economy. We show that excessively parsimonious borrowing and lending can arise in a stigma-free model where the banking sector has an incentive to overissue deposits. Banks don't...
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Sectoral credit allocation and systemic risk
Andrieş, Alin Marius; Ongena, Steven; Sprincean, Nicu - In: Journal of financial stability 76 (2025), pp. 1-23
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Bank diversity and financial contagion
Caiazzo, Emmanuel; Zazzaro, Alberto - In: Journal of financial stability 77 (2025), pp. 1-23
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Multi-media sentiment to systemic risk : evidence from COVID-19
Bai, Chenjiang; Duan, Yuejiao; Goodell, John W. - In: International review of economics & finance : IREF 97 (2025), pp. 1-17
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Default risk, risk premium, and corporate resilience : the role of regulatory and stabilization policies
Firano, Zakaria; Karaouch, Doha - In: Global journal of emerging market economies 17 (2025) 1, pp. 22-48
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What are asset price bubbles? : a survey on definitions of financial bubbles
Baumann, Michael; Janischewski, Anja - 2025
Financial bubbles and crashes have repeatedly caused economic turmoil notably but not only during the 2008 financial crisis. However, both in the popular press as well as scientific publications, the meaning of bubble is sometimes unspecified. Due to the multitude of bubble definitions, we...
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Approaches to prognosing the European economic crisis through a new economic-financial risk sensitivity model
Zlati, Monica Laura; Fortea, Costinela; Meca, Alina; … - In: Economies : open access journal 13 (2025) 1, pp. 1-30
This paper presents a novel approach to prognosing European economic crises through the development of an economic-financial risk sensitivity model. The model integrates key macroeconomic indicators such as government deficit (NETGDP), GINI coefficient, social protection expenditure (ExSocP),...
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Does corporate policy risk affect stock liquidity? : panel data evidence from listed Companies in a Major Emerging Market
Sahu, Asis Kumar; Debata, Byomakesh; Gherghina, Ştefan … - In: Economies : open access journal 13 (2025) 2, pp. 1-27
This study examines the impact of firms' overall corporate policy risk on stock liquidity. This study constructs a novel overall corporate policies risk index (PRI) for firms by capturing risk embedded in managers' different policy decisions, such as investment, financing, diversification, and...
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A Kaleckian approach to the financialization-distribution-inflation nexus : Germany and Austria in comparative perspective
Dabrowski, Cara - 2025
In this paper, I extend the Hein and Stockhammer model of distribution and inflation by incorporating structural trends of financialization through three Kaleckian channels: (1) sectoral recomposition, (2) financial overhead costs and rentiers' profit claims, and (3) the bargaining power of...
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Real Estate Sector and Financial Stability Risks in Chile : Chile
Okuda, Tatsushi - 2025
The Chilean real estate sector has recently undergone adjustments which have increased the risks for the financial sector, but the system remains overall resilient. In the baseline, the real estate market is expected to modestly recover, and several factors mitigate credit risk. The buffers in...
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Capital account liberalization and sudden stops in global capital flows
Hao, Jia; Wang, Weining - In: International review of economics & finance : IREF 98 (2025), pp. 1-17
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Predicting financial market stress with machine learning
Aldasoro, Iñaki; Hördahl, Peter; Schrimpf, Andreas; … - 2025
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Climate Minsky Moments and endogenous financial crises
Kaldorf, Matthias; Rottner, Matthias - 2025
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How banks are impacted by and mediate the economic consequences of natural disasters and climate shocks : a review
Peters, Vinzenz - In: De economist : Netherlands Economic Review 173 (2025) 1, pp. 47-85
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Myanmar's enduring polycrisis : four years into a tumultuous journey
UNDP - 2025
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Carrying the (paper) burden : a portfolio view of systemic risk and optimal bank size
Bos, Jaap W. B.; Lamers, Martien; Peyrache, Antonio; … - In: Journal of the Operational Research Society 76 (2025) 4, pp. 607-616
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The impact of share repurchases on bank operating performance after the global financial crisis : a comparison between the U.S. and Europe
Corbalán, Juan; Ferrer, Román - In: International review of economics & finance : IREF 98 (2025), pp. 1-14
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Generative AI : the transformative impact of ChatGPT on systemic financial risk in Chinese banks
Zhao, Yikai; Dai, Runyu; Nagayasu, Jun - 2025
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Enhancing banking systemic risk indicators by incorporating volatility clustering, variance risk premiums, and considering distance-to-capital
Cevik, Emrah Ismail; Kenç, Turalay; Goodell, John W.; … - In: International review of economics & finance : IREF 97 (2025), pp. 1-23
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Will asset managers dash for cash? : implications for central banks
Cimon, David; Dion, Jean-Philippe; Fontaine, Jean-Sébastien - 2025
In times of stress, if the potential demand from asset managers for market liquidity approaches or exceeds dealers' ability to intermediate, it could lead to a precautionary but disruptive dash for cash and may lead central banks to intervene. If the likelihood of such a dash for cash increases...
