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A Balance Sheet Approach to Financial Crisis
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Cited by:
- Bachellerie, A. & Couillault, B., 2005. "Public debt sustainability and crises in emerging market countries: a presentation of the concepts and diagnostic tools," Financial Stability Review, Banque de France, issue 6, pages 63-80, June.
- Nuno Silva, 2010. "Inter-Sector Relations in the Portuguese Economy: an Application of Contingent," Economic Bulletin and Financial Stability Report Articles and Banco de Portugal Economic Studies, Banco de Portugal, Economics and Research Department.
- Aysun, Uluc, 2008. "Automatic stabilizer feature of fixed exchange rate regimes," Emerging Markets Review, Elsevier, vol. 9(4), pages 302-328, December.
- International Monetary Fund, 2005. "Republic of Latvia: Selected Issues," IMF Staff Country Reports 2005/277, International Monetary Fund.
- Agustinus Prasetyantoko, 2006. "Debt Composition and Balance Sheet Effect of Currency Crisis in Indonesia," Post-Print halshs-00134223, HAL.
- Fritz, Barbara & Mühlich, Laurissa, 2007. "South-south monetary integration: the case for a research framework beyond the theory of optimum currency area," Discussion Papers 2007/20, Free University Berlin, School of Business & Economics.
- Carlos De Resende & Shinji Takagi, 2018.
"Assessing the Effectiveness of IMF Programs Following the Global Financial Crisis: How Did It Change Since the Asian Crisis?,"
Working Papers
id:12819, eSocialSciences.
- De Resende, Carlos & Takagi, Shinji, 2018. "Assessing the Effectiveness of IMF Programs Following the Global Financial Crisis: How Did It Change Since the Asian Crisis?," ADBI Working Papers 838, Asian Development Bank Institute.
- Meixing Dai, 2012.
"External Constraint and Financial Crises with Balance Sheet Effects,"
International Economic Journal, Taylor & Francis Journals, vol. 26(4), pages 567-585, March.
- Meixing DAI, 2009. "External constraint and financial crises with balance sheet effects," Working Papers of BETA 2009-02, Bureau d'Economie Théorique et Appliquée, UDS, Strasbourg.
- Dai, Meixing, 2010. "External constraint and financial crises with balance sheet effects," MPRA Paper 21625, University Library of Munich, Germany.
- Meixing Dai, 2010. "External constraint and financial crises with balance sheet effects," Working Papers of BETA 2010-23, Bureau d'Economie Théorique et Appliquée, UDS, Strasbourg.
- David Godsell & Michael Welker & Ning Zhang, 2017. "Earnings Management During Antidumping Investigations in Europe: Sample‐Wide and Cross‐Sectional Evidence," Journal of Accounting Research, Wiley Blackwell, vol. 55(2), pages 407-457, May.
- Shinji Takagi, 2016. "Applying the Lessons of Asia: The IMF's Crisis Management Strategy following the Global Financial Crisis," International Economic Journal, Taylor & Francis Journals, vol. 30(3), pages 409-428, July.
- Vratislav Izák, 2015. "Soukromý a veřejný dluh [Private and Public Debt]," Politická ekonomie, Prague University of Economics and Business, vol. 2015(1), pages 74-90.
- Li, Cheng, 2018.
"China's household balance sheet: Accounting issues, wealth accumulation, and risk diagnosis,"
China Economic Review, Elsevier, vol. 51(C), pages 97-112.
- Li, Cheng, 2017. "China’s Household Balance Sheet: Accounting Issues, Wealth Accumulation, and Risk Diagnosis," MPRA Paper 79838, University Library of Munich, Germany.
- Martín Vallcorba & Javier Delgado, 2007. "Determinantes de la morosidad bancaria en una economía dolarizada. El caso uruguayo," Working Papers 0722, Banco de España.
- Shrestha, Prakash Kumar, 2013.
"Banking Ssystems, central banks and international reserve accumulation in East Asian economies,"
Economics - The Open-Access, Open-Assessment E-Journal (2007-2020), Kiel Institute for the World Economy (IfW Kiel), vol. 7, pages 1-29.
