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Year of publication
Subject
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Finanzintermediation 5,074 Financial intermediation 4,921 Theorie 1,618 Theory 1,599 Bank 1,043 Finanzmarkt 853 Financial market 844 Finanzsektor 748 Financial sector 736 Finanzkrise 603 Financial crisis 593 Welt 537 World 533 Bankenregulierung 508 Bank regulation 499 Kreditgeschäft 497 Bank lending 490 Geldpolitik 431 Monetary policy 413 Wirtschaftswachstum 361 Economic growth 352 Informeller Finanzsektor 349 Informal finance 348 USA 340 United States 332 Bankenkrise 280 Finanzmarktregulierung 280 Financial market regulation 279 Banking crisis 274 Finanzdienstleistung 252 Financial services 239 Unternehmensfinanzierung 239 Corporate finance 237 financial intermediation 217 Schätzung 208 Estimation 206 Wirkungsanalyse 204 EU-Staaten 199 Bankenliquidität 197 Bankrisiko 196
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Online availability
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Free 1,956 Undetermined 877 CC license 47
Type of publication
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Book / Working Paper 2,972 Article 2,074 Journal 28
Type of publication (narrower categories)
All
Article in journal 1,637 Aufsatz in Zeitschrift 1,637 Graue Literatur 1,351 Non-commercial literature 1,351 Working Paper 1,279 Arbeitspapier 1,237 Aufsatz im Buch 372 Book section 372 Hochschulschrift 219 Thesis 160 Collection of articles of several authors 99 Sammelwerk 99 Aufsatzsammlung 45 Bibliografie enthalten 36 Bibliography included 36 Dissertation u.a. Prüfungsschriften 30 Collection of articles written by one author 27 Konferenzschrift 27 Sammlung 27 Lehrbuch 24 Amtsdruckschrift 23 Government document 23 Conference paper 21 Konferenzbeitrag 21 Textbook 20 Conference proceedings 16 Systematic review 13 Übersichtsarbeit 13 Statistik 10 Statistics 9 Case study 8 Fallstudie 8 Research Report 8 Rezension 8 Festschrift 7 Bibliografie 6 Handbook 6 Handbuch 6 Mikroform 6 Reprint 5
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Language
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English 4,525 German 366 Italian 59 French 48 Spanish 36 Russian 9 Undetermined 9 Polish 6 Portuguese 6 Dutch 5 Turkish 3 Danish 2 Hungarian 2 Romanian 2 Ukrainian 2 Bulgarian 1 Czech 1 Lithuanian 1 Albanian 1 Serbian 1 Swedish 1
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Author
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Adrian, Tobias 72 Shin, Hyun Song 62 Gersbach, Hans 41 Beck, Thorsten 32 Claessens, Stijn 31 Krishnamurthy, Arvind 31 Allen, Franklin 30 He, Zhiguo 28 Thakor, Anjan V. 24 Freixas, Xavier 22 Levine, Ross 20 Monnet, Cyril 19 Bolton, Patrick 18 Greenwood, Jeremy 18 Kose, M. Ayhan 18 Boot, Arnoud W. A. 17 Loayza, Norman 17 Rancière, Romain 17 Sanchez, Juan M. 17 Boyarchenko, Nina 16 Gambacorta, Leonardo 16 Horváth, Roman 16 Laeven, Luc 16 Hellwig, Martin 15 Martin, Antoine 15 Thadden, Ernst-Ludwig von 15 Tyrell, Marcel 15 Fuster, Andreas 14 Gale, Douglas 14 Hasan, Iftekhar 14 Philippon, Thomas 14 Acharya, Viral V. 13 Aizenman, Joshua 13 Ashcraft, Adam B. 13 Degryse, Hans 13 Gottardi, Piero 13 Pozsar, Zoltan 13 Scheinkman, José Alexandre 13 Schrimpf, Andreas 13 Uhlig, Harald 13
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Institution
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National Bureau of Economic Research 94 Internationaler Währungsfonds 7 World Bank 6 SUERF - The European Money and Finance Forum 5 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 4 Basel Committee on Banking Supervision 4 International Organization of Securities Commissions 4 The Wharton Financial Institutions Center 4 Asian Development Bank 3 Edward Elgar Publishing 3 European Systemic Risk Board 3 Federal Reserve Bank of San Francisco 3 Harvard Institute for International Development 3 Iowa State University of Science and Technology <Ames, Iowa> / Department of Economics 3 OECD 3 World Bank / Development Research Group / Finance 3 World Bank Group 3 Agencija za Ikonomičeski Analiza i Prognozi <Sofia> 2 Association Française des Investisseurs en Capital 2 Banca d'Italia 2 Bank für Internationalen Zahlungsausgleich / Committee on Payments and Market Infrastructures 2 Bank für Internationalen Zahlungsausgleich <Basel> 2 Colloquium/Conference "Money, Regulation and Growth: Financing New Growth in Europe" <2014, Mailand> 2 Eesti Pank 2 Enhancing Poor's Capability and Financial Inclusion <Veranstaltung> <2017, Islamabad> 2 Europäische Zentralbank 2 Finafrica 2 Fondazione Giordano Dell'Amore 2 Institute of Finance and Accounting <London> 2 International Association of Insurance Supervisors 2 International Monetary Fund 2 Narodowy Bank Polski 2 Springer Fachmedien Wiesbaden 2 The Role of Islamic Financial Inclusion in Achieving Sustained Economic Growth and Poverty Alleviation in IsDB Member Countries <Veranstaltung> <2018, Khartum> 2 Türkiye İstatistik Kurumu 2 USA / Committee on Governmental Affairs / Permanent Subcommittee on Investigations 2 University of Chicago / Center for Research in Security Prices 2 Università degli studi di Bergamo 2 World Bank Institute / Economic Policy and Poverty Reduction 2 World Institute for Development Economics Research 2
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Published in...
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NBER working paper series 92 Working paper / National Bureau of Economic Research, Inc. 72 NBER Working Paper 64 Journal of banking & finance 48 Staff reports / Federal Reserve Bank of New York 48 Discussion paper / Centre for Economic Policy Research 47 IMF working papers 47 Discussion papers / CEPR 42 Journal of financial intermediation 36 Journal of financial economics 30 Working paper 29 The review of financial studies 27 Working paper series / European Central Bank 25 Policy research working paper : WPS 24 CESifo working papers 23 IMF working paper 23 Working papers / Bank for International Settlements 23 Journal of economic dynamics & control 21 Journal of money, credit and banking : JMCB 20 The journal of finance : the journal of the American Finance Association 20 SpringerLink / Bücher 19 FRB of New York Staff Report 18 Finance research letters 18 Journal of monetary economics 18 Research paper series / Swiss Finance Institute 18 BIS Working Paper 17 European economic review : EER 17 IMF Working Paper 17 Policy Research Working Paper 17 Discussion paper / Tinbergen Institute 16 Journal of international money and finance 16 Macroeconomic dynamics 16 Applied economics 15 Discussion paper 15 Finance and economics discussion series 15 Journal of financial stability 15 New issues in financial institutions management 15 Working papers / Federal Reserve Bank of Philadelphia, Research Department 15 Economic modelling 14 Europäische Hochschulschriften / 5 14
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Source
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ECONIS (ZBW) 4,945 EconStor 54 USB Cologne (EcoSocSci) 50 USB Cologne (business full texts) 16 OLC EcoSci 4 RePEc 3 BASE 2
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Showing 1 - 50 of 5,074
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Investment funds and euro disaster risk
Anaya, Pablo; Cera, Katharina; Georgiadis, Georgios; … - 2025
We document that compared to all other investor groups investment funds exhibit a distinctly procyclical behavior when financial-market beliefs about the probability of a euro-related, institutional rare disaster spike. In response to such euro disaster risk shocks, investment funds shed...
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Private safe-asset supply and financial instability
Castells-Jauregui, Madalen - 2025
This paper analyzes the private production of safe assets and its implications for financial stability. Financial intermediaries (FIs) originate loans, exert hidden effort to improve loan quality, and create safe assets by issuing debt backed by the safe payments from (i) their own loans and...
