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  • Search: subject_exact:"Bankenkrise"
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Year of publication
Subject
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Bankenkrise 14,328 Banking crisis 13,729 Finanzkrise 7,075 Financial crisis 6,945 Bankenregulierung 3,525 Bank regulation 3,484 Welt 3,440 World 3,385 Bank 2,832 Theorie 2,805 Theory 2,716 Bankrisiko 1,874 Bank risk 1,847 Bankenliquidität 1,568 Bank liquidity 1,514 Bankinsolvenz 1,293 Bank failure 1,262 Kreditgeschäft 1,218 Bank lending 1,196 Systemrisiko 1,190 USA 1,173 Systemic risk 1,169 Wirtschaftskrise 1,087 United States 1,081 Bankenaufsicht 1,080 Geldpolitik 1,040 Economic crisis 1,028 Kreditrisiko 1,021 EU-Staaten 1,017 Banking supervision 997 Credit risk 988 EU countries 986 Monetary policy 979 Währungskrise 975 Currency crisis 932 Finanzsektor 852 Financial sector 835 Einlagensicherung 822 Ansteckungseffekt 816 Deposit insurance 803
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Online availability
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Free 6,017 Undetermined 2,932 CC license 191 Digitizable 5
Type of publication
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Book / Working Paper 8,126 Article 6,202
Type of publication (narrower categories)
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Article in journal 4,974 Aufsatz in Zeitschrift 4,974 Graue Literatur 3,357 Non-commercial literature 3,357 Working Paper 3,267 Arbeitspapier 3,107 Aufsatz im Buch 964 Book section 964 Hochschulschrift 277 Collection of articles of several authors 259 Sammelwerk 259 Thesis 196 Aufsatzsammlung 116 Konferenzschrift 106 Conference paper 83 Konferenzbeitrag 83 Collection of articles written by one author 75 Sammlung 75 Conference proceedings 70 Article 52 Bibliografie enthalten 37 Bibliography included 37 Amtsdruckschrift 35 Government document 35 Rezension 29 Case study 22 Fallstudie 22 Research Report 18 Systematic review 13 Übersichtsarbeit 13 Dissertation u.a. Prüfungsschriften 12 Interview 11 Advisory report 10 Gutachten 10 Bibliografie 9 Handbook 7 Handbuch 7 Reprint 7 Mehrbändiges Werk 6 Multi-volume publication 6
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Language
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English 13,153 German 693 Spanish 161 French 129 Russian 46 Italian 22 Undetermined 22 Swedish 20 Polish 19 Norwegian 18 Portuguese 12 Danish 10 Czech 8 Croatian 8 Hungarian 6 Dutch 5 Bulgarian 3 Finnish 3 Romanian 3 Serbian 3 Ukrainian 3 Bosnian 1 Latvian 1 Slovak 1 Slovenian 1
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Author
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Acharya, Viral V. 104 Gorton, Gary 84 Laeven, Luc 74 Calomiris, Charles W. 69 Peydró, José-Luis 66 Demirgüç-Kunt, Asli 57 Richardson, Gary 55 Bordo, Michael D. 53 Berger, Allen N. 51 Detragiache, Enrica 48 Beck, Thorsten 47 Carlson, Mark 47 Gersbach, Hans 47 Metrick, Andrew 46 Goodhart, Charles A. E. 45 Ongena, Steven 44 Allen, Franklin 42 Keister, Todd 42 Schnabel, Isabel 42 Rockoff, Hugh 41 Reinhart, Carmen M. 39 Shin, Hyun Song 39 Burnside, Craig 37 Honohan, Patrick 37 Kaufman, George G. 37 Eichengreen, Barry 36 Claessens, Stijn 34 Barth, James R. 33 Mitchener, Kris 33 Steffen, Sascha 33 Taylor, Alan M. 33 Eichenbaum, Martin S. 32 Rebelo, Sérgio 32 Tallman, Ellis W. 32 Fecht, Falko 30 Grossman, Richard S. 30 Buch, Claudia M. 29 Ennis, Huberto M. 29 Faia, Ester 29 Kane, Edward J. 29
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Institution
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National Bureau of Economic Research 227 European Central Bank 17 World Bank 15 International Monetary Fund 14 Internationaler Währungsfonds 12 Internationaler Währungsfonds / Monetary and Exchange Affairs Department 12 International Monetary Fund / Monetary and Capital Markets Department 10 SUERF - The European Money and Finance Forum 10 Basel Committee on Banking Supervision 9 Springer Fachmedien Wiesbaden 9 European Commission / Directorate-General for Economic and Financial Affairs 7 Institute for International Economics 7 Brookings Institution 6 Christian-Albrechts-Universität zu Kiel / Institut für Weltwirtschaft 6 Edward Elgar Publishing 6 Federal Deposit Insurance Corporation 6 Centre for Economic Policy Research 5 Institut für Finanzstabilität 5 Internationaler Währungsfonds / Research Department 5 Weltbank 5 European Parliament / Directorate-General for Internal Policies of the Union 4 European Systemic Risk Board 4 Federal Reserve Bank of Chicago 4 Group of Thirty 4 Nomos Verlagsgesellschaft 4 Sachverständigenrat zur Begutachtung der Gesamtwirtschaftlichen Entwicklung 4 The Wharton Financial Institutions Center 4 Universidad Nacional Autónoma de México / Instituto de Investigaciones Económicas 4 Weltbank / Development Research Group / Finance 4 William Davidson Institute <Ann Arbor, Mich.