Banking crisis and prudential supervision: a European perspective
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DOI: 10.1007/s10368-007-0095-3
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Cited by:
- Paolo Caro, 2015.
"Risk, ambiguity, and sovereign rating,"
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- Di Caro, Paolo, 2014. "Risk, ambiguity and sovereign rating," MPRA Paper 60295, University Library of Munich, Germany.
- Welfens, Paul J. J., 2009. "The Transatlantic Banking Crisis: Lessons and EU Reforms," IZA Policy Papers 2, Institute of Labor Economics (IZA).
- Horst Hanusch & Florian Wackermann, 2011. "Can a Progressive Capital Gains Tax Help Avoid the Next Crisis? Public Sector Governance in a Comprehensive Neo-Schumpeterian System," Chapters, in: Steven Kates (ed.), The Global Financial Crisis, chapter 3, Edward Elgar Publishing.
- Samaresh Bardhan & Vivekananda Mukherjee, 2016. "Bank-specific determinants of nonperforming assets of Indian banks," International Economics and Economic Policy, Springer, vol. 13(3), pages 483-498, July.
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Keywords
Banking crisis; OECD; Stabilization policy; Financial market;All these keywords.
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