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Subjective expectations and financial intermediation
D'Acunto, Francesco; Gao, Janet; Liu, Lu; Lu, Kai; … - 2025
Using a customized survey and an information-provision experiment, we establish that loan officers' individual subjective expectations about inflation, GDP growth, and policy rates vary substantially within and across bank types and have a sizable causal effect on credit supply decisions....
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Macroeconomic imbalances evolution and their effect on bank intermediation cost in Kenya
Ndwiga, David; Makunda, Geraldine - 2025
The study investigates the effects of macro imbalances on the banking sector performance in Kenya from the financial intermediation cost perspective for 2020q4 - 2024q1 period. Employing dynamic panel GMM model, the study finds that inflation pressures above the upper bound target, external debt...
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Growth of non-bank financial intermediaries, financial stability, and monetary policy : prepared for the ECB Forum
Pelizzon, Loriana; Mattiello, Riccardo; Schlegel, Jonas - 2025
This paper examines the rise of non-bank financial intermediaries (NBFIs) and its implications for financial stability and monetary policy transmission in the Euro Area and the United States. While the U.S. financial system has long been market-based, the Euro Area has experienced a striking...
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Non-bank lenders to SMEs : sensitivity to financial conditions
Giuliana, Raffaele; Reddan, Paul - 2025
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Can redemption fees prevent runs on funds?
Huang, Xuesong; Keister, Todd - 2025
We ask whether imposing fees on redeeming investors can prevent runs on money market mutual funds (MMFs) and related intermediation arrangements. We first show that imposing a fee only in extraordinary times often leaves the fund susceptible to a preemptive run where investors rush to redeem...
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Fed repo operations and dealer intermediation
Carlson, Mark; Saravay, Zack; Tian, Mary - 2025 - This draft: June 2025
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Shadow banking, macroprudential regulation and redistributional effects
Rubio, Margarita - In: The European journal of finance 31 (2025) 5, pp. 594-615
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Essays in financial intermediation and climate economics
Terstegge, Julian - 2025 - First edition
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Monetary policy with inelastic asset markets
Abadi, Joseph - 2025
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Monetary policy, bank leverage and systemic risk-taking
Aoki, Kōsuke; Martorell, Enric; Nikolov, Kalin - 2025
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Intermediary capital and the credit market
Harris, Milton; Opp, Christian; Opp, Marcus M. - In: Management science : journal of the Institute for … 71 (2025) 1, pp. 162-183
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Bond versus banks financing in the climate transition : the role of stranded-asset risk
Beyene, Winta; Delēs, Manthos D.; Greiff, Kathrin de; … - 2025
What role does bond versus bank debt play in the climate transition? We document that fossil fuel firms with greater stranded-asset risk rely less on bond finance and more on bank credit. While bond investors price stranding risk, banks in the syndicated loan market do not. This differential...
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Banking on payments?
Bibow, Jörg - 2025
For the past hundred years or more, payments have been primarily associated with banking, and banking as we know it today-being the result of many centuries of evolution-features a bundling of (at least) three main lines of business: lending, deposit-taking, and payment services. In the past 15...
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Evolution of debt financing toward less-regulated financial intermediaries in the United States
Erel, Isil; Inozemtsev, Eduard - In: Journal of financial and quantitative analysis : JFQA 60 (2025) 3, pp. 1234-1271
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Shadow banks or just not banks? : growth of the Swedish non-bank sector
Li, Jieying; Myers, Samantha - 2025
The global non-bank sector has experienced significant growth since the global financial crisis, raising concerns that this shift represents a financial stability risk. We consider the drivers of this growth in Sweden: a small, open economy whose non-bank sector has grown rapidly. In contrast...
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Green intermediary asset pricing
Sauzet, Maxime - 2025
Can environmentally-minded investors impact the cost of capital of green firms even when they invest through financial intermediaries? To answer this and related questions, I build an equilibrium intermediary asset pricing model with three investors, two risky assets, and a riskless bond....
