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Macroeconomics with Financial Frictions: A Survey. (2012). Eisenbach, Thomas ; Brunnermeier, Markus ; Sannikov, Yuliy .
In: NBER Working Papers.
RePEc:nbr:nberwo:18102.

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  71. Subprime assets and financial crisis: theory, policy and the law. (2017). Miller, Marcus ; Rastapana, Songklod ; Zhang, Lei.
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  95. The Effect of the Global Financial Crisis on Corporate Investment in Korea: From the Perspective of Costly External Finance. (2015). Jeong, Daehee .
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  96. A CENTRAL BANK’S DILEMMAS IN HIGHLY UNCERTAIN TIMES - A ROMANIAN VIEW. (2015). Daianu, Daniel .
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  97. Financial Intermediation and Capital Reallocation. (2015). Yang, Fang ; Li, Kai ; Ai, Hengjie.
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  98. Fluctuations in uncertainty, efficient borrowing constraints and firm dynamics. (2015). Dyrda, Sebastian.
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  99. Capital Regulation in a Macroeconomic Model with Three Layers of Default. (2015). Suarez, Javier ; Stracca, Livio ; Nikolov, Kalin ; Moyen, Stéphane ; Mendicino, Caterina ; Derviz, Alexis ; CLERC, Laurent ; Vardulakis, Alexandro .
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  100. Financial Accelerator at Work: Evidence from Corn Fields. (2015). Bergman, Nittai K. ; Thakor, Richard T. ; Iyer, Rajkamal.
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  101. Intertemporal equilibrium with financial asset and physical capital. (2015). Pham, Ngoc-Sang ; LE VAN, CUONG.
    In: Documents de travail du Centre d'Economie de la Sorbonne.
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  102. Forecasting in a DSGE Model with Banking Intermediation: Evidence from the US. (2015). Villa, Stefania ; Paccagnini, Alessia ; Cardani, Roberta.
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  103. The Optimal Monetary and Fiscal Policy Mix in a Financially Heterogeneous Monetary Union. (2015). Palek, Jakob .
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  104. Technological Progress, Investment Frictions and Business Cycle: New Insights from a Neoclassical Growth Model. (2015). Paradiso, Antonio ; Donadelli, Michael ; Mojtahed, Vahid .
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  105. The Sovereign Effect on Bank Credit Ratings. (2015). Shen, Chung-Hua ; Huang, Yu-Li.
    In: Journal of Financial Services Research.
    RePEc:kap:jfsres:v:47:y:2015:i:3:p:341-379.

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  106. Systemic Risk, Aggregate Demand, and Commodity Prices. (2015). Gómez-Pineda, Javier ; Tanyeri, Kadir ; Guillaume, Dominique M ; Gomezpineda, Javier.
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  107. Joining the Club? Procyclicality of Private Capital Inflows in Low Income Developing Countries. (2015). van Hombeeck, Carlos Eduardo ; Papageorgiou, Chris ; David, Antonio ; Araujo, Juliana Dutra.
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  108. Asset Bubbles; Re-thinking Policy for the Age of Asset Management. (2015). Jones, Bradley.
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  109. Financial Frictions, Trends, and the Great Recession. (2015). Jinnai, Ryo ; Guerron, Pablo ; Guerron-Quintana, Pablo A.
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  110. Aggregate Consequences of Dynamic Credit Relationships. (2015). Verani, Stephane.
    In: Finance and Economics Discussion Series.
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  111. Intertemporal equilibrium with financial asset and physical capital. (2015). Pham, Ngoc-Sang ; LE VAN, CUONG.
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  112. Information, Coordination, and Market Frictions: An Introduction. (2015). Vives, Xavier ; Pavan, Alessandro.
    In: Journal of Economic Theory.
    RePEc:eee:jetheo:v:158:y:2015:i:pb:p:407-426.

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  113. Flight to liquidity and the Great Recession. (2015). Radde, Sören.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:54:y:2015:i:c:p:192-207.

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  114. Capital regulation in a macroeconomic model with three layers of default. (2015). Suarez, Javier ; Stracca, Livio ; Nikolov, Kalin ; Moyen, Stéphane ; Mendicino, Caterina ; Derviz, Alexis ; CLERC, Laurent ; Vardoulakis, Alexandros P ; Clerk, Laurent .
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  115. Critique of accommodating central bank policies and the expropriation of the saver - A review. (2015). Domnick, Clemens ; Bindseil, Ulrich ; Zeuner, Jorg .
    In: Occasional Paper Series.
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  116. Critique of accommodating central bank policies and the expropriation of the saver - A review. (2015). Bindseil, Ulrich ; Zeuner, Jorg ; Domnick, Clemens.
    In: Occasional Paper Series.