- Shrestha, Prakash Kumar, 2012. "Banking systems, central banks and international reserve accumulation in East Asian economies," Economics Discussion Papers 2012-48, Kiel Institute for the World Economy (IfW Kiel).
- Carmen M. Reinhart & Kenneth S. Rogoff & Miguel A. Savastano, 2014.
"Addicted to Dollars,"
Annals of Economics and Finance, Society for AEF, vol. 15(1), pages 1-51, May.
- Carmen M. Reinhart & Kenneth S. Rogoff & Miguel A. Savastano, 2003. "Addicted to Dollars," CEMA Working Papers 594, China Economics and Management Academy, Central University of Finance and Economics.
- Carmen M. Reinhart & Kenneth S. Rogoff & Miguel A. Savastano, 2003. "Addicted to Dollars," NBER Working Papers 10015, National Bureau of Economic Research, Inc.
- Javier Gómez Pineda, 2004.
"A Framework for Macroeconomic Stability in Emerging Market Economies,"
Borradores de Economia
320, Banco de la Republica de Colombia.
- Javier Gómez Pineda, 2004. "A Framework for Macroeconomic Stability in Emerging Market Economies," Borradores de Economia 1915, Banco de la Republica.
- Matteo Ruzzante, 2018. "Financial Crises, Macroeconomic Shocks, and the Government Balance Sheet: A Panel Analysis," IMF Working Papers 2018/093, International Monetary Fund.
- Uluc Aysun, 2006. "Testing for Balance Sheet Effects in Emerging Market Countries," Working papers 2006-28, University of Connecticut, Department of Economics.
- Jon Frost, 2015. "A theory of bazookas; or, "when (and when not) to use large-scale official sector support"," DNB Working Papers 479, Netherlands Central Bank, Research Department.
- Yoko Furukawa, 2009. "Equity market and foreign capital," Canadian Journal of Economics/Revue canadienne d'économique, John Wiley & Sons, vol. 42(1), pages 349-358, February.
- Andrew Sheng & Allen Ng, 2008. "The External Wealth of China: An Investigation from the International Balance Sheet Perspective," Working Papers 012008, Hong Kong Institute for Monetary Research.
- International Monetary Fund, 2013. "Guatemala: Selected Issues and Analytical Notes," IMF Staff Country Reports 2013/248, International Monetary Fund.
- U. Michael Bergman & Shakill Hassan, 2008. "Currency Crises and Monetary Policy in an Economy with Credit Constraints: The No Interest Parity Case," EPRU Working Paper Series 08-01, Economic Policy Research Unit (EPRU), University of Copenhagen. Department of Economics.
- Mete FERIDUN, 2008.
"Currency Crises In Emerging Markets: The Case Of Post‐Liberalization Turkey,"
The Developing Economies, Institute of Developing Economies, vol. 46(4), pages 386-427, December.
- Feridun, Mete, 2008. "Currency crises in emerging markets: The case of post-liberalization Turkey," Greenwich Papers in Political Economy 7922, University of Greenwich, Greenwich Political Economy Research Centre.
- Diemo Dietrich & Tobias Knedlik & Axel Lindner, 2011. "Central and Eastern European countries in the global financial crisis: a typical twin crisis?," Post-Communist Economies, Taylor & Francis Journals, vol. 23(4), pages 415-432, April.
- Yannick Kalantzis, 2015.
"Financial Fragility in Small Open Economies: Firm Balance Sheets and the Sectoral Structure,"
The Review of Economic Studies, Review of Economic Studies Ltd, vol. 82(3), pages 1194-1222.
- Y. Kalantzis, 2014. "Financial fragility in small open economies: firm balance sheets and the sectoral structure," Working papers 505, Banque de France.
- Erdal ÖZMEN & Cihan YALÇIN, 2007.
"Küresel finansal riskler karşısında Türkiye’de reel sektörün finansal yapısı ve borç dolarizasyonu,"
Iktisat Isletme ve Finans, Bilgesel Yayincilik, vol. 22(258), pages 5-39.
