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Monetary policy, macroprudential policy and banking stability: evidence from the euro area. (2013). Peydro, Jose-Luis ; Maddaloni, Angela.
In: Working Paper Series.
RePEc:ecb:ecbwps:20131560.

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    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
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    RePEc:eee:jimfin:v:128:y:2022:i:c:s0261560622001000.

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  8. What Does Really Drive Consumer Confidence?. (2021). Malovana, Simona ; Hodula, Martin ; Frait, Jan.
    In: Social Indicators Research: An International and Interdisciplinary Journal for Quality-of-Life Measurement.
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  9. The Impact of Cross-Border Capital Flows on the Chinese Banking System. (2021). Xu, Zichun ; Zhao, Yang.
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    RePEc:sae:sagope:v:11:y:2021:i:2:p:21582440211021410.

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  10. The Effect of Monetary Policy on Bank Wholesale Funding. (2021). Choi, Hyun-Soo.
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    RePEc:inm:ormnsc:v:67:y:2021:i:1:p:388-416.

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  12. Mortgage lending, monetary policy, and prudential measures in small euro?area economies: Evidence from Ireland and the Netherlands. (2021). Samarina, Anna ; McQuade, Peter ; Jansen, David-Jan ; Everett, Mary ; de Haan, Jakob.
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  20. The interaction between macroprudential policy and monetary policy: overview. (2020). Sinha, Sonalika ; Reinhardt, Dennis ; Meunier, Baptiste ; Lloyd, Simon ; Cao, Jin ; Bussiere, Matthieu ; Styrin, Konstantin ; Sowerbutts, Rhiannon ; Shina, Sonalika ; Pedrono, Justine ; Hills, Robert ; de Haan, Jakob.
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  49. Lending Pro-Cyclicality and Macro-Prudential Policy: Evidence from Japanese LTV Ratios. (2016). Uesugi, Iichiro ; Udell, Gregory ; Uchida, Hirofumi ; Ono, Arito.
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  63. Lending Pro-Cyclicality and Macro-Prudential Policy: Evidence from Japanese LTV Ratios. (2014). Uesugi, Iichiro ; Udell, Gregory ; Uchida, Hirofumi ; Ono, Arito.
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  32. Gertler, M. and N. Kiyotaki, 2010, “Financial Intermediation and Credit Policy in Business Cycle Analysis,” in B. M. Friedman, and M. Woodford, eds.: Handbook of Monetary Economics, Elsevier, New York, NY.

  33. Giavazzi, F. and A. Giovannini, 2010, “The Low Interest Rate Trap,” VoxEU, July.
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  34. Holmstrom B. and J. Tirole, 2011, Inside and Outside Liquidity, MIT Press.

  35. IMF, 2011, “Housing Finance and Financial Stability - Back to Basics?” IMF Global Financial Stability Review, Chapter 3, April.
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  36. Jiménez G., S. Ongena, J.-L. Peydró and J. Saurina, 2012a, “Hazardous Times for Monetary Policy: What do Twenty-Three Million Bank Loans Say About the Effects of Monetary Policy on Credit Risk?” UPF working paper.
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  37. Jiménez G., S. Ongena, J.-L. Peydró and J. Saurina, 2012b, “Credit Supply and Monetary Policy: Identifying the Bank Balance-Sheet Channel with Loan Applications,” American Economic Review, August.
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  38. Kane, E., 1989, The S&L Insurance Mess: How Did It Happen? Cambridge MA: MIT Press.
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  39. Kashyap, A. K. and J. C. Stein, 2000, “What Do a Million Observations on Banks Say About the Transmission of Monetary Policy?” American Economic Review, 90(3), pp. 407-28.

  40. Laeven, L. and R. Levine, 2009, “Bank Governance, Regulation, and Risk-Taking”, Journal of Financial Economics, vol. 93(2), pages 259-275, August.
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  41. Lown, C. and D. P. Morgan, 2006, “The Credit Cycle and the Business Cycle: New Findings Using the Loan Officer Opinion Survey,” Journal of Money, Credit and Banking, Vol. 38, No.6, pp. 1575-1597.

  42. Maddaloni, A. and J.-L. Peydró, 2011, “Bank risk-taking, securitization, supervision and low interest rates: evidence from US and Euro area lending standards,” Review of Financial Studies Vol. 24:2121-2165.

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  44. Rajan, R. G., 2010a, Fault Lines, Princeton University Press.
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  45. Reinhart, C. and K. Rogoff, 2009, This Time is Different: Eight Centuries of Financial Folly,” Princeton University Press.

  46. Ruckes, M., 2004, “Bank Competition and Credit Standards, Review of Financial Studies,” Vol. 17, Issue 4, pp. 1073-1102.

  47. Stiglitz, J. and A. Weiss, 1981, “Credit Rationing in Markets with Imperfect Information,” American Economic Review, 71(3), June 1981, pp. 393-410. Panel A: Macro and financial variables Before the start of the financial crisis Mean Std. Dev. Min Max Overnight rates 2.80 0.79 2.02 4.05 Taylor-rule residuals-0.12 0.76-1.38 1.44 Interbank ratio 91.18 41.53 32.27 232.61 Total capital ratio 14.65 6.00 9.85 45.00 10-year rates 3.98 0.50 2.20 5.22 Current account balance (% of GDP) 0.58 7.39-19.59 22.39 GDP growth 2.70 1.88-1.86 8.08 Inflation 2.44 0.95-0.17 4.98 Capital stringency index 5.26 1.18 3 7 Loan-to-value ratio (max value in %) 90.45 19.16 55 125 After the start of the financial crisis Overnight rates 1.15 1.26 0.34 4.25 y

  48. Taylor, J. B., 2007, “Housing and Monetary Policy,” NBER Working Paper 13682, presented at the Fed Kansas City, Jackson Hole, 2007.

  49. Taylor, J. B., 2008, “The Financial Crisis and the Policy Responses: an Empirical Analysis of What Went Wrong,” mimeo.
    Paper not yet in RePEc: Add citation now
  50. The 10-year rate is the long-term government bond interest rate in each country. The current account balance is the current account surplus/deficits for each euro area country divided by nominal GDP. GDP growth is the annual growth rate of real GDP for each country. Inflation is the quarterly average of inflation rates for each country. Capital stringency is an index of stringency of capital requirements (Barth, Caprio and Levine 2006). The max Loan-to-Value ratio is the maximum ratio applied to mortgage loans in each country as reported in IMF (2011). Long-term liquidity provision is the liquidity with longer maturity (from 3-month to 1-year) provided by the Eurosystem to the banking sector of each country.See Table A.2 in the Appendix for detailed data sources.
    Paper not yet in RePEc: Add citation now
  51. Trichet, J. C. 2009, “The ECB’s Enhanced Credit Support,” keynote address at the University of Munich, 13 July, ECB speech.
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  52. Valencia, F., 2011, “Monetary Policy, Bank Leverage, and Financial Stability,” mimeo, International Monetary Fund.

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