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  • Search: subject:"collateral constraint"
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Year of publication
Subject
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collateral constraint 35 Collateral Constraint 32 Kreditsicherung 28 Collateral 27 Theorie 24 Theory 24 Liquidity constraint 16 Liquiditätsbeschränkung 15 monetary policy 14 Schock 13 Immobilienpreis 12 Shock 12 Collateral constraint 10 Financial crisis 10 Finanzkrise 10 Geldpolitik 10 Real estate price 10 Housing Demand 9 Income Fluctuations 9 Monetary policy 9 Overlapping Generations 9 Kreditrationierung 8 Business cycle 7 Credit rationing 7 Konjunktur 7 Dynamisches Gleichgewicht 6 Housing market 6 Dynamic equilibrium 5 Financial market 5 Finanzmarkt 5 Heterogeneity 5 Immobilienfinanzierung 5 Monetary Policy 5 fiscal policy 5 Bankruptcy 4 DSGE model 4 DSGE-Modell 4 Learning 4 Mortgage Markets 4 Wirkungsanalyse 4
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Online availability
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Free 77
Type of publication
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Book / Working Paper 68 Article 7 Other 2
Type of publication (narrower categories)
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Working Paper 39 Arbeitspapier 26 Graue Literatur 26 Non-commercial literature 26 Article in journal 4 Aufsatz in Zeitschrift 4 Conference Paper 1 Research Report 1
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Language
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English 56 Undetermined 20 German 1
Author
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Ortalo-Magné, François 9 Rady, Sven 9 Rubio, Margarita 5 Algozhina, Aliya 4 Calza, Alessandro 4 Damjanovic, Tatiana 4 Kuang, Pei 4 Monacelli, Tommaso 4 Schabert, Andreas 4 Stracca, Livio 4 Chen, Jie 3 Girdenas, Sarunas 3 Leung, Charles Ka Yui 3 Li, Zhe 3 Roeger, Werner 3 Sun, Jianfei 3 Székely, István P. 3 Ai, Hengjie 2 Chen, Chaoran 2 Chen, Suikang 2 Habib, Ashique 2 Huang, Kevin x.d. 2 Li, Jun E. 2 Li, Kai 2 Liu, Zheng 2 Loenser, Christian 2 Ng, Joe Cho Yiu 2 Nguyen, Quoc Hung 2 Rubio Sánchez, Margarita 2 Röttger, Joost 2 Schlag, Christian 2 Schuster, Florian 2 Veld, Jan in 't 2 Wang, Pengfei 2 Weder, Mark 2 Wysietzki, Marco 2 Zdrzalek, Jonas 2 Zha, Tao 2 Zhu, Xiaodong 2 Arevadze, Lasha 1
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Institution
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Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 6 Banco de España 2 Centre for Dynamic Macroeconomic Analysis, University of St. Andrews 2 Vanderbilt University Department of Economics 2 Bank of Japan 1 Business School, University of Exeter 1 CASE-Center for Social and Economic Research 1 Center for Economic Research and Graduate Education and Economics Institute (CERGE-EI) 1 Center for Financial Studies 1 Centre for Finance, Credit and Macroeconomics (CFCM), School of Economics 1 Centre pour la Recherche Économique et ses Applications (CEPREMAP) 1 Department of Economics, University of Birmingham 1 Development and Policies Research Center (Depocen) 1 European Central Bank 1 FIW 1 Hong Kong Institute for Monetary Research (HKIMR), Government of Hong Kong 1 School of Economics, Universiteit Utrecht 1 School of Economics, University of Adelaide 1 Society for Economic Dynamics - SED 1
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Published in...
