Determinants of the application of macro prudential instruments
Year of publication: |
2017
|
---|---|
Authors: | Zakaria, Firano ; Fatine, Filali A. |
Published in: |
Comparative Economic Research. Central and Eastern Europe. - Warsaw : De Gruyter, ISSN 2082-6737. - Vol. 20.2017, 3, p. 117-136
|
Publisher: |
Warsaw : De Gruyter |
Subject: | financial stability | macro prudential | systemic risk |
Type of publication: | Article |
---|---|
Type of publication (narrower categories): | Article |
Language: | English |
Other identifiers: | 10.1515/cer-2017-0023 [DOI] 1027357652 [GVK] hdl:10419/184444 [Handle] |
Classification: | G12 - Asset Pricing ; E44 - Financial Markets and the Macroeconomy |
Source: |
-
Determinants of the application of macro prudential instruments
Zakaria, Firano, (2017)
-
A financial stress indicator for Germany
Metiu, Norbert, (2024)
-
Melting down : systemic financial instability and the macroeconomy ; conference paper
Hubrich, Kirstin, (2013)
- More ...
-
Determinants of the application of macro prudential instruments
Zakaria, Firano, (2017)
-
Imperfection of credit markets, speculative bubbles and financial acceleration Morocco
Zakaria, Firano, (2014)
-
Speculative bubble on the Moroccan real estate market : identification and cycles
Zakaria, Firano, (2016)
- More ...