- Erdal Ozmen & Cihan Yalcin, 2007. "Kuresel Finansal Riskler Karsisinda Turkiye'de Reel Sektor Finansal Yapisi ve Borc Dolarizasyonu," Working Papers 0706, Research and Monetary Policy Department, Central Bank of the Republic of Turkey.
- Ambrosius, Christian, 2015. "Policy Constraints and the Recovery from Banking Crises," VfS Annual Conference 2015 (Muenster): Economic Development - Theory and Policy 112983, Verein für Socialpolitik / German Economic Association.
- João Amador & Luca David Opromolla, . "As Margens das Exportações: Empresas, Produtos e Destinos," Economic Bulletin and Financial Stability Report Articles and Banco de Portugal Economic Studies, Banco de Portugal, Economics and Research Department.
- Petris Sorina, 2012. "Capital Flows And Their Sectoral Destinations," Annals of Faculty of Economics, University of Oradea, Faculty of Economics, vol. 1(1), pages 825-829, July.
- Alexey Ponomarenko & Alexandra Solovyeva & Elena Vasilieva, 2013.
"Financial dollarization in Russia: causes and consequences,"
Macroeconomics and Finance in Emerging Market Economies, Taylor & Francis Journals, vol. 6(2), pages 221-243, September.
- Ponomarenko, Alexey & Solovyeva, Alexandra & Vasilieva, Elena, 2011. "Financial dollarization in Russia : causes and consequences," BOFIT Discussion Papers 36/2011, Bank of Finland, Institute for Economies in Transition.
- Douglas Sutherland & Peter Hoeller & Rossana Merola & Volker Ziemann, 2012. "Debt and Macroeconomic Stability," OECD Economics Department Working Papers 1003, OECD Publishing.
- International Monetary Fund, 2015. "Costa Rica: Selected Issues and Analytical Notes," IMF Staff Country Reports 2015/030, International Monetary Fund.
- Andrea Hofer, 2005. "The International Monetary Fund's Balance Sheet Approach to Financial Crisis Prevention an Resolution," Monetary Policy & the Economy, Oesterreichische Nationalbank (Austrian Central Bank), issue 1, pages 77-94.
- Nassios, Jason & Giesecke, James A. & Dixon, Peter B. & Rimmer, Maureen T., 2019. "Mandated superannuation contributions and the structure of the financial sector in Australia," Journal of Policy Modeling, Elsevier, vol. 41(5), pages 859-881.
- Jannick Damgaard & Thomas Elkjaer, 2014. "Foreign Direct Investment and the External Wealth of Nations: How Important Is Valuation?," Review of Income and Wealth, International Association for Research in Income and Wealth, vol. 60(2), pages 245-260, June.
- Donghui Wu & Qing Ye, 2020. "Public Attention and Auditor Behavior: The Case of Hurun Rich List in China," Journal of Accounting Research, Wiley Blackwell, vol. 58(3), pages 777-825, June.
- Metin-Özcan, Kıvılcım & Us, Vuslat, 2007. "Dedollarization in Turkey after decades of dollarization: A myth or reality?," Physica A: Statistical Mechanics and its Applications, Elsevier, vol. 385(1), pages 292-306.
- Douglas Sutherland & Peter Hoeller, 2012. "Debt and Macroeconomic Stability: An Overview of the Literature and Some Empirics," OECD Economics Department Working Papers 1006, OECD Publishing.
- Iancu, Aurel, 2011. "Financial System Fragility Models," Working Papers of National Institute for Economic Research 110211, Institutul National de Cercetari Economice (INCE).
- International Monetary Fund, 2006. "Republic of Estonia; Selected Issues," IMF Staff Country Reports 06/419, International Monetary Fund.
- Jan Willem van den End & Mostafa Tabbae, 2005. "Measuring Financial Stability: Applying the MfRisk Model to the Netherlands," DNB Working Papers 030, Netherlands Central Bank, Research Department.
- Mr. Paul Louis Ceriel Hilbers & Angana Banerji & Haiyan Shi & Mr. Willy A Hoffmaister, 2008. "House Price Developments in Europe: A Comparison," IMF Working Papers 2008/211, International Monetary Fund.
