Group by: Creators | Item Type | Date
Jump to: 2011 | 2012 | 2022 | 2023
Number of items at this level: 8.

2011

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

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

2012

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.

2022

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

2023

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.