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Year of publication
Subject
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Finanzkrise 62,955 Financial crisis 62,214 Welt 16,190 World 16,187 Wirtschaftskrise 9,308 Economic crisis 9,050 Theorie 7,738 Theory 7,727 Bankenkrise 7,072 Banking crisis 6,986 Geldpolitik 6,653 Monetary policy 6,549 Internationaler Finanzmarkt 5,233 International financial market 5,232 Financial market 5,217 Finanzmarkt 5,217 USA 5,195 EU countries 5,153 EU-Staaten 5,152 United States 5,076 Bank regulation 4,517 Bankenregulierung 4,517 Wirkungsanalyse 4,279 Impact assessment 4,278 Konjunktur 4,067 Business cycle 4,017 Bank 3,878 Financial market regulation 3,852 Finanzmarktregulierung 3,851 Systemic risk 3,184 Systemrisiko 3,179 Börsenkurs 3,168 Share price 3,162 Financial sector 3,150 Finanzsektor 3,149 Eurozone 3,122 Euro area 3,104 Risk 2,755 Bankrisiko 2,750 Bank risk 2,749
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Online availability
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Free 24,484 Undetermined 13,904 CC license 992 Digitizable 11
Type of publication
All
Book / Working Paper 33,269 Article 29,707 Journal 20
Subcategories
All
Article in journal 23,079 Working paper 10,834 Book section 5,706 Proceedings 1,113 Government document 208 Case study 123 Review 106 Literature review 81 Glossary included 56 Textbook 44 Guidebook 28 Handbook 23 Report 23 Statistics 20 Biography 15 Reference work 11 Introduction 8 Law 3
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Language
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English 58,242 German 3,260 French 486 Spanish 398 Russian 282 Polish 131 Italian 80 Portuguese 62 Undetermined 31 Swedish 19 Ukrainian 19 Czech 17 Serbian 16 Norwegian 15 Danish 14 Dutch 13 Slovak 13 Bulgarian 12 Croatian 8 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
All
Aizenman, Joshua 244 Acharya, Viral V. 178 Bordo, Michael D. 169 Eichengreen, Barry 156 Reinhart, Carmen M. 140 Caballero, Ricardo J. 132 Peydró, José-Luis 125 Kose, M. Ayhan 122 Claessens, Stijn 121 Krishnamurthy, Arvind 120 Allen, Franklin 119 Taylor, Alan M. 114 Laeven, Luc 113 Gorton, Gary 111 Shin, Hyun Song 101 Mendoza, Enrique G. 100 Stulz, René M. 100 Borio, Claudio E. V. 96 Adrian, Tobias 95 Schmukler, Sergio L. 94 Stiglitz, Joseph E. 91 Schularick, Moritz 89 Goodhart, Charles A. E. 87 Mishkin, Frederic S. 82 Gambacorta, Leonardo 78 Rogoff, Kenneth S. 76 Berger, Allen N. 74 Rebucci, Alessandro 73 Arestis, Philip 70 Dungey, Mardi H. 70 Wray, L. Randall 70 Belke, Ansgar 68 Metrick, Andrew 68 Carletti, Elena 65 Jinjarak, Yothin 65 Hein, Eckhard 64 Corsetti, Giancarlo 63 Park, Donghyun 62 Brunnermeier, Markus Konrad 61 Fecht, Falko 61
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Institution
All
National Bureau of Economic Research 891 World Bank 89 International Monetary Fund 80 Internationaler Währungsfonds 57 Edward Elgar Publishing 53 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 46 European Central Bank 45 International Monetary Fund / Monetary and Capital Markets Department 45 OECD 43 European Commission / Directorate-General for Economic and Financial Affairs 33 SUERF - The European Money and Finance Forum 31 European Parliament / Directorate-General for Internal Policies of the Union 29 Springer Fachmedien Wiesbaden 23 Nomos Verlagsgesellschaft 21 Asian Development Bank 20 Europäische Kommission / Generaldirektion Wirtschaft und Finanzen 19 Brookings Institution 17 European Systemic Risk Board 17 Weltbank 16 World Bank Group 15 Centre for International Economic Studies 14 Friedrich-Schiller-Universität Jena 14 Oesterreichische Nationalbank 14 World Scientific (Firm) 14 Sachverständigenrat zur Begutachtung der Gesamtwirtschaftlichen Entwicklung 13 Institute of Southeast Asian Studies 12 William Davidson Institute <Ann Arbor, Mich.> 12 Christian-Albrechts-Universität zu Kiel / Institut für Weltwirtschaft 11 Metropolis-Verlag für Ökonomie Gesellschaft und Politik GmbH 11 Centre for Economic Policy Research 10 European Parliament / Directorate-General for Economy, Transformation and Industry 10 FinanzBuch Verlag 10 Institute for International Economics 10 Massachusetts Institute of Technology / Department of Economics 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
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Published in...
