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Year of publication
Subject
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Bankenaufsicht 9,722 Banking supervision 9,722 Bankenregulierung 3,762 Bank regulation 3,760 Welt 2,026 World 2,025 Finanzkrise 1,791 Financial crisis 1,770 Bank 1,682 Basel Accord 1,670 Basler Akkord 1,670 Regulierung 1,555 Regulation 1,481 EU countries 1,464 EU-Staaten 1,464 Bankrisiko 1,438 Bank risk 1,437 Finanzsektor 1,176 Financial sector 1,175 Theorie 1,092 Theory 1,092 Bankenkrise 995 Finanzmarktregulierung 989 Financial market regulation 988 Banking crisis 982 Financial supervision 951 Finanzmarktaufsicht 951 USA 773 United States 762 Risikomanagement 730 Risk management 696 Kreditrisiko 676 Credit risk 669 Deutschland 668 Geldpolitik 667 Monetary policy 663 Germany 653 Central bank 650 Zentralbank 648 Kreditgeschäft 561
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Online availability
All
Free 4,082 Undetermined 1,460 CC license 110 Digitizable 2
Type of publication
All
Book / Working Paper 5,802 Article 3,808 Journal 123
Type of publication (narrower categories)
All
Article in journal 2,750 Aufsatz in Zeitschrift 2,750 Graue Literatur 2,396 Non-commercial literature 2,396 Arbeitspapier 1,520 Working Paper 1,520 Aufsatz im Buch 976 Book section 976 Collection of articles of several authors 333 Sammelwerk 333 Hochschulschrift 253 Amtsdruckschrift 184 Government document 184 Thesis 173 Konferenzschrift 155 Aufsatzsammlung 147 Conference proceedings 106 Annual report 66 Jahresbericht 66 Handbook 46 Handbuch 46 Statistik 39 Conference paper 34 Konferenzbeitrag 34 Statistics 26 Bibliografie enthalten 24 Bibliography included 24 Collection of articles written by one author 24 Sammlung 24 Amtliche Publikation 20 Gesetz 19 Law 19 Case study 18 Fallstudie 18 Mehrbändiges Werk 17 Multi-volume publication 17 Country report 16 Länderbericht 16 Festschrift 14 Bibliografie 12
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Language
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English 8,345 German 1,092 French 83 Spanish 78 Italian 50 Polish 44 Russian 38 Portuguese 8 Undetermined 8 Ukrainian 5 Danish 4 Lithuanian 4 Dutch 4 Norwegian 4 Swedish 4 Romanian 3 Albanian 3 Finnish 2 Serbian 2 Bulgarian 1 Czech 1 Modern Greek (1453-) 1 Croatian 1 Hungarian 1 Armenian 1 Macedonian 1 Slovenian 1 Chinese 1
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Author
All
Masciandaro, Donato 74 Kane, Edward J. 73 Schoenmaker, Dirk 63 Barth, James R. 58 Goodhart, Charles A. E. 51 Levine, Ross 47 Demirgüç-Kunt, Asli 42 Beck, Thorsten 41 Quintyn, Marc 41 Caprio, Gerard 39 Taylor, Michael 38 Acharya, Viral V. 37 Mayes, David G. 37 Nieto, María J. 37 Wall, Larry D. 33 Repullo, Rafael 31 Ingves, Stefan 28 Ojo D Delaney PhD, Marianne 27 Calomiris, Charles W. 26 Gros, Daniel 26 Llewellyn, David T. 26 Tröger, Tobias 26 Kaufman, George G. 25 Čihák, Martin 23 Hirtle, Beverly J. 22 Koetter, Michael 22 Krahnen, Jan Pieter 22 Mishkin, Frederic S. 22 Ongena, Steven 22 Paul, Stephan 22 Rosengren, Eric S. 22 Hellwig, Martin 21 Hartmann-Wendels, Thomas 20 Burghof, Hans-Peter 19 Carletti, Elena 19 Davis, E. Philip 19 Lannoo, Karel 19 Melecký, Martin 19 Berger, Allen N. 18 Claessens, Stijn 18
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Institution
All
