- Journal of Economic Literature Classification (20)
- G - Financial Economics (20)
- G2 - Financial Institutions and Services (20)
- G28 - Government Policy and Regulation (20)
- G2 - Financial Institutions and Services (20)
- G - Financial Economics (20)
A
Aurazo, Jose and Gasmi, Farid
(2024)
Digital payment systems in emerging economies: lessons from Kenya, India, Brazil, and Peru.
TSE Working Paper, n. 24-1572, Toulouse
B
Becht, Marco, Bolton, Patrick
and Roell, Ailsa
(2011)
Why Bank Governance is Different.
Oxford Review of Economic Policy, 27 (3).
pp. 437-463.
Biais, Bruno, Heider, Florian
and Hoerova, Marie
(2012)
Clearing, counterparty risk and aggregate risk.
IMF Economic Review (n°60).
pp. 193-222.
C
Clayton, Christopher and Schaab, Andreas
(2023)
Regulation with Externalities and Misallocation in General Equilibrium.
TSE Working Paper, n. 23-1445, Toulouse
D
Dewatripont, Mathias and Tirole, Jean
(2012)
Macroeconomic Shocks and Banking Regulation.
Journal of Money, Credit and Banking, 44.
pp. 237-254.
Ding, Haina, Guembel, Alexander
and Ozanne, Alessio
(2022)
Market Information in Banking Supervision: The Role of Stress Test Design.
TSE Working Paper, n. 20-1144, Toulouse
Décamps, Jean-Paul and Villeneuve, Stéphane
(2017)
Jusqu'où les compagnies d'assurance peuvent-elles investir dans le financement des dettes des PME/ETI ? : How Far Can Insurance Companies Invest in SMEs Debt Financing?
Revue d'économie financière (126).
pp. 231-240.
F
Farhi, Emmanuel and Tirole, Jean
(2012)
Collective Moral Hazard, Maturity Mismatch and Systemic Bailouts.
American Economic Review (AER), 102.
pp. 60-93.
Farhi, Emmanuel and Tirole, Jean
(2021)
Shadow banking and the four pillars of traditional financial intermediation.
The Review Of Economic Studies, vol. 88 (n° 6).
pp. 2622-2653.
G
Gersbach, Hans and Rochet, Jean-Charles
(2012)
Aggregate Investment Externalities and Macroprudential Regulation.
Journal of Money, Credit and Banking, 44.
pp. 73-109.
Gersbach, Hans and Rochet, Jean-Charles
(2017)
Capital regulation and credit fluctuations.
Journal of Monetary Economics, vol. 90.
pp. 113-124.
Gersbach, Hans, Rochet, Jean-Charles
and Scheffel, Martin
(2022)
Financial Intermediation, Capital Accumulation, and Crisis Recovery.
Review of Finance.
Gersbach, Hans, Rochet, Jean-Charles
and Scheffel, Martin
(2023)
Financial Intermediation, Capital Accumulation, and Crisis Recovery.
International Review of Economics & Finance, vol.27 (n°4).
pp. 1423-1469.
Guembel, Alexander and Sussman, Oren
(2010)
Liquidity, Contagion and Financial Crisis.
TSE Working Paper, n. 10-240, Toulouse
H
He, Yinghua, Nielsson, Ulf, Guo, Hong and Yang, Jiong
(2012)
Subscribing to Transparency.
TSE Working Paper, n. 12-351
He, Yinghua, Nielsson, Ulf, Guo, Hong and Yang, Jiong
(2014)
Subscribing to Transparency.
Journal of Banking and Finance, 44.
pp. 189-206.
L
Landier, Augustin and Ueda, Kenichi
(2009)
True Taxpayer Burden of Bank Restructuring.
TSE Working Paper, n. 10-238, Toulouse
M
Maideu-Morera, Gerard
(2024)
Optimal fiscal rules and macroprudential policies with sovereign default risk.
TSE Working Paper, n. 24-1534, Toulouse
R
Rochet, Jean-Charles and Vives, Xavier
(2004)
Coordination Failures and the Lender of Last Resort : Was Bagehot Right After All?
IDEI Working Paper, n. 294
T
Tirole, Jean
(2011)
Illiquidity and All Its Friends.
Journal of Economic Literature, vol. 49 (n° 2).
pp. 287-325.