Group by: Creators | Item Type | Date
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Number of items at this level: 8.

Article

Becht, MarcoIdRef, Bolton, PatrickIdRef and Roell, AilsaIdRef (2011) Why Bank Governance is Different. Oxford Review of Economic Policy, 27 (3). pp. 437-463.

Biais, BrunoIdRef, Heider, FlorianIdRef and Hoerova, Marie (2012) Clearing, counterparty risk and aggregate risk. IMF Economic Review (n°60). pp. 193-222.

Dewatripont, MathiasIdRef and Tirole, JeanIdRef (2012) Macroeconomic Shocks and Banking Regulation. Journal of Money, Credit and Banking, 44. pp. 237-254.

Farhi, EmmanuelIdRef and Tirole, JeanIdRef (2012) Collective Moral Hazard, Maturity Mismatch and Systemic Bailouts. American Economic Review (AER), 102. pp. 60-93.

Gersbach, HansIdRef and Rochet, Jean-CharlesIdRef (2012) Aggregate Investment Externalities and Macroprudential Regulation. Journal of Money, Credit and Banking, 44. pp. 73-109.

Gersbach, HansIdRef, Rochet, Jean-CharlesIdRef and Scheffel, Martin (2022) Financial Intermediation, Capital Accumulation, and Crisis Recovery. Review of Finance.

Tirole, JeanIdRef (2011) Illiquidity and All Its Friends. Journal of Economic Literature, vol. 49 (n° 2). pp. 287-325.

Monograph

Clayton, Christopher and Schaab, AndreasIdRef (2023) Regulation with Externalities and Misallocation in General Equilibrium. TSE Working Paper, n. 23-1445, Toulouse

This list was generated on Wed Jan 14 07:50:01 2026 CET.