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Fragile wholesale deposits, liquidity risk, and banks' maturity transformation
Müller, Carola; Ossandon Busch, Matias; Sarmiento, Miguel - 2025
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Digital banking : how social media is shaping the game
Del Sarto, Nicola; Bocchialini, Elisa; Gai, Lorenzo; … - In: Qualitative research in financial markets 17 (2025) 2, pp. 348-369
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The secondary market for syndicated loans
Siedlarek, Jan-Peter; Yankov, Vladimir - 2025
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Bank business model identification, evolution and outcomes : evidence for South Africa
Wilson, John O. S.; Nguyen, Linh; Sobiech, Anna; Kgari, … - In: The South African journal of economics 93 (2025) 1, pp. 112-137
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Institutional investors and house prices
Bandoni, Emil; De Nora, Giorgia; Giuzio, Margherita; … - 2025
Institutional investors, such as investment funds, are playing an increasingly important role in residential real estate markets. This raises the possibility that their actions might drive aggregate market outcomes and may change how and which macrofinancial shocks transmit to house prices. In a...
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In the shadow of shadow banking : a liquidity perspective
Liu, Zehao; He, Ping; Xie, Chengbo - In: Theoretical economics : TE ; an open access journal in … 20 (2025) 1, pp. 131-168
Liquidity requirements for commercial banks improve risk-sharing for depositors. Nevertheless, shadow banks, issuing securities with lower liquidity, operate outside such regulatory constraints. In an economy featuring shadow banks with a constant level of liquidity for shadow bank securities,...
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Flow-specific capital controls for China
Garcia-Barragan, Fernando; Kiu, Guangling - 2025
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Coexistence of banks and non-banks : intermediation functions and strategies
Cetorelli, Nicola; Cisternas, Gonzalo; Sarkar, Asani - 2025
What is the essence of non-bank financial intermediation? How does it emerge and interact with intermediation performed by banks? To investigate these questions, we develop a model-based survey: we classify existing models into different intermediation functions á la Merton (1995) to show that...
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The international dimension of repo : five new facts
Hermes, Felix; Schmeling, Maik; Schrimpf, Andreas - 2025
We analyze the international dimension of repo markets using novel euro area regulatory microdata. Our findings highlight the deep integration of funding markets across the Atlantic and the US dollar's outsized role. Our paper documents five key facts: (1) US dollar repos by euro area entities...
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When margins call : liquidity preparedness of non-bank financial institutions
Macchiati, Valentina; Cappiello, Lorenzo; Giuzio, Margherita - 2025
We propose a novel framework to assess systemic risk stemming from the inadequate liquidity preparedness of non-bank financial institutions (NBFIs) to derivative margin calls. Unlike banks, NBFIs may struggle to source liquidity and meet margin calls during periods of significant asset price...
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Banking crises under a central bank digital currency (CBDC)
Bitter, Lea - In: Jahrbücher für Nationalökonomie und Statistik 245 (2025) 4/5, pp. 479-526
One of the main concerns associated with central bank digital currencies (CBDC) is the disintermediating effect on the banking sector in general, and the risk of bank runs in times of crisis in particular. This paper examines the implications of an interest-bearing CBDC on banking crises in a...
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The German and Italian government bond markets : the role of banks versus non-banks : a joint study by Banca d'Italia and Bundesbank
Abbassi, Puriya; Bianchi, Michele Leonardo; Della … - Banca d'Italia; Deutsche Bundesbank - 2025
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More than merchant bankers : second-class financial intermediation in eighteenth-century Amsterdam
Feenstra, Alberto - In: Credit Networks in The Preindustrial World : A Social …, (pp. 145-200). 2025
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Financial intermediation and networks in early modern castile fairs
Carvajal, David - In: Credit Networks in The Preindustrial World : A Social …, (pp. 235-266). 2025
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Does distance still matter? : evidence from 30 years of mortgage lending
Hampole, Menaka V.; Jørring, Adam; Monteiro, Joao - 2025
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The prudential toolkit with shadow banking
Hachem, Kinda; Kunci, Martin - 2025 - Revised March 2025
Several countries now require banks or money market funds to impose state-contingent costs on shortterm creditors to absorb financial stress. We study these requirements as part of the broader prudential toolkit in a model with five key ingredients: banks may face an aggregate stress state with...