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  117. Search for Yield. (2015). Repullo, Rafael ; Martinez-Miera, David.
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  118. Systemic Risk, Aggregate Demand, and Commodity Prices. (2015). Gómez-Pineda, Javier ; Tanyeri, Kadir ; Guillaume, Dominique ; Gomez-Pineda, Javier G.
    In: BORRADORES DE ECONOMIA.
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  119. Balanced Budget Tax Cuts in a Liquidity-Constrained Economy. (2015). Prasad, Vivek.
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  120. Systemic Risk, Aggregate Demand, and Commodity Prices. (2015). Gómez-Pineda, Javier ; Tanyeri, Kadir ; Guillaume, Dominique ; Gomez-Pineda, Javier G.
    In: Borradores de Economia.
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  121. Idiosyncratic Risk, Borrowing Constraints and Financial Integration - A Discussion of Ambiguous Results. (2015). Heinemann, Maik .
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  122. Bank Risk Taking, Credit Booms and Monetary Policy. (2014). Afanasyeva, Elena ; Guentner, Jochen .
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  123. Lending standards, credit booms and monetary policy. (2014). Güntner, Jochen ; Afanasyeva, Elena ; Guntner, Jochen.
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  124. Money in modern macro models: A review of the arguments. (2014). Seitz, Franz ; Schmidt, Markus A..
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  125. Frictions in the interbank market and uncertain liquidity needs: Implications for monetary policy implementation. (2014). Hauck, Achim ; Neyer, Ulrike ; Bucher, Monika.
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  126. Liquidity, Trends and the Great Recession. (2014). Guerron-Quintana, Pablo A. ; Jinnai, Ryo .
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  127. The effectiveness of countercyclical capital requirements and contingent convertible capital: a dual approach to macroeconomic stability. (2014). Hollander, Hylton.
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  128. Liquidity, Trends, and the Great Recession. (2014). Guerron, Pablo ; Guerron-Quintana, Pablo.
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  129. The Macroeconomics of Shadow Banking. (2014). Savov, Alexi ; Moreira, Alan.
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  130. The financial meltdown: a model with endogenous default probability. (2014). Ferrari, Massimo.
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  131. Monetary policy and growth with trend inflation and financial frictions. (2014). Olmos, Lorena ; Frago, Marcos Sanso .
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  132. Investment Hangover and the Great Recession. (2014). Shleifer, Andrei ; Rognlie, Matthew ; Simsek, Alp.
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  133. Positive Long Run Capital Taxation: Chamley-Judd Revisited. (2014). Werning, Iván ; Straub, Ludwig.
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  134. The Macroeconomics of Shadow Banking. (2014). Savov, Alexi ; Moreira, Alan.
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  135. Optimal Development Policies with Financial Frictions. (2014). Moll, Benjamin ; Itskhoki, Oleg.
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  136. Intertemporal equilibrium with financial asset and physical capital. (2014). Pham, Ngoc-Sang ; LE VAN, CUONG.
    In: Documents de travail du Centre d'Economie de la Sorbonne.
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  137. Lending Standards, Credit Booms and Monetary Policy. (2014). Güntner, Jochen ; Afanasyeva, Elena ; Guntner, Jochen.
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  138. Bringing Financial Stability into Monetary Policy. (2014). Leeper, Eric ; Nason, James .
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  139. Bringing Financial Stability into Monetary Policy. (2014). Nason, James ; Leeper, Eric.
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  140. An Overview of Macroprudential Policy Tools. (2014). Claessens, Stijn.
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  141. Intertemporal equilibrium with financial asset and physical capital. (2014). Pham, Ngoc-Sang ; le Van, Cuong.
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  142. Intertemporal equilibrium with financial asset and physical capital. (2014). Pham, Ngoc-Sang ; LE VAN, CUONG.
    In: Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers).
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  143. Lliquidity, trends, and the great recession. (2014). Jinnai, Ryo ; Guerron, Pablo ; Guerron-Quintana, Pablo.
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  144. Dynamic leverage asset pricing. (2014). Shin, Hyun Song ; Moench, Emanuel ; Adrian, Tobias.
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  145. The Cost of Financial Frictions for Life Insurers. (2014). Yogo, Motohiro ; Koijen,Ralph S. J., ; Koijen, Ralph S. J., .
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  146. The allocation of talent: finance versus entrepreneurship. (2014). Shakhnov, Kirill.
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  147. Do we need new modelling approaches in macroeconomics?. (2014). Buch, Claudia M. ; Holtemller, Oliver .
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  148. Bringing Financial Stability into Monetary Policy. (2014). Nason, James ; Leeper, Eric.
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  149. Bubbles over the U.S. business cycle: A macroeconometric approach. (2014). Wesselbaum, Dennis ; Luik, Marc-André.