All
NBER working paper series 875 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 397 Discussion paper / Centre for Economic Policy Research 377 Finance research letters 368 Journal of international money and finance 342 Working paper series / European Central Bank 287 International review of financial analysis 286 Working paper 285 Discussion papers / CEPR 264 Economic modelling 245 SpringerLink / Bücher 235 CESifo working papers 232 Journal of international financial markets, institutions & money 228 International review of economics & finance : IREF 223 Applied economics 218 Research in international business and finance 212 IMF Working Paper 205 IMF working paper 204 Applied economics letters 190 ECB Working Paper 171 Economics letters 163 Discussion paper 155 Journal of financial economics 154 Journal of international economics 150 Pacific-Basin finance journal 148 Policy research working paper : WPS 144 The North American journal of economics and finance : a journal of financial economics studies 143 Finance and economics discussion series 142 Intereconomics : review of European economic policy 139 Journal of economic dynamics & control 138 Wirtschaftsdienst : Zeitschrift für Wirtschaftspolitik 135 Journal of monetary economics 128 Staff reports / Federal Reserve Bank of New York 126 Working papers / The Levy Economics Institute 122 Discussion paper series 120 Working paper series 118
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Source
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ECONIS (ZBW) 62,823 USB Cologne (EcoSocSci) 154 EconStor 19
Showing 1 - 50 of 52,326
 
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Roles of banks in times of crisis : more regulation or moral capital?
Ilesanmi, Kehinde Damilola; Tewari, Devi D. - 2026
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Repo market networks : dynamics under financial stress
Schöller, Vanessa - 2026
The smooth functioning of the repo market is essential to financial stability. However, the market has faced repeated episodes of stress in recent years. This paper examines the resilience of the euro-denominated repo market during recent episodes of elevated financial stress, drawing on...
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Who to regulate? : Identifying actors within DeFi's governance
Born, Alexandra; Gati, Zakaria; Lambert, Claudia; … - 2026
Decentralised Finance (DeFi) emerged in 2021 as a fast-growing crypto segment, attracting policymakers' attention due to its innovative approach of delivering financial services without relying on centralised intermediaries. This paper assesses DeFi governance arrangements for regulating and...
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Money manager capitalism and the growth and spread of Ponzi finance, private market version
Tymoigne, Éric - 2026
Private debt and equity markets have been a funding source for nascent and credit constrained businesses for several decades. Following the 2008 financial crisis, an economic environment characterized by low interest rates, cautious banks, and tighter financial regulations - together with money...
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Smog, not lights : tracking Bolivia's 2024-2026 recession from space
Hernani-Limarino, Werner; Eid, Ahmed - 2026
Nighttime lights are the standard satellite proxy for economic activity, but they fail to detect recessions. On a 2020-2024 panel of nine Bolivian departments, VIIRS lights match the sign of PIB growth 78 percent of the time during expansions but only 39 percent during contractions - worse than...
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Transformed intermediation : credit risk to nbfis, liquidity risk to banks
Acharya, Viral V.; Cetorelli, Nicola; Tuckman, Bruce - 2026
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Transformed intermediation : credit risk to NBFIs, liquidity risk to banks
Acharya, Viral V.; Cetorelli, Nicola; Tuckman, Bruce - 2026
Book / Working Paper
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Pushing the limit : how borrowers tackle an LTV cap
Coulier, Lara; De Schryder, Selien; Van Den Heuvel, Milan; … - 2026
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The resilience of banks' exposure to the commercial real estate market in Slovenia
Ćirjaković, Jelena - 2026
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Same shock, separate channels : house prices and firm performance in the Great Recession
Blackwood, G. Jacob - 2026
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The U.S. multinational advantage during the 2008-2009 financial crisis : the role of services trade
Kamal, Fariha; Kroff, Zachary - 2026
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Regulatory responses to the financial stability implications of stablecoins
Bindseil, Ulrich - 2026 - Final version: 11 February 2026
In essence, the currently large stablecoins are electronic money issued by narrow balance sheet vehicles into a distributed ledger (or a "programmable platform"). Many believe that they will have significant success as a new form of money. Members of the current US administration expect that US...