International Monetary Fund 256 Internationaler Währungsfonds 145 Basel Committee on Banking Supervision 118 International Monetary Fund / Monetary and Capital Markets Department 86 Internationaler Währungsfonds / Monetary and Capital Markets Department 72 National Bureau of Economic Research 68 World Bank 48 European Central Bank 45 European Parliament / Directorate-General for Internal Policies of the Union 38 USA / General Accounting Office 29 World Bank Group 18 Europäisches Parlament / Referat Unterstützung des Wirtschaftspolitischen Handelns 17 Europäische Zentralbank 14 International Organization of Securities Commissions 14 Single Resolution Board 14 USA / Government Accountability Office 14 European Banking Authority 11 Group of Thirty 11 Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart> 10 International Monetary Fund (IMF) 10 Oesterreichische Nationalbank 10 Edward Elgar Publishing 9 European Systemic Risk Board 9 Federal Reserve Bank of Chicago 9 Banco de España 8 Brookings Institution 8 International Association of Insurance Supervisors 8 Internationaler Währungsfonds / Monetary and Financial Systems Department 8 SUERF - The European Money and Finance Forum 8 Sachverständigenrat zur Begutachtung der Gesamtwirtschaftlichen Entwicklung 8 Banca d'Italia 7 Bank für Internationalen Zahlungsausgleich 7 Institut für Finanzstabilität 7 Stiftung Marktwirtschaft / Kronberger Kreis 7 Friedrich-Schiller-Universität Jena 6 Hayastani Hanrapetowt'yan Kentronakan Bank 6 Inter-American Development Bank 6 International Monetary Fund / European Dept 6 Nomos Verlagsgesellschaft 6 OECD 6
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Published in...
All
IMF Staff Country Reports 318 IMF country report 314 IMF working papers 122 Journal of financial stability 90 Journal of banking & finance 88 Journal of banking regulation 82 IMF working paper 71 NBER working paper series 66 Working paper / National Bureau of Economic Research, Inc. 59 Journal of financial regulation and compliance : an international journal 52 Working paper series / European Central Bank 52 NBER Working Paper 51 Discussion paper / Centre for Economic Policy Research 45 Policy research working paper : WPS 42 Journal of risk management in financial institutions 41 Bank-Archiv : Zeitschrift für das gesamte Bank- und Börsenwesen : journal of banking and financial research 36 Discussion papers / CEPR 36 Finance and economics discussion series 36 Journal of financial intermediation 36 IMF Working Paper 34 Journal of financial services research : JFSR 34 World Bank E-Library Archive 34 SpringerLink / Bücher 32 Journal of money, credit and banking : JMCB 31 Zeitschrift für das gesamte Kreditwesen : Pflichtblatt der Frankfurter Wertpapierbörse 28 Policy Research Working Paper 27 Staff reports / Federal Reserve Bank of New York 27 Journal of international money and finance 26 Working paper series 25 Journal of economic policy reform 24 Die Bank 23 Revue d'économie financière : revue trimestrielle de l'Association Europe finances régulations 23 Wirtschaftsdienst : Zeitschrift für Wirtschaftspolitik 23 Working paper 23 Discussion paper 22 FSI insights on policy implementation 22 Journal of financial regulation 22 Journal of international financial markets, institutions & money 22 SAFE working paper 22 CESifo working papers 21
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Source
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ECONIS (ZBW) 9,722 RePEc 11
Showing 1 - 50 of 9,733
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Transformed intermediation : credit risk to NBFIs, liquidity risk to banks
Acharya, Viral V.; Cetorelli, Nicola; Tuckman, Bruce - 2026
We argue that the rapid asset growth of nonbank financial intermediaries (NBFIs) relative to banks is the outcome of transformations of risks between banks and NBFIs that increase the interconnectedness of the two sectors. These transformations are consistent with avoiding tighter, post-GFC bank...
