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Credit Booms Gone Bust: Monetary Policy, Leverage Cycles and Financial Crises, 1870-2008. (2009). Taylor, Alan ; Schularick, Moritz.
In: NBER Working Papers.
RePEc:nbr:nberwo:15512.

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  34. Medium-Term Fiscal Multipliers during Protracted Recessions. (2014). Koloskova, Ksenia ; Ribeiro, Marcos Poplawski ; Dell'Erba, Salvatore.
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  37. Measuring aggregate risk: Can we robustly identify asset-price boom–bust cycles?. (2014). Renne, Jean-Paul ; CLERC, Laurent ; Borgy, Vladimir.
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  39. Fragilidad Bancaria en Colombia: Un Análisis Basado en las Hojas de Balance. (2014). Guarín López, Alexander ; Lozano-Espitia, Ignacio ; Guarin, Alexander .
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  44. Jobless Recoveries During Financial Crises: Is Inflation the Way Out?. (2013). Ottonello, Pablo ; coricelli, fabrizio ; Calvo, Guillermo.
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  47. Is Monetary Policy a Science? The Interaction of Theory and Practice over the Last 50 Years. (2013). White, William R..
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    In: The Economic Record.
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  54. Türkiyede Aşırı Kredi Genişlemeleri ve Belirleyicileri. (2012). Koksal, Bulent ; Binici, Mahir .
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  55. International Capital Mobility: Which Structural Policies Reduce Financial Fragility?. (2012). Schwellnus, Cyrille ; Goujard, Antoine ; Ahrend, Rudiger.
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  56. Credit Crises and the Shortcomings of Traditional Policy Responses. (2012). White, William R..
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  57. International Capital Mobility and Financial Fragility - Part 3. How Do Structural Policies Affect Financial Crisis Risk?: Evidence from Past Crises Across OECD and Emerging Economies. (2012). Goujard, Antoine ; Ahrend, Rudiger.
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  58. International Capital Mobility and Financial Fragility - Part 1. Drivers of Systemic Banking Crises: The Role of Bank-Balance-Sheet Contagion and Financial Account Structure. (2012). Goujard, Antoine ; Ahrend, Rudiger.
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  59. Labor Market, Financial Crises and Inflation: Jobless and Wageless Recoveries. (2012). Ottonello, Pablo ; coricelli, fabrizio ; Calvo, Guillermo.
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  60. Some Reflections on the Recent Financial Crisis. (2012). Gorton, Gary.
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  61. Comment on Risk Heterogeneity and Credit Supply: Evidence from the Mortgage Market. (2012). Peydro, Jose-Luis.
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  62. Policies for Macrofinancial Stability; How to Deal with Credit Booms. (2012). Tong, Hui ; Laeven, Luc ; Igan, Deniz ; Dell'ariccia, Giovanni ; Kaufman, Martin David ; Phillips, Steven ; Valds, Rodrigo O. ; Eyzaguirre, Nicolas.
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  63. Do Surges in International Capital Inflows Influence the Likelihood of Banking Crises? Cross-Country Evidence on Bonanzas in Capital Inflows and Bonanza-Boom- Bust Cycles. (2012). Caballero, Julian.
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  64. The nature of financial and real business cycles: The great moderation and banking sector pro cyclicality. (2012). Sutherland, Douglas ; Egert, Balazs.
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  65. The nature of financial and real business cycles: The great moderation and banking sector pro cyclicality. (2012). Sutherland, Douglas ; Égert, Balázs ; Egert, Balazs.
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  66. The failure to predict the Great Recession. The failure of academic economics? A view focusing on the role of credit. (2012). Perez Quiros, Gabriel ; Gadea, María ; Perez-Quiros, Gabriel ; Gadea Rivas, Maria Dolores, .
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  67. The Labor Market Consequences of Financial Crises With or Without Inflation: Jobless and Wageless Recoveries. (2012). Ottonello, Pablo ; coricelli, fabrizio ; Calvo, Guillermo.
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  68. The Nature of Financial and Real Business Cycles: The Great Moderation and Banking Sector Pro-Cyclicality. (2012). Sutherland, Douglas ; Égert, Balázs ; Egert, Balazs.
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  69. The financial cycle and macroeconomics: What have we learnt?. (2012). BORIO, Claudio.
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  70. Characterising the financial cycle: dont lose sight of the medium term!. (2012). Tsatsaronis, Kostas ; Drehmann, Mathias ; BORIO, Claudio.