    In: Journal of Macroeconomics.
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  150. Macroprudential regulation and the monetary transmission mechanism. (2014). Pereira da Silva, Luiz Awazu ; Agénor, Pierre-Richard ; Pereira da Silva, Luiz A., ; Agenor, Pierre-Richard.
    In: Journal of Financial Stability.
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  151. Quantitative easing and the loan to collateral value ratio. (2014). Girdėnas, Šarūnas ; Damjanovic, Tatiana ; Girdnas, arnas .
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  152. The role of financial intermediaries in monetary policy transmission. (2014). Pfajfar, Damjan ; Colciago, Andrea ; Beck, Thorsten.
    In: Journal of Economic Dynamics and Control.
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  153. Flight to liquidity and the Great Recession. (2014). Radde, Sören.
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  154. What do we know about the effects of macroprudential policy?. (2014). Moessner, Richhild ; Galati, Gabriele.
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  155. Capital Regulation in a Macroeconomic Model with Three Layers of Default. (2014). Suarez, Javier ; Stracca, Livio ; Nikolov, Kalin ; Moyen, Stéphane ; Mendicino, Caterina ; Derviz, Alexis ; CLERC, Laurent ; Vardoulakis, Alexandros.
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  156. The Impact of Financial Variables on Czech Macroeconomic Developments: An Empirical Investigation. (2014). Plašil, Miroslav ; Adam, Tomas.
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  157. Capital Regulation in a Macroeconomic Model with Three Layers of Default. (2014). Suarez, Javier ; Stracca, Livio ; Nikolov, Kalin ; Moyen, Stéphane ; Mendicino, Caterina ; Derviz, Alexis ; CLERC, Laurent ; Vardoulakis, Alexandros P.
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  158. Optimal Control Problems with State Specific Jumps in the State Equation. (2014). Guo, Nick ; Caliendo, Frank ; Caliendo Frank N., ; Guo Nick L., .
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  159. Capital Regulation in a Macroeconomic Model with Three Layers of Default.. (2014). Suarez, Javier ; Stracca, Livio ; Nikolov, Kalin ; Moyen, Stéphane ; Mendicino, Caterina ; Derviz, Alexis ; CLERC, Laurent ; Vardoulakis, A. P..
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  160. The two greatest. Great recession vs. great moderation. (2014). Perez Quiros, Gabriel ; Gómez-Loscos, Ana ; Gadea, María ; Gomez-Loscos, Ana ; Gadea-Rivas, Maria Dolores ; Perez-Quiros, Gabriel.
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  161. Financial frictions in the Euro Area and the United States: a Bayesian assessment. (2014). Villa, Stefania.
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  162. When Credit Bites Back. (2013). Taylor, Alan ; Jorda, Oscar ; Schularick, Moritz.
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  163. The conceptual foundations of macroprudential policy : a roadmap. (2013). Ize, Alain ; de la Torre, Augusto.
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  164. The foundations of macroprudential regulation : a conceptual roadmap. (2013). Ize, Alain ; de la Torre, Augusto.
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  165. Fiscal Policies and Credit Regimes: A TVAR Approach. (2013). Roventini, Andrea ; Fagiolo, Giorgio ; Ferraresi, Tommaso.
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  166. The Uncertainty Multiplier and Business Cycles. (2013). Jinnai, Ryo ; Guerron-Quintana, Pablo A..
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  167. Animal Spirits, Heterogeneous Expectations and the Emergence of Booms and Busts. (2013). Hommes, Cars ; Brock, William ; Assenza, Tiziana.
    In: Tinbergen Institute Discussion Papers.
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  168. Fiscal Policies and Credit Regimes: A TVAR Approach. (2013). Roventini, Andrea ; Fagiolo, Giorgio ; Ferraresi, Tommaso.
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  169. When Credit Bites Back. (2013). Taylor, Alan ; Schularick, Moritz ; Jorda, Oscar.
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  170. Facts and Challenges from the Great Recession for Forecasting and Macroeconomic Modeling. (2013). Wright, Jonathan ; Ng, Serena.
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  171. Three Branches of Theories of Financial Crises. (2013). Razin, Assaf ; Goldstein, Itay.
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  172. Macroprudential Regulation and the Monetary Transmission Mechanism. (2013). Pereira da Silva, Luiz Awazu ; Agénor, Pierre-Richard ; Luiz A. Pereira da Silva, .
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  173. Revisiting the Link Between Finance and Macroeconomic Volatility. (2013). Srivisal, Narapong ; Dabla-Norris, Era.
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  174. Macroeconomic Model Spillovers and Their Discontents. (2013). Vitek, Francis ; Bayoumi, Tamim.