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Sovereign debt dynamics at the brink of default and the special role of supranational lenders
Zwart, Sanne - 2026
Compared with the relatively straightforward definition of a default event, assessing sovereign debt sustainability remains a grey area. The interaction between fiscal choices, lenders' expectations and economic uncertainty creates a setting in which-particularly when a default...
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Evaluation and prediction of stock market crash risk in Mexico using log-periodic power-law modeling
Sunil, Suryansh; Goyal, Amit Kumar; Mahadeva, Rajesh; … - 2026
This study applies the Log-Periodic Power-Law (LPPL) framework to three major equity markets-Mexico (IPC), Brazil (IBOVESPA), and the United States (NYSE Composite)-using daily closes from 8 November 1991-30 January 2025 for IPC and NYSE, and 3 May 1993-30 January 2025 for IBOVESPA. Multi-window...
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Deep hybrid CNN-LSTM-GRU model for a financial risk early warning system
Muhammad Ali Chohan; Li, Teng; Abrar, Mohammad; … - 2026
Financial risk early warning systems are essential for proactive risk management in volatile markets, particularly for emerging economies such as China. This study develops a hybrid deep learning model integrating Convolutional Neural Networks (CNNs), Long Short-Term Memory (LSTM), and Gated...
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Securitization, bank regulation, and the macroeconomy
Luintel, Kul B.; Torres, José L. - 2026
We develop a general equilibrium framework in which a commercial banker, constrained by capital adequacy requirements, creates a special purpose vehicle (SPV) to hold securitized assets off its balance sheet. By operating the bank and SPV as separate entities, the banker circumvents regulation,...
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Modernizing Palau's Financial System : Opportunities and Risks
Davico, Ricardo - 2026
Palau’s financial system faces structural challenges that inhibit effective financial intermediation, mobilization of domestic savings, and payment system efficiency. The authorities have been striving to address these challenges through digital initiatives. While these initiatives are...
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Financial Inclusion, Credit Booms, and Financial Stability Risk
Barajas, Adolfo - 2026
Economic benefits of financial inclusion, meaning a broadening access of the population to financial services, have been studied extensively, but less is known about its potential effects on financial stability. We explore the complementarity between credit booms and episodes of rapid expansion...
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From Par to Pressure : Liquidity, Redemptions, and Fire Sales with a Systemic Stablecoin
Gross, Marco - 2026
Fiat-backed stablecoins are expanding, and their issuers may attain systemic relevance as reserve portfolios grow and as they become increasingly intertwined with financial markets. This paper analyzes the resulting risks and the design choices that can mitigate them. A detailed...
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A public-private partnership? : central bank funding and credit supply
Chavaz, Matthieu; Elliott, David; Monroe, Win - 2026
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015613835
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Haiti Rapid Crisis Impact Assessment
2026
After having several multidimensional crises affect Haiti for years, the country is at a critical juncture. Recognizing that tangible economic, social, and institutional recovery must accompany progress in the political transition, the government of Haiti launched the Rapid Crisis Impact...
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Financial leverage, political connection, profitability and firm value during global crisis era : a moderated mediation analysis
Sari, A.A. Pt. Agung Mirah Purnama; Tjahjadi, Bambang - 2026
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Systemic risk transmission in commodity markets
Georgescu, Irina - 2026
This paper investigates tail-risk transmission and asymmetric dependence in commodity markets using an asymmetric fuzzy vine copula framework applied to gold, crude oil, natural gas, and silver from 1 January 2015 to 1 January 2025, extracted from Yahoo Finance. Bootstrap-based trapezoidal fuzzy...
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Artificial intelligence : friend, foe, fraud
Wray, L. Randall - 2026
The over-hyped Dot.com revolution bubbled and crashed at the end of the 1990s, leaving a largely unused physical and virtual infrastructure that eventually supported the rise of social media that did-indeed-transform life. Not necessarily in a good way. As Robert Gordon famously claimed, you can...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015614175
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Financial stability under climate stress : empirical evidence from Namibia
Kaune, Jaungura; Esterhuizen, Andy; Undji, Valdemar J. - 2026
Climate change has emerged as one of the defining risks in recent years. These risks are associated with economic losses and, ultimately, the stability of the financial system. This study examines the impact of climate change on financial stability in Namibia using quarterly data spanning from...