- Arlyana Abubakar & Rieska Indah Astuti & Rini Oktapiani, 2015. "Selecting Early Warning Indicator To Identify Corporate Sector Distress: Efforts To Strengthen Crisis Prevention," Working Papers WP/7/2015, Bank Indonesia.
- Kopf, Christian, 2011. "Restoring financial stability in the euro area," CEPS Papers 4292, Centre for European Policy Studies.
- Helmut Stix, 2004. "The Impact of ATM Transactions and Cashless Payments on Cash Demand in Austria," Monetary Policy & the Economy, Oesterreichische Nationalbank (Austrian Central Bank), issue 1, pages 90-105.
- Antoine GODIN & Emanuele CAMPIGLIO & Eric KEMP-BENEDICT, 2017. "Networks of stranded assets: A case for a balance sheet approach," Working Paper d51a41b5-00ba-40b4-abe6-5, Agence française de développement.
- Erick W. Rengifo & Emre Ozsoz & Mustapha A. Akinkunmi & Eduardo Court, 2013. "Bank Regulation in Dollarized Economies: The Case of Turkey," IJFS, MDPI, vol. 1(4), pages 1-17, November.
- Pitterle, Ingo & Haufler, Fabio & Hong, Pingfan, 2015. "Assessing emerging markets’ vulnerability to financial crisis," Journal of Policy Modeling, Elsevier, vol. 37(3), pages 484-500.
- Javier Gómez, 2004. "Inflation Targeting and Sudden Stops," Borradores de Economia 2854, Banco de la Republica.
- Assaf Razin & Yona Rubinstein, 2005.
"Evaluation of Exchange-Rate, Capital-Market, and Dollarization Regimes in the Presence of Sudden Stops,"
Working Papers
042005, Hong Kong Institute for Monetary Research.
- Assaf Razin & Yona Rubinstein, 2005. "Evaluation of Exchange-Rate, Capital Market, and Dollarization Regimes in the Presence of Sudden Stops," NBER Working Papers 11131, National Bureau of Economic Research, Inc.
- Hongyi Chen & Lars Jonung & Olaf Unteroberdoerster, 2014.
"Lessons for China from Financial Liberalization in Scandinavia,"
Asian Economic Papers, MIT Press, vol. 13(1), pages 1-44, Winter.
- Hongyi Chen & Lars Jonung & Olaf Unteroberdoerster, 2009. "Lessons for China from Financial Liberalization in Scandinavia," Working Papers 262009, Hong Kong Institute for Monetary Research.
- Hongyi Chen & Lars Jonung & Olaf Unteroberdoerster, 2009. "Lessons for China from financial liberalization in Scandinavia," European Economy - Economic Papers 2008 - 2015 383, Directorate General Economic and Financial Affairs (DG ECFIN), European Commission.
- Debabrata Datta & Susmita Chatterjee, 2013. "A Simple Model of Macroeconomic Instability in the Background of the Indian Economy," South Asian Journal of Macroeconomics and Public Finance, , vol. 2(1), pages 81-106, June.
- Dale F. Gray & Robert C. Merton & Zvi Bodie, 2006. "A New Framework for Analyzing and Managing Macrofinancial Risks of an Economy," NBER Working Papers 12637, National Bureau of Economic Research, Inc.
- Mrs. Nina Budina & Mr. Borja Gracia & Xingwei Hu & Mr. Sergejs Saksonovs, 2015.
"Recognizing the Bias: Financial Cycles and Fiscal Policy,"
IMF Working Papers
2015/246, International Monetary Fund.
- Budina, Nina & Gracia, Borja & Hu, Xingwei & Saksonovs, Sergejs, 2015. "Recognizing the Bias: Financial Cycles and Fiscal Policy," MPRA Paper 68052, University Library of Munich, Germany.
- Michele Cavallo & Kate Kisselev & Fabrizio Perri & Nouriel Roubini, 2004.
"Exchange rate overshooting and the costs of floating,"
Proceedings, Federal Reserve Bank of San Francisco, issue Jun.
- Nouriel Roubini & Michele Cavallo & Kate Kisselev, 2004. "Exchange rate overshooting and the costs of floating," Computing in Economics and Finance 2004 62, Society for Computational Economics.