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  175. Fiscal policies and credit regimes: a tvar approach. (2013). Roventini, Andrea ; Fagiolo, Giorgio ; Ferraresi, Tommaso.
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  176. Should Central Bank respond to the Changes in the Loan to Collateral Value Ratio and in the House Prices?. (2013). Girdėnas, Šarūnas ; Damjanovic, Tatiana.
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  177. DSGE Model-Based Forecasting. (2013). del Negro, Marco ; Schorfheide, Frank.
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  178. Liquidity constraints, risk premia, and themacroeconomic effects of liquidity shocks. (2013). Jaccard, Ivan.
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  179. Financial frictions in the euro area: a Bayesian assessment. (2013). Villa, Stefania.
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  180. Animal Spirits, Heterogeneous Expectations and the Emergence of Booms and Busts. (2013). Hommes, Cars ; Brock, William ; Assenza, Tiziana.
    In: DISCE - Working Papers del Dipartimento di Economia e Finanza.
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  181. Animal Spirits, Heterogeneous Expectations and the Emergence of Booms and Busts. (2013). Hommes, Cars ; Brock, William ; Assenza, Tiziana.
    In: DISCE - Working Papers del Dipartimento di Economia e Finanza.
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  182. ¿Crisis después de la crisis?: el estado de la macroeconomía financiera después de la crisis global.. (2013). Trujillo, Boris Salazar .
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  183. Macro-Prudential Policy and the Conduct of Monetary Policy. (2013). Mojon, Benoit ; CLERC, Laurent ; Cahn, Christophe ; Beau, Denis .
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  184. Financial Regulation, Financial Globalization, and the Synchronization of Economic Activity. (2013). Peydro, Jose-Luis ; Papaioannou, Elias ; Kalemli-Ozcan, Sebnem.
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  185. Facts and Challenges from the Great Recession for Forecasting and Macroeconomic Modeling. (2013). Ng, Serena ; Wright, Jonathan H..
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  186. Liquidity Crises, Banking, and the Great Recession. (2012). Radde, Soren .
    In: Annual Conference 2012 (Goettingen): New Approaches and Challenges for the Labor Market of the 21st Century.
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  187. Macroeconomic Policy in DSGE and Agent-Based Models. (2012). Roventini, Andrea ; Fagiolo, Giorgio.
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  188. The Cost of Financial Frictions for Life Insurers. (2012). Yogo, Motohiro ; koijen, ralph.
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  189. Labor Market, Financial Crises and Inflation: Jobless and Wageless Recoveries. (2012). Ottonello, Pablo ; coricelli, fabrizio ; Calvo, Guillermo.
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  190. Bubbles, Financial Crises, and Systemic Risk. (2012). Brunnermeier, Markus ; Oehmke, Martin.
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  191. Some Reflections on the Recent Financial Crisis. (2012). Gorton, Gary.
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  192. Which Financial Frictions? Parsing the Evidence from the Financial Crisis of 2007-9. (2012). Shin, Hyun Song ; Colla, Paolo ; Adrian, Tobias.
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  193. The Cost of Financial Frictions for Life Insurers. (2012). Yogo, Motohiro ; koijen, ralph ; Ralph S. J. Koijen, .
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  37. Capital Regulation and Tail Risk. (2011). Vlahu, Razvan ; Ratnovski, Lev ; Perotti, Enrico.
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  40. Leveraged Network-Based Financial Accelerator. (2011). Russo, Alberto ; Riccetti, Luca ; Gallegati, Mauro.
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  41. Dealing with the Challenges of Capital Inflows in the Context of Macrofinancial Links. (2010). Ghosh, Swati R.
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  42. The reconstruction of historical national accounts: the case of Italy. (2010). Fenoaltea, Stefano ; Masera, Rainer .
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  43. Illiquidity, insolvency, and banking regulation. (2010). Cao, Jin.
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  44. Regulation of Systemic Liquidity Risk. (2010). Cao, Jin ; Illing, Gerhard.
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  45. Regulation of systemic liquidity risk. (2010). Cao, Jin ; Illing, Gerhard.
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  46. Systemic risk in a network model of interbank markets with central bank activity. (2010). Poschmann, Jenny ; Georg, Co-Pierre.
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  47. Back to the basics in banking? A micro-analysis of banking system stability. (2010). De Jonghe, Olivier.
    In: Journal of Financial Intermediation.
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  48. Housing markets and the financial crisis of 2007-2009: Lessons for the future. (2010). Murphy, Anthony ; muellbauer, john ; Duca, John.
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  49. Applying CoV aR to Measure Systemic Market Risk: the Colombian Case. (2010). Perez-Reyna, David ; Mendoza, juan ; Arias, Mauricio.
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  50. Back to the Basics in Banking? A Micro-Analysis of Banking System Stability. (2009). De Jonghe, Olivier.
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