> 4 Asian Development Bank 3 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 3 Bruegel 3 Center for International Development <Cambridge, Mass.> 3 Centre for European Policy Studies 3 Centre for International Economic Studies 3 European Commission / Joint Research Centre 3 European Stability Mechanism 3 Europäisches Parlament / Generaldirektion Interne Politikbereiche der Union 3 Federal Reserve Bank of Richmond 3
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Published in...
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NBER working paper series 222 Journal of financial stability 207 Journal of banking & finance 179 Working paper / National Bureau of Economic Research, Inc. 176 NBER Working Paper 166 IMF working papers 156 Discussion paper / Centre for Economic Policy Research 128 IMF working paper 96 Working paper series / European Central Bank 95 Discussion papers / CEPR 93 Journal of international money and finance 79 Journal of money, credit and banking : JMCB 74 CESifo working papers 73 Working paper 70 Journal of financial intermediation 69 Discussion paper 68 Working paper series 66 Finance research letters 60 Journal of financial economics 59 Journal of banking regulation 58 Policy research working paper : WPS 58 IMF Working Paper 56 Journal of international financial markets, institutions & money 54 ECB Working Paper 53 The journal of financial crises 52 Discussion paper series / Centre for Economic Policy Research / Financial economics 51 Journal of economic dynamics & control 47 Working papers / Bank for International Settlements 47 Economic modelling 45 Economics letters 44 Journal of monetary economics 43 Applied economics letters 41 Bank of Finland research discussion papers 41 International journal of finance & economics : IJFE 41 Policy Research Working Paper 41 Finance and economics discussion series 40 SpringerLink / Bücher 40 International review of financial analysis 39 The American economic review 38 International review of economics & finance : IREF 37
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Source
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ECONIS (ZBW) 13,997 EconStor 238 USB Cologne (EcoSocSci) 52 RePEc 22 USB Cologne (business full texts) 11 BASE 5 OLC EcoSci 3
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Showing 1 - 50 of 14,328
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Risky tweets in quiet times : social media attention and bank deposit flows
Gam, Yong Kyu; Liu, Chunbo; Xu, Yongxin - 2026
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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 - In: International Journal of Financial Studies : open … 14 (2026) 1, pp. 1-18
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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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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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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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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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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When banks and insurers move together : why systemic risk lives in the tails?
Benlaghaa, Noureddinne; Shafiqa, Fahad; Al-Derhamand, … - 2026
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Can macroprudential policy for retail banks reduce bank runs? : evidence from WAEMU's banking sector
Aboulaye, Toure Talnan; Moussa, Ouattara Zieh; Kacou, … - In: Risks : open access journal 14 (2026) 2, pp. 1-20
Motivated by the coexistence of retail and wholesale banks with distinct risk profiles under uniform capital regulation, and by the lack of quantitative evidence on whether differentiated capital requirements can reduce bank runs and interbank frictions in low-income monetary unions, this paper...
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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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Roles of banks in times of crisis : more regulation or moral capital?
