1 Eugenio Cerutti, "The use and effectiveness of macroprudential policies: New evidence" Elsevier BV 28 : 203-224, 2017
2 Toni Beutler, "The impact of interest rate risk on bank lending" Elsevier BV 115 : 105797-, 2020
3 John H. Boyd, "The impact of inflation on financial sector performance" Elsevier BV 47 (47): 221-248, 2001
4 Brunnermeier, M., "The fundamental principles of financial regulation: Geneva reports on the world economy" Center for Monetary and Banking Studies 2009
5 Andrew W. Lo, "The Feasibility of Systemic Risk Measurement: Written Testimony for the House Financial Services Committee Hearing on Systemic Risk Regulation" Elsevier BV 4 (4): 56-73, 2009
6 Marcel Bluhm, "Systemic risk in an interconnected banking system with endogenous asset markets" Elsevier BV 13 : 75-94, 2014
7 Gauthies, C., "Macroprudential regulation and systemic capital requirements" Bank of Canada 2010
8 International Monetary Fund (IMF), "Macroprudential policy: An organizing framework"
9 Céline Gauthier, "Macroprudential capital requirements and systemic risk" Elsevier BV 21 (21): 594-618, 2012
10 Lim, C, "Macroprudential Policy: What instruments and how to use them? Lessons from country experiences" International Monetary Fund (IMF) 2011
1 Eugenio Cerutti, "The use and effectiveness of macroprudential policies: New evidence" Elsevier BV 28 : 203-224, 2017
2 Toni Beutler, "The impact of interest rate risk on bank lending" Elsevier BV 115 : 105797-, 2020
3 John H. Boyd, "The impact of inflation on financial sector performance" Elsevier BV 47 (47): 221-248, 2001
4 Brunnermeier, M., "The fundamental principles of financial regulation: Geneva reports on the world economy" Center for Monetary and Banking Studies 2009
5 Andrew W. Lo, "The Feasibility of Systemic Risk Measurement: Written Testimony for the House Financial Services Committee Hearing on Systemic Risk Regulation" Elsevier BV 4 (4): 56-73, 2009
6 Marcel Bluhm, "Systemic risk in an interconnected banking system with endogenous asset markets" Elsevier BV 13 : 75-94, 2014
7 Gauthies, C., "Macroprudential regulation and systemic capital requirements" Bank of Canada 2010
8 International Monetary Fund (IMF), "Macroprudential policy: An organizing framework"
9 Céline Gauthier, "Macroprudential capital requirements and systemic risk" Elsevier BV 21 (21): 594-618, 2012
10 Lim, C, "Macroprudential Policy: What instruments and how to use them? Lessons from country experiences" International Monetary Fund (IMF) 2011
11 Stijn Claessens, "Macro-prudential policies to mitigate financial system vulnerabilities" Elsevier BV 39 : 153-185, 2013
12 Longmei Zhang, "Leaning against the wind: Macroprudential policy in Asia" Elsevier BV 42 : 33-52, 2016
13 Avdjilev, S., "International prudential policy spillovers : a global perspective" 13 (13): 5-33, 2017
14 Luisa Corrado, "Interbank market failure and macro-prudential policies" Elsevier BV 33 : 133-149, 2017
15 Elisabeth Huybens, "Inflation, financial markets and long-run real activity" Elsevier BV 43 (43): 283-315, 1999
16 International Monetary Fund (IMF), "Implementing macroprudential policies: Selected legal issues"
17 Ozge Akinci, "How effective are macroprudential policies? An empirical investigation" Elsevier BV 33 : 33-57, 2018
18 Elisabeth Huybens, "Financial Market Frictions, Monetary Policy, and Capital Accumulation in a Small Open Economy" Elsevier BV 81 (81): 353-400, 1998
19 Joseph Noss, "Estimating the impact of changes in aggregate bank capital requirements on lending and growth during an upswing" Elsevier BV 62 : 15-27, 2016
20 Shijaku, G., "Determinants of bank credit to the private sector: The case of Albania" Bank of Albania 2014
21 Guo, K., "Determinants of bank credit in emerging market economies" International Monetary Fund 2011
22 Jimenez, G., "Credit cycles, credit risk, and prudential regulation" 2 (2): 65-98, 2006
23 Richhild Moessner, "Central Bank Co-Operation and International Liquidity in the Financial Crisis of 2008-2009" Elsevier BV 12 : 183-198, 2010
24 Kenneth N. Kuttner, "Can non-interest rate policies stabilize housing markets? Evidence from a panel of 57 economies" Elsevier BV 26 : 31-44, 2016
25 Pham, T. H. A., "Beyond traditional probabilistic methods in economics" Springer 678-693, 2019
26 Brunnermeier, M. K, "Banks’ non-interest income and systemic risk (AFA 2012, Chicago Meetings Paper)" Rutgers Business School
27 Sibert, A., "A systemic risk warning system" Birkbeck ePrints 2010