- Michele Cavallo & Kate Kisselev & Fabrizio Perri & Nouriel Roubini, 2005. "Exchange rate overshooting and the costs of floating," Working Paper Series 2005-07, Federal Reserve Bank of San Francisco.
- Nouriel Roubini & Michele Cavallo & Kate Kisselev, 2004. "Exchange rate overshooting and the costs of floating," 2004 Meeting Papers 766, Society for Economic Dynamics.
- Vratislav Izák, 2014. "Private and Public Debt," European Financial and Accounting Journal, Prague University of Economics and Business, vol. 2014(1), pages 4-21.
- Christian Mulder & Roberto Perrelli & Manuel Duarte Rocha, 2016. "The Role of Bank and Corporate Balance Sheets on Early Warning Systems of Currency Crises—An Empirical Study," Emerging Markets Finance and Trade, Taylor & Francis Journals, vol. 52(7), pages 1542-1561, July.
- repec:cnb:ocpubv:as13 is not listed on IDEAS
- Torinelli, Viviane Helena & Silva Júnior, Antônio Francisco de Almeida da, 2021. "Environmental risk analysis (ERA) in the strategic asset allocation (SAA) of the international reserves (IRs) managed by central banks (CBs)," Latin American Journal of Central Banking (previously Monetaria), Elsevier, vol. 2(1).
- Mr. Segismundo Fassler & Mr. Manik L. Shrestha & Mr. Reimund Mink, 2012. "An Integrated Framework for Financial Positions and Flowson a From-Whom-To-Whom Basis: Concepts, Status, and Prospects," IMF Working Papers 2012/057, International Monetary Fund.
- Mr. Rodolfo Maino & Mr. Balázs Horváth, 2006. "Monetary Transmission Mechanisms in Belarus," IMF Working Papers 2006/246, International Monetary Fund.
- Antonio I Garcia Pascual & Ms. Nada Choueiri & Ms. Ritu Basu, 2006. "Financial Sector Projections and Stress Testing in Financial Programming: A New Framework," IMF Working Papers 2006/033, International Monetary Fund.
- Ms. Pritha Mitra, 2011. "Capital Flows to EU New Member States: Does Sector Destination Matter?," IMF Working Papers 2011/067, International Monetary Fund.
- Van Thuan Nguyen & Li Xu, 2010. "The Impact of Dual Class Structure on Earnings Management Activities," Journal of Business Finance & Accounting, Wiley Blackwell, vol. 37(3‐4), pages 456-485, April.
- Firano, Zakaria & Filali adib, Fatine, 2019. "Intersectorial contagion risk in Morocco," MPRA Paper 95343, University Library of Munich, Germany.
- Antonio Francisco A. Silva Jr, 2011. "The Self-insurance Role of International Reserves and the 2008-2010 Crisis," Working Papers Series 256, Central Bank of Brazil, Research Department.
- Antoine GODIN & Sakir-Devrim YILMAZ, 2020. "Modelling Small Open Developing Economies in a Financialized World: A Stock-Flow Consistent Prototype Growth Model," Working Paper 5eb7e0e8-560f-4ce6-91a5-5, Agence française de développement.
- Mr. Anthony J. Pellechio & Mr. Johan Mathisen, 2006. "Using the Balance Sheet Approach in Surveillance: Framework, Data Sources, and Data Availability," IMF Working Papers 2006/100, International Monetary Fund.
- Mathias Lahnsteiner, 2013. "Private Sector Debt in CESEE EU Member States," Focus on European Economic Integration, Oesterreichische Nationalbank (Austrian Central Bank), issue 3, pages 30-47.
- Bicu, Andreea & Candelon, Bertrand, 2013.
"On the importance of indirect banking vulnerabilities in the Eurozone,"
Journal of Banking & Finance, Elsevier, vol. 37(12), pages 5007-5024.
- Bicu, A.C. & Candelon, B., 2012. "On the importance of indirect banking vulnerabilities in the Eurozone," Research Memorandum 033, Maastricht University, Maastricht Research School of Economics of Technology and Organization (METEOR).