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Exploring peer-to-peer lending : key influences of firm uncertainty, loan features and venture quality
Del Sarto, Nicola - In: International journal of bank marketing 43 (2025) 3, pp. 591-614
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Monetary policy and life insurance profitability : bancassurance's edge in a low-yield world
Aguilar Perez, Pablo - 2025
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Contingent contracts in banking : insurance or risk magnification?
Gersbach, Hans - In: Journal of money, credit and banking : JMCB 57 (2025) 1, pp. 267-303
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Islamic vs. conventional banking in the age of FinTech and AI : evolving business models, efficiency, and stability (2020-2024)
Meero, Abdelrhman Ahmad - In: International Journal of Financial Studies : open … 13 (2025) 3, pp. 1-18
This study explores how FinTech and artificial intelligence (AI) adoption shape efficiency and financial stability in dual-banking systems. It focuses on 26 listed Islamic and conventional banks across 11 countries in the MENA and Southeast Asia regions between 2020 and 2024. To measure digital...
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Understanding households' bank bond holdings
Simion, Giorgia; Rigoni, Ugo - In: Review of finance : journal of the European Finance … 29 (2025) 3, pp. 819-850
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Risk appetite and hedging strategies : the impact of age cohorts in financial markets
Aravind M; Manojkrishnan, C. G. - In: Cogent economics & finance 12 (2024) 1, pp. 1-16
The financial instruments are subject to market risk, and the degree of risk may differ. Numerous demographic and behavioral factors determine the willingness of retail investors to face market risk. This work examines the direct effect of investors' risk appetite on their risk mitigation...
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A system-wide approach to macroprudential policy : ESRB response to the European Commission's consultation assessing the adequacy of macroprudential policies for non-bank financial intermediation
European Systemic Risk Board - 2024
This document is the ESRB's response to the European Commission's targeted consultation assessing the adequacy of macroprudential policy for non-bank financial intermediation. Non-bank financial intermediaries (NBFI entities) comprise different types of entities that have diverse business models...
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Bank business model identification, evolution and outcomes : evidence for South Africa
Wilson, John O. S.; Nguyen, Linh; Sobiech, Anna; Kgari, … - 2024
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The effects of Basel III capital and liquidity requirements on the growth of banking functions performed by non-bank financial institutions and fintech platforms in South Africa
Chipeta, Chimwemwe; Mapela, Lerato - 2024
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Bank intermediation efficiency and liquidity risk in Egypt : a two-stage non-parametric analyses
Pasha, Rania - In: Future business journal 10 (2024) 1, pp. 1-16
This is a pioneering study that undertakes a comparative analysis assessing the annual intermediation efficiency of public versus private banks in Egypt. Moreover, liquidity risk is a major threat facing banks in their efforts to sustain financial stability. Thus, this study is the first to...
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The tendency of the non-bank financial sector to rise : a materialist account of the growth of market-based finance
Höfig, Bruno; Müller, Leonardo André Paes; … - In: Review of radical political economics 56 (2024) 3, pp. 355-379
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FX dealer constraints and external imbalances
Boer, Jantke de; Eichler, Stefan - 2024
We empirically test Gabaix and Maggiori (2015)’s prediction that currencies are repriced by the country’s external capital dependence when financial constraints of FX intermediaries change. Using solvency indicators, we develop a novel intermediary constraints index capturing riskbearing...
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Financial intermediation and informational efficiency : predicting business cycles
Chatterjee, Ujjal; French, Joseph J.; Gurdgiev, Constantin - In: International review of economics & finance : IREF 96 (2024) 2, pp. 1-23
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10 years of stablecoins : their impact, what we know, and future research directions
Dionysopoulos, Lambis; Urquhart, Andrew - In: Economics letters 244 (2024), pp. 1-6
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The German and Italian government bond markets : the role of banks versus non-banks
Abbassi, Puriya; Bianchi, Michele Leonardo; Della … - 2024
Government bond markets play a critical role in the smooth functioning of the financial system, in the conduct and transmission of monetary policy and in the economy as a whole. Maintaining resilient government bond markets is fundamental for policymakers and authorities. This note examines the...
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Financial growth and crash under shadow banking
Bhaduri, Amit; Raghavendra, Srinivas - In: Review of political economy 36 (2024) 3, pp. 1156-1173
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