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Family control and crash risk in East Asian firms : the mediating role of opacity
Hendra, Edwin; Utama, Cynthia Afriani; Lubis, Arief Wibisono - 2025
This study examines family control's direct and indirect impacts (mediated by opacity) on crash risk in East Asian firms. We hypothesize that family control can mitigate agency problems of bad news hoarding due to increasing firm opaqueness. We chose six East Asia countries as the research...
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Central Bank Digital Currencies : financial stability perspective
Kosanović, Nikola - In: Journal of central banking theory and practice 14 (2025) 1, pp. 145-162
Digitalization of the global economy, catalysed by advancements in blockchain technology and the rise of cryptocurrencies, has led to a paradigm shift in the monetary landscape. Central Bank Digital Currencies (CBDCs) have emerged as a transformative force with the potential to revolutionize...
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Household finance and well-being in Greece and Cyprus
Panos, Georgios A. - 2025
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Cost of foreign reserve accumulation in emerging market and developing economies
ʿAbd-al-H̱āliq, Ǧūda; Rizk, Amany - In: Review of economics and political science : REPS 10 (2025) 2, pp. 112-133
Purpose - This paper aims to obtain a recent estimate of the cost of precautionary foreign reserve accumulation that emerging market and developing economies (EMDEs) had to endure to protect themselves against the risks of financial globalization. In addition, the study estimates the cost of...
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Is financial stress a facilitating factor in cartel formation?
Huric-Larsen, Jesper Fredborg - In: Journal of economic criminology 7 (2025), pp. 1-9
It is well-known that failing to achieve key organizational goals may pressure managers to commit fraud, but can it be a facilitating factor in cartel formation as well? The purpose of this study is to understand if firms known to have been in a cartel were under financial stress in the period...
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The financial cycle index of Ukraine
Geršl, Adam; Dadashova, Pervin; Bazhenova, Yuliya; … - 2025
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Navigating banking resilience : bail-ins & bailouts in the Czech banking sector
Švéda, Josef - 2025
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The temporality of crisis and the crisis of temporality : on the construction and modulation of urgency during prolonged crises
Skade, Lorenzo; Lehrer, Elisa; Hamdali, Yanis; Koch, Jochen - 2025
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Challenges and opportunities for Korea's shipping industry in the era of globalization : the impact of financial crisis from 1998 to 2003
Kim, Sung June - In: The Asian Journal of Shipping and Logistics 41 (2025) 1, pp. 12-18
The Korean shipping industry, which underwent consolidation of shipping companies in the 1980s, continued to grow with the recovery of the global economy from the late 1980s to the first half of the 1990s. The civilian government that came to power after 30 years of military rule gradually...
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The spillover effect of US monetary policy on the international financial market : evidence from network analysis
Hou, Ying; Li, Wei; Wu, Dexiang; Zang, Ying; Quach, Long - In: Journal of management science and engineering 10 (2025) 1, pp. 111-125
The dominant role of the US dollar as a global currency allows the Federal Reserve's monetary policy to significantly influence economic and financial dynamics in other countries through mechanisms such as exchange rates, interest rates, and capital flows. This paper examines how shifts in the...
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ESG rating divergence and stock price crash risk
Ju, Chunhua; Fang, Xusheng; Shen, Zhonghua H. - 2025
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Housing boom-bust cycles and asymmetric macroprudential policy
Gatt, William - 2025
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Stock markets' reaction to the Russia-Ukraine crisis : GCC countries vs Europe
Elroukh, Ahmed W. - In: International trade, politics and development 9 (2025) 1, pp. 36-47
Purpose - This study investigates how the Russian invasion of Ukraine affected the stock markets of the Gulf Cooperation Council (GCC) countries in comparison to Europe and explores the varying responses of GCC markets. Design/methodology/approach - Using an event study framework, the impact of...
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"The moderating role of legal enforcement in ESG's impact on corporate crash risk: evidence from Asian stock market"
Woraphon Wattanatorn; Tatre Jantarakolica - In: Cleaner and responsible consumption 16 (2025), pp. 1-11
Environment, Social, and Governance (ESG) scores serve as an index that indicates the extent to which listed companies operate an eco-friendly and cleaner production process, are responsible to society, and are transparent and accountable with their shareholders and investors. This study...
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Dollar upheaval: this time is different
Jiang, Zhengyang; Krishnamurthy, Arvind; Lustig, Hanno; … - 2025
What can we learn from the high-frequency responses in bond and currency markets to the recent tariff announcement about the status of the U.S. dollar as the global reserve currency? The dollar depreciated by 6.5% after April 1 in spite of rising U.S. interest rates and market volatility, which...
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