- Andreea Stoian & Laura Obreja Brașoveanu & Iulian Viorel Brașoveanu & Bogdan Dumitrescu, 2018. "A Framework to Assess Fiscal Vulnerability: Empirical Evidence for European Union Countries," Sustainability, MDPI, vol. 10(7), pages 1-20, July.
- Morris Goldstein, 2003. "Debt Sustainability, Brazil, and the IMF," Working Paper Series WP03-1, Peterson Institute for International Economics.
- repec:cnb:ocpubv:as12 is not listed on IDEAS
- repec:ebl:ecbull:v:6:y:2005:i:23:p:1-12 is not listed on IDEAS
- Thammarak Moenjak & Varangkana Im-udom & Siripim Vimolchalao, 2004. "Monetary Policy and Financial Stability: Finding the Right Balance under Inflation Targeting," Working Papers 2004-05, Monetary Policy Group, Bank of Thailand.
- Mr. Jeromin Zettelmeyer & Mr. Olivier D Jeanne, 2002. "“Original Sin,” Balance Sheet Crises, and the Roles of International Lending," IMF Working Papers 2002/234, International Monetary Fund.
- Wimboh Santoso & Made Sukada, 2009. "Risk profile of households and the impact on financial stability," BIS Papers chapters, in: Bank for International Settlements (ed.), Household debt: implications for monetary policy and financial stability, volume 46, pages 58-74, Bank for International Settlements.
- Patrick A. Imam & Rainer Koehler, 2010. "Balance Sheet Vulnerabilities of Mauritius During a Decade of Shocks," IMF Working Papers 2010/148, International Monetary Fund.
- Cussen, Mary, 2017. "Identifying Inter-Sectoral Exposures in Ireland using Network Analysis," Economic Letters 03/EL/17, Central Bank of Ireland.
- Alina-Georgeta AILINCA, 2018. "Suggesting Some Indicators For A Better Measurement Of Public Debt Sustainability," Contemporary Economy Journal, Constantin Brancoveanu University, vol. 3(3), pages 213-222.
- repec:cuf:journl:y:2015:v:16:i:1:reinhart:rogoff:savastano is not listed on IDEAS
- Ali Al-Eyd, 2006. "Financial Crisis, Effective Policy Rules and Bounded Rationality in a New Keynesian Framework," National Institute of Economic and Social Research (NIESR) Discussion Papers 272, National Institute of Economic and Social Research.
- repec:cnb:ocpubv:as14 is not listed on IDEAS
- Oya Pınar Ardıc & Faruk Selcuk, 2006. "The dynamics of a newly floating exchange rate: the Turkish case," Applied Economics, Taylor & Francis Journals, vol. 38(8), pages 931-941.
- Chang, Kuang-Liang & Chen, Nan-Kuang & Leung, Charles Ka Yui, 2012.
"The dynamics of housing returns in Singapore: How important are the international transmission mechanisms?,"
Regional Science and Urban Economics, Elsevier, vol. 42(3), pages 516-530.
- Chang, Kuang Liang & Chen, Nan Kuang & Leung, Charles Ka Yui, 2011. "The Dynamics of Housing Returns in Singapore: How Important are the International Transmission Mechanisms?," MPRA Paper 32255, University Library of Munich, Germany.
- Vratislav Izák, 2016. "Podnikový sektor - vybrané aspekty empirické analýzy zemí Evropské unie [Corporate Sector-Selected Aspects of Empirical Analysis of the EU Member States]," Politická ekonomie, Prague University of Economics and Business, vol. 2016(2), pages 161-175.
- Arun Jaitley, 2018. "Economic Survey 2017: Volume I, Chapter 3: Investment and Saving Slowdowns and Recoveries: Cross-Country Insights for India," Working Papers id:12442, eSocialSciences.
- Marcos Chamon & Atish Ghosh & Jun Il Kim, 2012. "Are All Emerging Market Crises Alike?," Chapters, in: Maurice Obstfeld & Dongchul Cho & Andrew Mason (ed.), Global Economic Crisis, chapter 10, Edward Elgar Publishing.
