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Financial Globalization, Financial Crises and Contagion. (2010). Mendoza, Enrique ; Quadrini, Vincenzo.
In: 2010 Meeting Papers.
RePEc:red:sed010:841.

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  27. iConVis: Interactive Visual Exploration of the Default Contagion Risk of Networked-Guarantee Loans. (2020). Zhang, Jiawan ; Cheng, Dawei ; Wu, Junqi ; LI, Runlin ; Niu, Zhibin .
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  30. EFFECTIVENESS OF EARLY WARNING MODELS: A CRITICAL REVIEW AND NEW AGENDA FOR FUTURE DIRECTION. (2019). Prabheesh, K P ; Padhan, Rakesh.
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  34. The propagation of financial turbulence: interdependence, spillovers, and direct and indirect effects. (2018). Jacobs, Jan ; Elhorst, J.Paul ; Haan, Jakob ; Jing, Zhongbo.
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  35. India in the globalized economy : Growth spillovers & business cycle synchronization. (2018). Dubey, Amlendu ; Nachane, Dilip.
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  37. TAIWAN AND U.S. EQUITY MARKET INTERDEPENDENCE AND CONTAGION: EVIDENCE FROM FOUR-FACTOR MODEL. (2018). Li, Chun-An ; Huang, Chin-Sheng ; Lee, Min-Ching.
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  38. Are business and credit cycles synchronised internally or externally?. (2018). Kurowski, Ukasz ; Rogowicz, Karol.
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  40. Global Banking, Trade, and the International Transmission of the Great Recession. (2018). Enders, Zeno ; Born, Alexandra.
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    RePEc:eee:moneco:v:89:y:2017:i:c:p:25-44.

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  44. The synchronization of credit cycles. (2017). Metiu, Norbert ; Meller, Barbara.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:82:y:2017:i:c:p:98-111.

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  45. Global Collateral: How Financial Innovation Drives Capital Flows and Increases Financial Instability. (2017). Phelan, Gregory ; Fostel, Ana ; Geanakoplos, John.
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  49. Contagion: Recent Models in International Finance Literature. (2016). Sever, Can .
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  50. Macroprudential Policy: Promise and Challenges. (2016). Mendoza, Enrique.
    In: PIER Working Paper Archive.
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  51. Leverage. (2016). Santos, Tano ; Veronesi, Pietro.
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  52. Macroprudential Policy: Promise and Challenges. (2016). Mendoza, Enrique.
    In: NBER Working Papers.
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  54. Trade, finance or policies: What drives the cross-border spill-over of business cycles?. (2016). Stracca, Livio ; Montinari, Letizia.
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  56. Habits and Leverage. (2016). Santos, Tano ; Veronesi, Pietro.
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  57. Optimal policy rules at home, crisis and quantitative easing abroad. (2016). McNelis, Paul.
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  58. Financial Intermediaries, Credit Shocks and Business Cycles. (2016). Mimir, Yasin.
    In: Oxford Bulletin of Economics and Statistics.
    RePEc:bla:obuest:v:78:y:2016:i:1:p:42-74.

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  59. Macroprudential policies, the long-term interest rate and the exchange rate. (2016). Turner, Philip.
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  63. Bank Liabilities Channel. (2015). Quadrini, Vincenzo.
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  64. Interdependence between Sovereign and Bank CDS Spreads in Eurozone during the European Debt Crisis - The PSI Effect. (2015). PSILLAKI, Maria ; Papafilis, Michalis-Panayiotis ; Margaritis, Dimitris.
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  65. Financial Shocks, Customer Capital and the Trade Collapse of 2008-2009. (2015). Yip, Terry ; Johri, Alok.
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  67. Financial Intermediation, Resource Allocation, and Macroeconomic Interdependence. (2015). Ozhan, Galip.
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  68. Do Markets Cointegrate after Financial Crises? Evidence from G-20 Stock Markets. (2015). Shamsub, Hannarong ; Haque, Mahfuzul.
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  69. Collateral and the Role of International Merchant Banks in the Spread of Aggregate Risks. (2015). Derviz, Alexis ; Holub, Libor.
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  74. Financial innovation, the discovery of risk, and the U.S. credit crisis. (2014). Mendoza, Enrique ; Boz, Emine.
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  82. Fear of Sovereign Default, Banks, and Expectations-driven Business Cycles. (2013). Johri, Alok ; Gunn, Christopher.
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  83. International Income Risk-Sharing and the Global Financial Crisis of 2008- 2009. (2013). Balli, Hatice ; Basher, Syed.
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  84. Global implications of national unconventional policies. (2013). Lombardo, Giovanni ; Karadi, Peter ; Dedola, Luca.
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  85. Capital mobility and international sharing of cyclical risk. (2013). Mendoza, Enrique ; Bengui, Julien ; Quadrini, Vincenzo.
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  88. Sudden spikes in global risk. (2013). van Wincoop, Eric ; Bacchetta, Philippe.
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  89. Global banks and crisis transmission. (2013). Perri, Fabrizio ; Papaioannou, Elias ; Kalemli-Ozcan, Sebnem.
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  92. Fear of Sovereign Default, Banks, and Expectations-Driven Business Cycles. (2013). Johri, Alok ; Gunn, Christopher.
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  93. Financial Regulation, Financial Globalization, and the Synchronization of Economic Activity. (2013). Peydro, Jose-Luis ; Papaioannou, Elias ; Kalemli-Ozcan, Sebnem.
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  94. Business Cycle Synchronization During US Recessions Since the Beginning of the 1870s. (2012). Antonakakis, Nikolaos.
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