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Financial stability under climate stress : empirical evidence from Namibia
Kaune, Jaungura; Esterhuizen, Andy; Undji, Valdemar - 2025
Book / Working Paper
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Managing the components of working capital in terms of economic recession : a synergistic effect on the financial and economic standing of a company
Iershova, Natalia Y.; Portna, Oksana V.; Mahdysiuk, … - 2026
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Disasters, ambiguity, and crash betas
Meyerheim, Gerrit - 2026 - Original Version: October 2025, This Version: March 2026
This paper develops a tractable consumption-based asset-pricing model in an i.i.d. economy that combines rare consumption disasters with ambiguity aversion implemented as a one-period entropic tilt under CRRA utility. Closed-form expressions for the risk-free rate, equity return moments, and the...
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The credit gap as a real-time early warning indicator of financial imbalances : a South African perspective
Msiska, Wongani; Sikhosana, Ayanda; Vermeulen, Cobus - 2026
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015615329
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Sukuk, financial crises and growth : empirical evidence from Islamic capital markets
Naz, Syeda Arooj; Gulzar, Saqib; Hassan, M. Kabir - 2026
This paper analyses the role of Sukuk issuance in driving economic growth amid the Global Financial Crisis (2007-2009), considering both short-term fluctuations and long-term outcomes during periods of financial distress.Using the Pooled Mean Group (PMG) approach of the ARDL model, the study...
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Liquidity spirals
Wiersema, Garbrand; Kemp, Esti; Farmer, J. Doyne - 2026
The financial crisis of 2007-2008 highlighted the risks that liquidity spirals pose to financial stability. We introduce a novel method for studying liquidity spirals and use this method to identify spirals before stock prices plummet and funding markets lock up. We show that liquidity spirals...
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Private money and public debt. U.S. Stablecoins and the global safe asset channel
Ferrari, Massimo Minesso; Siena, Daniele - 2026
This paper studies the international macro-financial implications of U.S. dollar-backed payment stablecoins. These digital assets create a new global safe asset channel that links private money creation and global payment needs directly to U.S. public debt. By reshaping the demand for safe...
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Quantifying Minsky cycles
Ristolainen, Kim - 2026
We develop a novel sentiment measure from survey forecasts that captures the component of beliefs arising from the systematic misaggregation of public information relative to a machine benchmark based on the same information set. We extend this sentiment measure historically for a panel of 78...
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Quantifying Minsky cycles
Ristolainen, Kim - 2026
Book / Working Paper
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The Global Sanitation Crisis : A Systems Approach to Resilient Citywide Inclusive Sanitation
Hyde-Smith, Leonie; Gambrill, Martin P. - 2026
This background paper highlights the urgent need for climate‑resilient sanitation systems as cities face increasing climate‑related pressures. The growing impacts of extreme weather events expose the deep interconnections between sanitation and other essential urban systems, including water...
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Safeguarding Financial Inclusion During Crises : Lessons for Policymaking
Quevedo-Vega, Camila; Uribe, Jorge M.; Kumaraswamy, Sai K. - 2026
Systemic crises pose pressing threats and jeopardize economic growth and prosperity. These recurrent events disproportionately affect vulnerable households as well as micro-, small-, and medium-sized enterprises (MSME), all of whose limited financial assets and restricted access to finance...
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Contagious prejudice : the marocchinate
Ghidoni, Riccardo; Schindler, David - 2026
During World War II, French Moroccan troops performed numerous acts of (sexual) violence against the Italian population, known in Italy as the Marocchinate. We demonstrate that these events led to contagion in prejudice: They triggered a pronounced shift to the far right following the recent...
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Has IPO market structure fundamentally changed? : evidence from negative binomial regression with structural breaks
Herley, Michael D. - 2026
This paper introduces Bai-Perron structural break detection combined with negative binomial regression to model overdispersed U.S. IPO count data. Using monthly data from 1995 to 2024, we identify five breaks that partition IPO activity into six distinct regimes, each with fundamentally...
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Lender of Last Resort and financial systemic risks in times of economic stability : evidence from 55 countries
Miao, Wenlong; Ma, Yuxian; Huo, Yuanyuan - 2026
As a cornerstone of the modern financial safety net, the Lender of Last Resort (LOLR) is essential in mitigating liquidity crises and containing financial contagion. However, during periods of economic stability, risk-taking incentives in the banking sector may undermine its effectiveness. Using...