- Claudio M. LOSER, 2004. "External Debt Sustainability: Guidelines For Low- And Middle-Income Countries," G-24 Discussion Papers 26, United Nations Conference on Trade and Development.
- Mulder, Christian & Perrelli, Roberto & Rocha, Manuel Duarte, 2012. "External vulnerability, balance sheet effects, and the institutional framework — Lessons from the Asian crisis," International Review of Economics & Finance, Elsevier, vol. 21(1), pages 16-28.
- Fritz, Barbara & Mühlich, Laurissa, 2006. "Regional Monetary Integration among Developing Countries: New Opportunities for Macroeconomic Stability beyond the Theory of Optimum Currency Areas?," GIGA Working Papers 38, GIGA German Institute of Global and Area Studies.
- Mrs. Gilda C Fernandez & Mr. Cem Karacadag & Rupa Duttagupta, 2004. "From Fixed to Float: Operational Aspects of Moving towards Exchange Rate Flexibility," IMF Working Papers 2004/126, International Monetary Fund.
- Pradyot K. Sen, 2007. "Ownership Incentives and Management Fraud," Journal of Business Finance & Accounting, Wiley Blackwell, vol. 34(7‐8), pages 1123-1140, September.
- Haim, Yair & Levy, Roee, 2010. "Using the balance sheet approach in financial stability surveillance: Analyzing the Israeli economy's resilience to exchange rate risk," Journal of Financial Stability, Elsevier, vol. 6(2), pages 85-102, June.
- Mr. Martin Cihak & Ms. Petya Koeva Brooks, 2009. "From Subprime Loans to Subprime Growth? Evidence for the Euro Area," IMF Working Papers 2009/069, International Monetary Fund.
- Giacomo Saibene & Silvia Sicouri, 2012. "Effects of Currency Devaluations on the Economic Growth in Developing Countries: The Role of Foreign Currency-Denominated Debt," Atlantic Economic Journal, Springer;International Atlantic Economic Society, vol. 40(2), pages 191-209, June.
- Rodríguez-Vives, Marta & Giron, Celestino, 2017. "Leverage interactions: a national accounts approach," Statistics Paper Series 19, European Central Bank.
- Anastasia A. Zakolyukina, 2018. "How Common Are Intentional GAAP Violations? Estimates from a Dynamic Model," Journal of Accounting Research, Wiley Blackwell, vol. 56(1), pages 5-44, March.
- Batista, Blessica, 2018. "Identifying the symptoms of financial crises," MPRA Paper 91559, University Library of Munich, Germany.
- Mr. G. Terrier & Mr. Rodrigo O. Valdes & Mr. Camilo E Tovar Mora & Mr. Jorge A Chan-Lau & Carlos Fernandez Valdovinos & Ms. Mercedes Garcia-Escribano & Mr. Carlos I. Medeiros & Man-Keung Tang & Miss M, 2011. "Policy Instruments to Lean Against the Wind in Latin America," IMF Working Papers 2011/159, International Monetary Fund.
- Manik Shrestha, 2014. "Toward the Development of Sectoral Financial Positions and Flows in a From-Whom-to-Whom Framework," NBER Chapters, in: Measuring Economic Sustainability and Progress, pages 373-425, National Bureau of Economic Research, Inc.
- Köhler, Karsten, 2016. "Currency devaluations, aggregate demand, and debt dynamics in an economy with foreign currency liabilities," IPE Working Papers 78/2016, Berlin School of Economics and Law, Institute for International Political Economy (IPE).
- Bergman, U. Michael & Jellingsø, Mads, 2010. "Monetary policy during speculative attacks: Are there adverse medium term effects?," The North American Journal of Economics and Finance, Elsevier, vol. 21(1), pages 5-18, March.
- Reyes, Danilo, 2019. "Understanding International Financial Crises," MPRA Paper 93023, University Library of Munich, Germany.
- International Monetary Fund, 2004. "Toward a Framework for Safeguarding Financial Stability," IMF Working Papers 2004/101, International Monetary Fund.
- Sun, Lixin, 2020.
"Financial networks and systemic risk in China's banking system,"
Finance Research Letters, Elsevier, vol. 34(C).