Ilesanmi, Kehinde Damilola; Tewari, Devi D. - In: Ethical economics and sustainable development : the …, (pp. 50-58). 2026
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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
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Beyond hot money : brokered deposits and bank funding stability
Dagher, Jihad C.; Fuster, Andreas - 2026
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Covid-19 pandemic crisis and macroprudential policy measures in Brazil
Bandeira, Fernanda Martins; Ornelas, José Renato Haas - 2026
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Financial inclusion, FinTech, and banking stability in Asia and Pacific economies
Koirala, Niraj - 2026
This paper examines the interplay between financial inclusion and FinTech in shaping banking stability, with a focus on economies in the Asia and Pacific region. Using an unbalanced panel dataset from 21 economies from 2000 to 2021, the paper finds that financial inclusion enhances banking...
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From crisis to control: The revival of Banco di Napoli's land credit under the management of Nicola Miraglia
Muscherà, Mattia - In: The Journal of European Economic History (JEEH) 54 (2025) 1, pp. 121-165
This paper examines the pivotal role of Nicola Miraglia in steering the Banco di Napoli through a tumultuous period of economic crisis and institutional decay in the late 19th and early 20th centuries. Miraglia undertook the daunting task of managing a bank on the brink of bankruptcy due to the...
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A model of interacting banks and money market funds
Farias, Martin; Suárez, Javier - 2025
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Fragile and Conflict-Affected Situations : Intertwined Crises, Multiple Vulnerabilities
Hill, Samuel; Khadan, Jeetendra; Selcuk, Peter - 2025
Home to more than 1 billion people, the 39 emerging market and developing economies (EMDEs) classified as being in fragile and conflict-affected situations (FCS) are plagued by instability and weak institutions. This hinders their ability to attain the robust, sustained economic growth needed...
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Press freedom and systemic risk
Kladakis, George; Skouralis, Alexandros - In: Journal of business finance & accounting : JBFA 52 (2025) 3, pp. 1535-1556
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The banking panic in New Mexico in 1924 and the response of the Federal Reserve
Carlson, Mark - 2025
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The linkage between banking crisis and sovereign debt crisis : evidence from Ghana
Marfo-Ahenkorah, David; Asravor, Richard Kofi; Asare, … - In: Research in globalization 10 (2025), pp. 1-10
This study investigates the effect of the recent Ghanaian banking crisis on the country's ongoing sovereign debt crisis. An Autoregressive Distributed Lag Model (ARDL) is adopted to estimate the immediate effects of Ghana's banking crisis on public debt levels using secondary data spanning the...
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Correspondent banking, systemic risk, and the panic of 1893
Cotter, Christopher; Rousseau, Peter L. - In: Journal of money, credit and banking : JMCB 57 (2025) 4, pp. 1023-1044
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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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Derivatives holdings and bank systemic risk : cross-country evidence
Wang, Yu; Song, Gaoya; Lu, Yiming - In: Borsa Istanbul Review 25 (2025) 4, pp. 681-691
In this paper, we analyse data from 493 listed banks across 28 countries to investigate the impact and mechanisms through which banks' derivatives holdings influence systemic risk. Our empirical results indicate that banks' derivatives holdings significantly increase systemic risk. Regarding the...
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Cash out or carry on : when bank runs build resilience
Baldwin, Kenneth; Alhalboni, Maryam - In: Economics letters 256 (2025), pp. 1-10
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Financial crisis of 1931? : British banking stability and the role of open-market operations
Römer, Matthias - In: The economic history review 78 (2025) 4, pp. 1180-1201
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The impact of new millennium crises on the power of Islamic banks in deposit markets
Alhalboni, Maryam; Baldwin, Kenneth - In: International journal of finance & economics : IJFE 30 (2025) 3, pp. 3230-3260
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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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Political environment, banking liquidity, and banking crises : a mediation analysis from panel data
Attila, Joseph - In: International journal of finance & economics : IJFE 30 (2025) 4, pp. 3569-3599
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Determinants of banking, inflation, and foreign exchange reserves crises : the case of Bolivia
Bojanic, Antonio - In: Latin American economic review : LAER ; official … 35 (2025), pp. 1-21
Utilizing logit econometric models, this paper investigates the primary factors contributing to the onset of banking, inflation, and foreign exchange reserves crises in Bolivia. The analysis reveals that banking crises are more likely when the terms of trade improve, with greater monetary...