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Disentangling the "shadow banking" metaphor
Labat Moles, Héctor - 2026
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Bank failures : the roles of solvency and liquidity
Correia, Sergio; Luck, Stephan; Verner, Emil - 2026
Bank failures can stem from runs on otherwise solvent banks or from losses that render banks insolvent, regardless of withdrawals. Disentangling the relative importance of liquidity and solvency in explaining bank failures is central to understanding financial crises and designing effective...
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How severe are European regulatory stress test scenarios? : a probabilistic calibration for the euro area
Dallari, Pietro; Gattini, Luca - 2026
This paper applies the Growth-at-Risk (GaR) framework to assess downside risks to euro area GDP growth, and it examines its usefulness for stress testing. Supervisory stress-test scenarios are often criticized for being either too mild or implausibly severe, raising questions about calibration....
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015560826
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Risky firms and fragile banks : implications for macroprudential policy
Gasparini, Tommaso; Lewis, Vivien; Moyen, Stéphane; … - In: Journal of international money and finance 160 (2026), pp. 1-17
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Supervising failing banks
Correia, Sergio; Luck, Stephan; Verner, Emil - 2025
This paper studies the role of banking supervision in anticipating, monitoring, and disciplining failing banks. We document that supervisors anticipate most bank failures with a high degree of accuracy. Supervisors play an important role in requiring troubled banks to recognize losses, taking...
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Ratings and banking regulation : a shift from productive (Basel II), to contradictory (EBA-GL LOM and supervisory practices), to dangerous (Basel 3+ and CRR3)
De Laurentis, Giacomo - In: Risk management magazine 20 (2025) 2, pp. 54-61
External ratings (agency ratings) and internal ratings were already in use before Basel II, as powerful management tools. Basel II "adopts" them (the former in the Standard approach, the latter in the IRB approaches) in a productive way: internal ratings represent the final summary of the...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015467913
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From one crisis to another : the European central bank's role from the great recession to the Ukraine war
Chesini, Giusy; Fauri, Francesca - In: Constitutional political economy 36 (2025) 2, pp. 224-244
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A quick stress testing methodology for Irish banks
Bro de Comères, Quentin; Mugrabi, Farah; Lyons, Paul - 2025
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A reversed early warning methodology for optimal bank profit retention recommendations
Jakubik, Petr; Moinescu, Bogdan Gabriel - In: International journal of finance & economics : IJFE 30 (2025) 4, pp. 3457-3475
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Cross-border banking and bank stability : evidence from Sub-Saharan Africa
Gondwe, Sopani; Gwatidzo, Tendai; Mahonye, Nyasha - In: Journal of banking regulation 26 (2025) 2, pp. 196-213
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Resolution of non-performing assets : regulatory, supervisory and policy response in India in pre- and post-COVID-19 scenario
Dimri, Ayush - In: Journal of banking regulation 26 (2025) 3, pp. 531-552
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Introduction to special issue on human capital in financial regulation and supervision
Vanatta, Sean H.; Hotori, Eiji; Yago, Kazuhiko - In: Management & organizational history : M&OH 20 (2025) 1, pp. 1-10
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Who watches the watchdogs? : Central bank board members and banking supervisors in Switzerland (1907-2008)
Giddey, Thibaud - In: Management & organizational history : M&OH 20 (2025) 1, pp. 81-107
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Appearances can be deceiving : the Swedish Bank Act and actor influence in different regulatory regimes
Kahn, Cecilia - In: Business history 67 (2025) 6, pp. 1623-1645
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The impact of geopolitical risks on the resilience of banks in the Banking Union
Haselmann, Rainer; Heider, Florian; Kaiser, Luis Enrique; … - 2025
This study quantifies the impact of geopolitical risk on euro area banks using the 2025 EU-wide stress test, the first to include an explicit geopolitical scenario. Comparing outcomes with earlier stress tests, we find that geopolitical shocks measurably erode capital ratios, with smaller and...