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ECONtribute Discussion Paper 3 ECONtribute discussion paper 3 MPRA Paper 3 Banco de España Working Papers 2 CDMA Working Paper Series 2 Discussion Papers in Economics 2 Discussion paper series 2 Munich Discussion Paper 2 Münchener Wirtschaftswissenschaftliche Beiträge : VWL ; discussion papers 2 Vanderbilt University Department of Economics Working Papers 2 Working paper / University of Toronto, Department of Economics 2 2006 Meeting Papers 1 Annals of economics and statistics 1 Bank of Japan Working Paper Series 1 Beiträge zur Jahrestagung des Vereins für Socialpolitik 2024: Upcoming Labor Market Challenges 1 Birmingham Business School Discussion Paper Series 1 Borradores de economía 1 CAEPR working papers 1 CASE Network Studies & Analyses 1 CASE Network Studies and Analyses 1 CDMA working paper series 1 CERGE-EI Working Papers 1 CFS Working Paper 1 CFS Working Paper Series 1 Department of Economics discussion papers 1 Discussion Paper Series of SFB/TR 15 Governance and the Efficiency of Economic Systems 1 Discussion Papers / Business School, University of Exeter 1 Discussion Papers / Centre for Finance, Credit and Macroeconomics (CFCM), School of Economics 1 Discussion Papers / Department of Economics, University of Birmingham 1 Discussion paper / Institute of Social and Economic Research 1 Discussion papers / Department of Economics, The University of Birmingham 1 Discussion papers / Governance and the Efficiency of Economic Systems 1 Dynare Working Papers 1 ECB Working Paper 1 FIW Working Paper 1 FIW Working Paper series 1 FIW working paper 1 FRB Atlanta Working Paper 1 Federal Reserve Bank of Cleveland working paper series 1 Finance and economics discussion series 1
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Source
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ECONIS (ZBW) 30 RePEc 30 EconStor 15 BASE 2
Showing 1 - 10 of 77
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Optimal Time-Consistent Macroprudential Policy Revisited
Knapp, Fabian - 2025
This paper studies optimal time-consistent macroprudential policy in a model with endogenous capital formation. Previous studies on optimal time-consistent macroprudential policy in economies where borrowing is limited by the value of collateral assume that aggregate capital is fixed or apply...
Persistent link: https://www.econbiz.de/10015202305
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Housing boom-bust cycles and asymmetric macroprudential policy
Gatt, William - 2025
Persistent link: https://www.econbiz.de/10015396843
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Banking competition and the optimal development policy
Panit Wattanakoon; Wanissa Suanin - 2024
Persistent link: https://www.econbiz.de/10015069347
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Bayesian evaluation of dsge models with housing and collateral effects
Moura, Alban; Pierrard, Olivier - In: Annals of economics and statistics 155 (2024), pp. 91-124
Persistent link: https://www.econbiz.de/10015404375
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How heterogeneous beliefs trigger financial crises
Schuster, Florian; Wysietzki, Marco; Zdrzalek, Jonas - 2023
We present a theoretical framework to characterize how financial market participants contribute to systemic risk, allowing us to derive optimal corrective policy interventions. To that end, we embed belief heterogeneity in a model of frictional financial markets. We document the asymmetry that,...
Persistent link: https://www.econbiz.de/10014374645
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Regulatory collateral requirements and delinquency rate in a two-agent new Keynesian model
Kharazi, Aicha; Ravazzolo, Francesco - 2023
Persistent link: https://www.econbiz.de/10013549888
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Land-price dynamics and macroeconomic fluctuations with general household preferences
Chen, Been-lon; Lai, Zheng-Ze; Liao, Shian-Yu - 2023
Persistent link: https://www.econbiz.de/10014437496
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How heterogeneous beliefs trigger financial crises
Schuster, Florian; Wysietzki, Marco; Zdrzalek, Jonas - 2023
We present a theoretical framework to characterize how financial market participants contribute to systemic risk, allowing us to derive optimal corrective policy interventions. To that end, we embed belief heterogeneity in a model of frictional financial markets. We document the asymmetry that,...
Persistent link: https://www.econbiz.de/10014303139
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Corporate real estate holding and stock returns: International evidence from listed companies
Ng, Joe Cho Yiu; Leung, Charles Ka Yui; Chen, Suikang - 2022
This study examines the relationship between corporate real estate (CRE) holdings and stock returns before and after the Global Financial Crisis (GFC). We find that (1) the United States and the United Kingdom show a negative relationship before the GFC and positive after the GFC. (2) Firms that...
Persistent link: https://www.econbiz.de/10013349601
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Financial regulation, interest rate responses, and distributive effects
Loenser, Christian; Röttger, Joost; Schabert, Andreas - 2022
externalities induced by a collateral constraint. Limiting the loan-to-value ratio benefits only few unconstrained borrowers and …
Persistent link: https://www.econbiz.de/10013178166
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