- Sun, Lixin, 2018. "Financial Networks and Systemic Risk in China’s Banking System," MPRA Paper 90658, University Library of Munich, Germany, revised 18 May 2018.
- M. Birn & M. Dietsch & D. Durant, 2017. "How to reach all Basel requirements at the same time?," Débats économiques et financiers 28, Banque de France.
- Stefan Avdjiev & Christian Dembiermont & Blaise Gadanecz & Branimir Gruić & Patrick McGuire & Swapan Kumar Pradhan & Paul Van den Bergh & Philip Wooldridge & Bruno Tissot & Marie-Céline Bard & Xavier-, 2015. "IAG Reference document on Consolidation and corporate groups: an overview of methodological and practical issues," IFC Reports 1, Bank for International Settlements.
- Nikolaos Georgiopoulos & Carnell Lambert, 2020. "Macroprudential liquidity stress tests using BIS locational banking statistics," IFC Bulletins chapters, in: Bank for International Settlements (ed.), Bridging measurement challenges and analytical needs of external statistics: evolution or revolution?, volume 52, Bank for International Settlements.
- Chortareas, Georgios & Cipollini, Andrea & Eissa, Mohamed Abdelaziz, 2012. "Switching to floating exchange rates, devaluations, and stock returns in MENA countries," International Review of Financial Analysis, Elsevier, vol. 21(C), pages 119-127.
- Bruno Tissot, 2016. "Development of financial sectoral accounts: new opportunities and challenges for supporting financial stability analysis," IFC Working Papers 15, Bank for International Settlements.
- Luca, Alina & Petrova, Iva, 2008. "What drives credit dollarization in transition economies?," Journal of Banking & Finance, Elsevier, vol. 32(5), pages 858-869, May.
- Mariam A. Voskanyan, 2022. "Government policy to maintain macroeconomic stability: The case of Armenia," Journal of New Economy, Ural State University of Economics, vol. 23(1), pages 24-42, April.
- Johan Mathisen & Anthony Pellechio, 2007. "Using the balance sheet approach in surveillance: framework, data sources, and data availability," IFC Bulletins chapters, in: Bank for International Settlements (ed.), Proceedings of the IFC Conference on "Measuring the financial position of the household sector", Basel, 30-31 August 2006 - Volume 1, volume 25, pages 7-44, Bank for International Settlements.
- Ramkishen S. Rajan, 2007.
"Managing new-style currency crises: the swan diagram approach revisited,"
Journal of International Development, John Wiley & Sons, Ltd., vol. 19(5), pages 583-606.
- Ramkishen S. Rajan, 2005. "Managing New-Style Currency Crises : The Swan Diagram Approach Revisited," Macroeconomics Working Papers 22574, East Asian Bureau of Economic Research.
- Ramkishen S. Rajan, 2006. "Managing New-Style Currency Crises: The Swan Diagram Approach Revisited," SCAPE Policy Research Working Paper Series 0517, National University of Singapore, Department of Economics, SCAPE.
- Faruk Selçuk, 2005. "The Policy Challenge with Floating Exchange Rates: Turkey’s Recent Experience," Open Economies Review, Springer, vol. 16(3), pages 295-312, July.
- Halil Ibrahim Aydin & Cafer Kaplan & Mehtap Kesriyeli & Erdal Ozmen & Cihan Yalcin & Serkan Yigit, 2006. "Corporate Sector Financial Structure in Turkey : A Descriptive Analysis," Working Papers 0607, Research and Monetary Policy Department, Central Bank of the Republic of Turkey.
- Bodin Civilize & Thaisiri Watewai & Sakkapop Panyanukul & Kaipichit Ruengsrichaiya, 2019. "Mapping Thailand's Financial Landscape: A Perspective through Balance Sheet Linkages and Contagion," PIER Discussion Papers 114, Puey Ungphakorn Institute for Economic Research.
- Juan Manuel Lima & Mr. Johannes Wiegand & Enrique Montes & Carlos Varela, 2006. "Sectoral Balance Sheet Mismatches and Macroeconomic Vulnerabilities in Colombia, 1996-2003," IMF Working Papers 2006/005, International Monetary Fund.
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