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Macroprudential Policy and Aggregate Demand. (2022). Venter, Zoe ; Teixeira, Andre.
In: Working Papers.
RePEc:inf:wpaper:2022.04.

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  1. Acharya, VV., Bergant, K., Crosignani, M., Eisert, T. and McCann, F. (2020), “The Anatomy of the Transmission of Macroprudential Policies”, IMF Working Paper WP/20/58.

  2. Akinci, O. and Olmstead-Rumsey, J. (2018), “How effective are macroprudential policies? An empirical investigation”, Journal of Financial Intermediation 33(C): 33-57.

  3. Alam, Z., Alter, A., Eiseman, J., Gelos, G., Kang, H., Narita, M., Nier, E. and Wang, N. (2019), “Digging Deeper - Evidence on the Effects of Macroprudential Policies from a New Database”, IMF Working Paper WP/19/66.
    Paper not yet in RePEc: Add citation now
  4. Angelini, P., Neri, S. and Panetta, F. (2014), “The Interaction between Capital Requirements and Monetary Policy”, Journal of Money, Credit and Banking 46(6): 1073-1112.

  5. Behncke, S. (2020), ”Effects of macroprudential policies on bank lending and credit risks”, Swiss National Bank Working Papers 2020-06.

  6. Borio, C. and Shim, I. (2007), “What can (macro-)prudential policy do to support monetary policy?”, BIS Working Papers 242, Bank for International Settlements.

  7. Callaway, B. and Sant’Anna, PHC. (2020), “Difference-in-Differences with multiple time periods”, Journal of Econometrics.

  8. Carroll, CD., Slacalek, J. and Sommer, M. (2019), “Dissecting Saving Dynamics: Measuring Wealth, Precautionary and Credit Effects”, NBER Working Paper Series No. 26131.

  9. Cerutti, E., Claessens, S. and Laeven, L. (2017), “The use and effectiveness of macroprudential policies: new evidence”, Journal of Financial Stability 28: 203-24.

  10. Claessens, S., Ghosh, SR, Mihet, R. (2013), “Macro-prudential policies to mitigate financial system vulnerabilities”, Journal of International Money and Finance 39: 153-85.

  11. Crowe, CW., Igan, D., Dell’Ariccia, G and Rabanal, P. (2011), “How to Deal with Real Estate Booms”, IMF Staff Discussion Note 11/02.

  12. Defusco, AA., Johnson, S. and Mondragon, J. (2020), “Regulating Household Leverage”, The Review of Economic Studies 87(2): 914-958.

  13. Delll’Ariccia, G., Igan, D., Laeven, L. and Tong, H. (2012), “Policies for Macrofinancial Stability: How to Deal with Credit Booms”, IMF Staff Discussion

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