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European global systemically important banks, banking supervisory power, and audit fees
Lobo, Gerald J.; Oberson, Romain; Schatt, Alain - In: The European accounting review 34 (2025) 3, pp. 973-998
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Lean macroprudentialism and the centrality of resolution : why Europe's ex ante framework cannot deliver stability
Lindner, Vincent; Pelizzon, Loriana - 2025
This paper argues that the European macroprudential regime has evolved into a complex architecture of buffers, national discretion, and instrument-specific controls due to persistent doubts regarding the credibility of the EU bank resolution regime. Moreover, macroprudential controls are...
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Climate Transition Risk Stress Testing Framework for the Banking Sector in Albania
World Bank - 2025
This first climate transition risk stress test for the Albanian banking sector assesses the macroeconomic and financial sector implications of Albania's shift to a low-carbon economy under different climate policy scenarios. It builds upon earlier exposure analyses conducted for the Albanian...
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The 2024 Revised Basel Core Principles For Effective Banking Supervision : Benefits and Practical Challenges For Emerging Markets and Developing Economies
World Bank - 2025
This paper examines the benefits and implementation challenges of the newly revised Basel Core Principles (BCPs) for effective banking supervision. It outlines the rationale for the 2024 reform led by the Basel Committee on Banking Supervision (BCBS), highlights key enhancements, and provides...
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Can the banking union work without common deposit Guarantees? : The initial market assessment and policy implications☆
Ferri, Giovanni; Pesic, Valerio - In: International review of economics & finance : IREF 101 (2025), pp. 1-16
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Cross-border effects of Fed capital requirements on emerging market banks' funding: the Colombian case
Gómez, Camilo; Escobar-Villarraga, Mariana; Melo … - 2025
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Greening the present to decarbonise the future : an analysis of Italian banks' decarbonisation strategies
Angelico, Cristina; Lionetti, Valeria; Ridi, Ludovico - 2025
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A pragmatic approach to simplification : the case of banking regulation in the EU
Cannata, Francesco; Serafini, Luca - 2025
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Financial integration, contagion and policy implications
Hasman, Augusto; Samartín Sáenz, Margarita - In: International review of economics & finance : IREF 102 (2025), pp. 1-11
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NMDs logistic regression model
Cappellina, Luca; Sartore, Domenico - 2025
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Principles for the management of credit risk
Basel Committee on Banking Supervision - 2025
The Committee has revised its principles for the management of credit risk (Credit Risk Principles). These principles provide guidelines for banking supervisory authorities to evaluate banks' credit risk management processes in four key areas: (i) establishing a suitable credit risk environment;...
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Breaking the deadlock : a single supervisor to unshackle Europe's capital markets union
Véron, Nicolas - 2025
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Philippines : Developing a Regulatory and Supervisory Framework for Operational Resilience
Ravikumar, Rangachary - 2025
Monetary and Capital Markets (MCM) department delivered a hybrid technical assistance (TA) mission to assist the Bangko Sentral ng Pilipinas (BSP) in developing a supervisory framework for operational resilience. An earlier mission in 2022 assisted BSP to develop a regulatory framework for...
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Slovak Republic : Financial Sector Assessment Program-Technical Note on Regulation and Supervision of Less Significant Institutions
International Monetary Fund / Monetary and Capital … - 2025
This technical note focuses on regulation and supervision of less significant institutions as part of the Slovak Republic's Financial Sector Assessment Program. Národná banka Slovenska's (NBS) supervisory approach focuses on Less Significant Institution (LSI) risks and vulnerabilities however...
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Lao, People's Democratic Republic : Training on Risk-Based Supervision
Tower, Ian - 2025
Supporting the Authority´s objectives on development of risk-based supervision of the banking sector, this technical assistance for the Bank of Lao P.D.R., conducted in Vientiane from June 10-14, 2024, provided advice on improvement of the aspects of risk-based supervision, including revising...
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Doom loop, trilemma, and moral hazard : which narrative of the banking union did stock market investors buy?
Körner, Tobias; Papageorgiou, Michael - In: European journal of political economy 87 (2025), pp. 1-16
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Doom loop, trilemma, and moral hazard : which narrative of the banking union did stock market investors buy?
