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61.
Stochastic Volatility, Long Run Risks, and Aggregate Stock M by
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62.
Mapping capital and liquidity requirements to bank lending s by
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63.
Inflation risk premia in the US and the euro area by
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64.
The changing role of central banks by
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65.
Central banks: Between internationalisation and domestic pol by
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66.
The Federal Reserve, the Bank of England and the rise of the by
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67.
The governance of financial regulation: Reform lessons from by
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68.
Minimising monetary policy by
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69.
Central banks and competition authorities: Institutional com by
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70.
The impact of CDS trading on the bond market: Evidence from by
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71.
Banking crises and the international monetary system in the by
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72.
Why issue bonds offshore? by
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73.
To err is human: Rating agencies and the interwar foreign go by
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74.
Policymaking from a macroprudential perspective in emerging by
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75.
Macroprudential policy: A literature review by
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76.
International banking and financial market developments by
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77.
BASEL III: Long-term impact on economic performance and fluc by
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78.
Measuring disagreement in UK consumer and central bank infla by
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79.
80.
Securitization is not that evil after all by
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