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The global financial crisis and housing: a new policy paradigm. (2014). Cho, Man ; Wachter, Susan ; Tcha, Moonjoong .
In: Chapters.
RePEc:elg:eechap:15685_1.

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Cites: 26

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Cocites: 50

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  1. Home, safe home: Cross-country monitoring framework for vulnerabilities in the residential real estate sector. (2020). Lepers, Etienne ; Grothe, Magdalena ; Bengtsson, Elias.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:112:y:2020:i:c:s0378426617302935.

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References

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  22. Pavlov, Andrey, and Susan M. Wachter, (2004), “Robbing the Bank: Nonrecourse Lending and Asset Prices,” Journal of Real Estate Finance and Economics 28(2–3): 147–160 Pavlov, Andrey, and Susan M. Wachter, (2006), “The Inevitability of Marketwide Underpricing of Mortgage Default Risk,”Real Estate Economics 34(4): 479–496.

  23. Pavlov, Andrey, and Susan Wachter, 2011, “Subprime Lending and Real Estate Prices,” Real Estate Economics, Volume 39, Issue 1.

  24. Susan Wachter, Man Cho and Moon Joong Tcha - 9781783472871 Downloaded from Elgar Online at 10/15/2016 07:05:26AM via CitEc (NOT FOR DISTRIBUTION, SHARING or POSTING)
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  25. Susan Wachter, Man Cho and Moon Joong Tcha - 9781783472871 Downloaded from Elgar Online at 10/15/2016 07:05:26AM via CitEc (NOT FOR DISTRIBUTION, SHARING or POSTING) The global financial crisis and housing Fostel, Ana, and John Geanakoplos, 2008, “Leverage Cycles and the Anxious Economy,” American Economic Review 98:4, 1211–1244.
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  26. William C. Wheaton, 1999, “Real Estate “Cycles”: Some Fundamentals,” Real Estate Economics, Volume 27, Issue 2.
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Cocites

Documents in RePEc which have cited the same bibliography

  1. The Effect of Large Investors on Asset Quality: Evidence from Subprime Mortgage Securities. (2017). Gerardi, Kristopher ; Frame, W ; Adelino, Manuel.
    In: FRB Atlanta Working Paper.
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  2. Financial Stability Policies for Shadow Banking. (2015). Adrian, Tobias.
    In: CEPR Discussion Papers.
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  3. Financial stability policies for shadow banking. (2014). Adrian, Tobias.
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  4. Financial stability monitoring. (2014). Adrian, Tobias ; Covitz, Daniel ; Liang, Nellie J..
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  5. Discretionary ratings and the pricing of subprime mortgage-backed securities. (2014). Lugo, Stefano.
    In: Journal of Banking & Finance.
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  6. Securitization, competition and monitoring. (2014). Breton, Régis ; Ahn, Jung-Hyun .
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  7. CDOs and the financial crisis: Credit ratings and fair premia. (2014). Wojtowicz, Marcin .
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  8. Quantitative easing and the loan to collateral value ratio. (2014). Girdėnas, Šarūnas ; Damjanovic, Tatiana ; Girdnas, arnas .
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  9. A case for redistribution? Income inequality and wealth concentration in the recent crisis. (2014). Stockhammer, Engelbert ; Onaran, Ozlem ; Goda, Thomas.
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  10. Small business loan securitization and interstate risk sharing. (2013). Shao, Yingying ; Liu, PU.
    In: Small Business Economics.
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  11. The capital structure and governance of a mortgage securitization utility. (2013). Tracy, Joseph ; Wright, Joshua ; Mosser, Patricia C..
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  12. Financial stability monitoring. (2013). Adrian, Tobias ; Covitz, Daniel ; Liang, Nellie.
    In: Finance and Economics Discussion Series.
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  13. Bank monitoring incentives and optimal ABS. (2013). Pagès, Henri ; Pages, Henri .
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  14. Securitization without risk transfer. (2013). Suarez, Gustavo ; Schnabl, Philipp ; Acharya, Viral V..
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  15. Optimal incentives and securitization of defaultable assets. (2013). Malamud, Semyon ; Whinston, Andrew ; Rui, Huaxia.
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  16. Privatized Returns and Socialized Risks: CEO Incentives, Securitization Accounting and the Financial Crisis. (2013). Parbonetti, A. ; Fabrizi, M..
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  17. Securitization, Competition and Monitoring.. (2013). Breton, Régis ; Ahn, J-H., .
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  18. Asset Illiquidity and Market Shutdowns in Competitive Equilibrium. (2012). Tomura, Hajime.
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  19. Securitization, risk-transferring and financial instability: The case of Spain. (2012). Marques-Ibanez, David ; Carbo Valverde, Santiago ; Carb-Valverde, Santiago ; Rodrguez-Fernndez, Francisco .
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  20. The prevalence and impact of misstated incomes on mortgage loan applications. (2012). Blackburn, McKinley ; Vermilyea, Todd .
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  21. Optimal securitization with moral hazard. (2012). Tchistyi, Alexei ; Piskorski, Tomasz ; Hartman-Glaser, Barney.
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  23. A mathematical treatment of bank monitoring incentives. (2012). Pagès, Henri ; Possamai, D..
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  25. Implications of the Dodd-Frank Act. (2012). Richardson, Matthew ; Acharya, Viral V..
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  26. Ökonomische Analyse europäischer Bankenregulierung: Verbriefung und Interbankenmarkt im Fokus. (2011). Bobek, Andreas ; Bohm, Thomas ; Neuner, Stefan ; Schmeuer, Stefanie ; Paintner, Sandra ; Waldvogel, Felix .
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  29. Cherry picking in subprime mortgage securitizations: Which subprime mortgage loans were sold by depository institutions prior to the crisis of 2007?. (2011). Henderson, Christopher ; Calem, Paul ; Liles, Jonathan .
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  30. Asymmetric information, adverse selection, and the pricing of CMBS. (2011). Gabriel, Stuart ; Deng, Yongheng ; An, Xudong.
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  31. It happened again: A Minskian analysis of the subprime loan crisis. (2011). Silipo, Damiano B..
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  42. The role of the securitization process in the expansion of subprime credit. (2009). Sherlund, Shane ; Nadauld, Taylor D..
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  49. The ABX: how do the markets price subprime mortgage risk?. (2008). Fender, Ingo ; Scheicher, Martin.
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