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  71. The failure to predict the Great Recession. The failure of academic economics? A view focusing on the role of credit. (2012). Perez Quiros, Gabriel ; Gadea, María ; Perez-Quiros, Gabriel ; Maria Dolores Gadea Rivas, .
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  72. Stories of the Twentieth Century for the Twenty-First. (2012). Obstfeld, Maurice ; Gourinchas, Pierre-Olivier.
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  74. An Empirical Analysis of the Credit-Output Relationship: Evidence from Peru. (2011). Lahura, Erick.
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  76. The Political Economy of Global Financial Liberalisation in Historical Perspective. (2011). Esteves, Rui.
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  79. Comment on On Graduation from Default, Inflation and Banking Crises: Elusive or Illusion?. (2011). Taylor, Alan.
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  80. On Graduation from Default, Inflation and Banking Crises: Elusive or Illusion?. (2011). Reinhart, Carmen M. ; Qian, Rong ; Rogoff, Kenneth S..
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  81. Banking crises and recessions: what can leading indicators tell us?. (2011). Weale, Martin ; Corder, Matthew.
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  82. Rapid Credit Growth; Boon or Boom-Bust?. (2011). Wu, Yiqun ; Elekdag, Selim.
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  83. When credit bites back: leverage, business cycles, and crises. (2011). Taylor, Alan ; Schularick, Moritz ; Jorda, Oscar.
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  84. Financial Regulation. (2011). Charles A. E. Goodhart, ; Charles A. E. Goodhart, .
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  85. Macroeconomics of Growth Cycles and Financial Instability. (2011). Ferri, Piero.
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  86. Quasi real time early warning indicators for costly asset price boom/bust cycles: A role for global liquidity. (2011). Detken, Carsten ; Alessi, Lucia.
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  87. Macro-financial vulnerabilities and future financial stress: assessing systemic risks and predicting systemic events. (2011). Lo Duca, Marco ; Peltonen, Tuomas A..
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  88. When Credit Bites Back: Leverage, Business Cycles, and Crises. (2011). Taylor, Alan ; Schularick, Moritz ; Jorda, Oscar.
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  92. Global credit and domestic credit booms. (2011). McGuire, Patrick ; McCauley, Robert ; BORIO, Claudio.
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  94. Credit cycles: Evidence based on a non linear model for developed countries. (2011). Anguren, Rebeca ; Martin, Rebeca Anguren .
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  95. Rediscovering the Macroeconomic Roots of Financial Stability Policy: Journey, Challenges, and a Way Forward. (2011). BORIO, Claudio.
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  96. From Financial Crash to Debt Crisis. (2011). Rogoff, Kenneth ; Reinhart, Carmen.
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  97. Monitoring economic performance, quality of life and sustainability. Joint report as requested by the Franco-German Ministerial Council. (2010). .
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  44. Do Macroeconomic Variables Forecast Changes in Liquidity? An Out-of-sample Study on the Order-driven Stock Markets in Scandinavia. (2008). Soderberg, Jonas .
    In: CAFO Working Papers.
    RePEc:hhs:vxcafo:2009_010.

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  45. Financial intermediaries, financial stability, and monetary policy. (2008). Shin, Hyun Song ; Adrian, Tobias.
    In: Staff Reports.
    RePEc:fip:fednsr:346.

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  46. Financial intermediary leverage and value at risk. (2008). Shin, Hyun Song ; Adrian, Tobias.
    In: Staff Reports.
    RePEc:fip:fednsr:338.

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  47. The financial markets, housing, and the economy. (2008). Yellen, Janet.
    In: FRBSF Economic Letter.
    RePEc:fip:fedfel:y:2008:i:apr18:n:2008-13-14.

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  48. Securitization, Transparency and Liquidity. (2008). Volpin, Paolo ; Pagano, Marco.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:7105.

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  49. Developments in repo markets during the financial turmoil. (2008). King, Michael ; Hördahl, Peter ; Hordahl, Peter.
    In: BIS Quarterly Review.
    RePEc:bis:bisqtr:0812e.

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  50. The Role of Bank Capital in the Propagation of Shocks. (2008). Moran, Kevin ; Meh, Cesaire.
    In: Staff Working Papers.
    RePEc:bca:bocawp:08-36.

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