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Systemic operational risk in Morocco's banking sector : an empirical analysis using panel VAR
El Khadi, Kawtar; Firano, Zakaria - 2026
This study examines the systemic operational risk in Morocco's banking sector using a Panel VAR model based on data from three banks over ten years. The model includes real GDP, interbank rate (TMP), and bank credit, alongside indicators of operational, credit, and liquidity risks. The Impulse...
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Distance to governance regulatory on financial performance : evidence from managerial disclosure activities at Vietnam
Nguyen, Thi Ngoc Anh; Jung, Hail - 2026
This study examines how geographic distance to Vietnam's centralized securities regulator-the State Securities Commission (SSC)-influences firm-level stock price crash risk. In emerging markets characterized by weak governance, corruption, and political connections, distance can erode monitoring...
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When banks and insurers move together : why systemic risk lives in the tails?
Benlaghaa, Noureddinne; Shafiqa, Fahad; Al-Derhamand, … - 2026
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015592004
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Global shocks, institutional development, and trade restrictions : what can we learn from crises and recoveries between 1990 and 2022?
Aizenman, Joshua; Itō, Hiro; Park, Donghyun; Saadaoui, … - 2026
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Global Shocks, Institutional Development, and Trade Restrictions : What Can We Learn from Crises and Recoveries Between 1990 and 2022?
Aizenman, Joshua; Itō, Hiro; Park, Donghyun; Saadaoui, … - 2025
Book / Working Paper
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Weaker today, stronger tomorrow : peer learning and firm innovation after the great recession
Traversa, Marina - 2026
Can a recession have a positive, long-term impact on firm innovation? A downturn represents an opportunity for firms to learn from their peers and try to understand the main drivers of resilience. If they deem R&D capital one of them, they may raise innovation in the following years, in order to...
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Tourism demand forecasting in normal and crisis times : combining bootstrap-aggregating and bayesian approaches
Liu, Xinyang; Liu, Anyu; Chen, Jason Li; Li, Gang; … - 2026
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Debt imperialism : from financial hegemony to the chaos of semi-peripheries
Brunazzi, Gianmaria; Re, Cristina - 2026
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015604706
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Disentangling the "shadow banking" metaphor
Labat Moles, Héctor - 2026
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A simple prudential-effort foundation for the financial trilemma
Nolan, Charles - 2026
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Money demand by non-financial corporations
Nocciola, Luca - 2026
We document empirically the money demand by European non-financial corporations by exploiting a unique and brand-new survey on their cash usage in a stress period. We also assess: (i) the relation between cash held and firm size; and (ii) estimate point values of cash holdings and carry out...
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How do macroprudential measures affect mortgage lending standards? : evidence from the ECB's Bank Lending Survey
Behn, Markus; Lo Duca, Marco; Perales, Cristian - 2026
Using information from the ECB's Bank Lending Survey, we examine how the implementation of borrower-based macroprudential measures (BBMs) between 2009-Q1 and 2023-Q3 affected mortgage lending standards in a sample of 15 euro area countries. We find that banks generally tightened credit standards...
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Looser, tighter, clearer : a new Financial Conditions Index for the euro area
Bletzinger, Tilman; Martorana, Giulia; Mistak, Jakub - 2026
Financial Conditions Indices (FCIs) are a widely used tool for assessing the broader monetary policy stance beyond the central bank's direct control. This paper presents a novel vector autoregressive (VAR) model that includes key macroeconomic variables and maps financial variables into a single...
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Stabilizing credit when nonperforming loans surge : the role of asset management companies
Martin, Reiner; O'Brien, Edward J.; Peiris, Udara; … - 2026
When default losses elevate borrowing costs, expanding credit cannot stabilize the economy because default rates feed back to lending rates through bank balance sheets. Asset management companies (AMCs) break this loop by purchasing nonperforming loans at their long-run recovery values, thereby...
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Monetary policy, fragility, and fund flows
Fecht, Falko; Kellers, Moritz - 2026
We study how monetary policy is transmitted through the open-end investment fund (OEIF) sector and how this transmission depends on fund fragility. Using high-frequency identified ECB monetary policy surprises and daily share-class data on German-domiciled OEIFs from 2010 to 2023, we show that...
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