Körner, Tobias; Papageorgiou, Michael - In: European journal of political economy 88 (2025), pp. 1-16
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Black swans and financial stability : a framework for building resilience
Barth, Daniel; Schreft, Stacey L. - 2025
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Lessons on supervisory effectiveness : a literature review
Badev, Anton; Baztán Gutiérrez, Laura; Lopes, Samuel … - Basel Committee on Banking Supervision - 2025
This literature review aims to support the work of the Basel Committee on Banking Supervision by providing insights from academic and policy work (including policy notes and speeches). It also draws on lessons from observed bank failures and supervisory practices. It provides key messages on...
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Effectiveness of micro- and macroprudential measures in 2014-2022 in Russia : endogenous treatment effects estimation
Lymar, Maria S.; Penikas, Henry I. - In: Russian journal of economics 11 (2025) 2, pp. 168-196
The objective of the current work is to estimate to what extent support measures of the Bank of Russia and the Government of the Russian Federation promoted financial stability of banks and the financial market overall so to sustain lending economy-wide during the crisis periods of 2014, 2020,...
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Market reactions to the Basel reforms : implications for shareholders, creditors, and taxpayers
Krettek, Jonas - In: The quarterly review of economics and finance 101 (2025), pp. 1-34
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Effect of the GSIB surcharge on the systemic risk posed by the activities of GSIBs
Migueis, Marco; Peirce, Sydney - 2025
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A novel multi-step-prompt approach for LLM-based Q&As on banking supervisory regulations
Licari, Daniele; Benedetto, Canio; Bovi, Daniele; … - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015408896
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Regulation, supervision, and bank risk-taking
Repullo, Rafael - 2025
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The disciplining effect of bank supervision : evidence from SupTech
Degryse, Hans; Huylebroek, Cédric; Doornik, Bernardus … - 2025
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The theory of financial stability meets reality
Boyarchenko, Nina; Hachem, Kinda; Kleymenova, Anya - 2025
A large literature at the intersection of economics and finance offers prescriptions for regulating banks to increase financial stability. This literature abstracts from the discretion that accounting standards give banks over financial reporting, creating a gap between the information assumed...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015414021
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The theory of financial stability meets reality
Boyarchenko, Nina; Hachem, Kinda; Kleymenova, Anya - 2025
A large literature at the intersection of economics and finance offers prescriptions for regulating banks to increase financial stability. This literature abstracts from the discretion that accounting standards give banks over financial reporting, creating a gap between the information assumed...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015418052
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ECB annual report on supervisory activities 2024
European Central Bank - 2025
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ECB annual report on supervisory activities 2024
European Central Bank - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015428808
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Machine learning for predicting bank stability : the role of income diversification in European banking
Farag, Karim; Ali, Loubna; Mutai, Noah Cheruiyot; … - In: FinTech 4 (2025) 2, pp. 1-19
There is an ongoing debate about the role of income diversification in enhancing bank stability within the financial services industry in Europe. Some advocate for diversification, while others argue that its importance should not be overstated. Some financial institutions are encouraged to...
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The role of regulatory sandboxes in FinTech innovation : a comparative case study of the UK, Singapore, and Hungary
Kálmán, János - In: FinTech 4 (2025) 2, pp. 1-16
Regulatory sandboxes have emerged as policy instruments designed to support FinTech innovation while maintaining supervisory oversight. By allowing firms to test financial products in controlled environments, sandboxes aim to reduce regulatory uncertainty and facilitate market entry. Despite...
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A supervised learning approach to rankability
McJames, Nathan; Malone, David; Mason, Oliver - In: Computers & operations research : an international journal 180 (2025), pp. 1-12
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Shadow banking and regulation : a quantitative assessment
Meh, Césaire Assah; Moran, Kevin - 2025
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Does bank regulation and supervision impact income inequality? : cross-country evidence
Meteláková, Zuzana; Geršl, Adam - 2025
This paper examines how microprudential policy affects income inequality, and whether and how the effect of macroprudential policy on income inequality depends on the stance of microprudential policy. The dataset covers 70 countries over the period 1996-2013. Applying the system GMM estimation...
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