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301.
Breaking free of the triple coincidence in international fin by
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Publication details: Basel BIS 2015
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302.
Capital flows and the current account: Taking financing (mor by
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Publication details: Basel BIS 2015
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303.
Modelling the time-variation in Euro area lending spreads by
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Publication details: Basel BIS 2015
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304.
Expectations and risk premia at 8:30AM: Macroeconomic announ by
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Publication details: Basel BIS 2015
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305.
External shocks, banks and optimal monetary policy in an ope by
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306.
A search-based model of the interbank money market and monet by
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307.
Commercial bank failures during the Great Recession: The rea by
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Publication details: Basel BIS 2015
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308.
The supply side of household finance by
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Publication details: Basel BIS 2015
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309.
Mortgage risk and the yield curve by
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Publication details: Basel BIS 2015
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310.
Managing price and financial stability objectives: What can by
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Publication details: Basel BIS 2015
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311.
Labour reallocation and productivity dynamics: Financial cau by
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Publication details: Basel BIS 2015
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312.
Interbank networks in the national banking era: Their purpos by
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Publication details: Basel BIS 2016
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313.
Is macroprudential policy instrument blunt? by
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Publication details: Basel BIS 2016
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314.
Exchange rates and monetary spillovers by
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315.
Sovereign yields and the risk-taking channel of currency app by
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Publication details: Basel BIS 2016
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316.
International trade finance and the cost channel of monetary by
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Publication details: Basel BIS 2016
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317.
Self-oriented monetary policy, global financial markets and by
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318.
How do global investors differentiate between sovereign risk by
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Publication details: Basel BIS 2016
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319.
Bank standalone credit ratings by
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320.
Fiscal policy and the cycle in Latin America: The role of fi by
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Publication details: Basel BIS 2016
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