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Automated bail-in : eliminating regulatory restraints
Lendermann, Urs Benedikt - In: Journal of banking regulation 26 (2025) 3, pp. 370-391
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Bank risk-taking and optimal bailout resources
Krause, Andreas - In: Journal of banking regulation 26 (2025) 3, pp. 573-578
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A study on the interaction of capital, liquidity and bank stability
Población García, Francisco Javier (contributor);  … - European Central Bank - 2025
The purpose of this paper is to empirically examine the effects of capital and liquidity on bank stability as well as the existence of a potential complementary or substitute relationship between both dimensions to explain bank stability. We use a sample of 16,061 banks from 27 countries during...
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Competing narratives in the Swedish 1929 deposit insurance-debate
Wendschlag, Mikael - In: Business history 67 (2025) 5, pp. 1381-1399
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Regional bank stock reactions to using held-to-maturity securities
Trainor, William J.; Wilson, Son Dang; Kilgore, Kevin - In: The journal of business and economic studies 29 (2025) 2, pp. 88-104
On March 9, 2023, Silicon Valley Bank's (SVB) stock fell 60% while customers withdrew $42 billion in deposits in the largest ever bank run. One of the underlying culprits was massive losses in SVB's long-term treasury holdings, much of which was categorized as held-to-maturity (HTM), a...
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Loss-absorbing capacity requirements for resolution : beyond G-SIBs
Baudino, Patrizia; Merkley, Julie; Walters, Ruth - 2025
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The UBS-Credit Suisse merger : Helvetia's gift
Böni, Pascal; Kroencke, Tim-Alexander; Vasvari, Florin P. - In: Journal of applied corporate finance : JACF 37 (2025) 2, pp. 104-121
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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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Regional economic policy uncertainty, implicit government guarantees and bank's risk-taking
Kang, Jingjing; Yang, Hao - In: International review of economics & finance : IREF 102 (2025), pp. 1-21
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Systemic risk contagion and bailout effects in the global financial system
Qi, Ming; Zhang, Jiawei; Shi, Danyang; Feng, Shaoyi; … - In: International review of economics & finance : IREF 102 (2025), pp. 1-19
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Is Europe ready for a major banking crisis?
Véron, Nicolas - 2025
Europe's banks have long been slow to integrate across borders, but this is changing fast. 'Pan-European banks', with activities spanning several EU countries, are emerging rapidly and are likely to enhance the overall contribution of financial services to economic growth. However, financial...
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Bank heterogeneity and crisis migration : a general equilibrium analysis of systemic risk
Lucchetta, Marcella - 2025
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Bank liquidity supply and corporate investment during the 2008-2009 financial crisis
Zhang, Wei - In: The North American journal of economics and finance : a … 76 (2025), pp. 1-16
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Out of sight, out of mind? : global value chains and credit allocation in bad times
Minetti, Raoul; Murro, Pierluigi; Peruzzi, Valentina - 2025
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Dollar funding fragility and non-U.S. global banks
Bacchetta, Philippe; Davis, Scott; Van Wincoop, Eric - 2025
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From chaos to clarity: comparative analysis of systemic banking crisis data sets
Landaberry, Victoria - 2025
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CBDC’s design implications for financial stability
Ponce, Jorge; Taroco, Santiago - 2025
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Shockwaves across borders : did the 2023 banking crisis reshape global banking sector linkages?
Huang, Chun-Sung; Charteris, Ailie - In: Finance research letters 82 (2025), pp. 1-10
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Does competition affect bank deposits?
Srivastava, Nikhil; Tripe, David; Haq, Mamiza; Yuen, … - In: Finance research letters 83 (2025), pp. 1-10
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Bank lending and deposit crunches during the Great Depression
Mitchener, Kris; Richardson, Gary - In: The journal of economic history 85 (2025) 2, pp. 442-474
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Crowding Out and Banking Crises
Hernando-Kaminsky, Pablo - 2025
This paper studies the effect of government issuance on firm issuance during banking crises using transaction-level bond and loan data from 66 countries between 1991 and 2017. Governments rarely issue loans, preferring to issue in bond markets. In contrast, firms receive most of their financing...
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