Items where Subject is "C > Crises"

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Number of items at this level: 12.

C

Caruso, A, Reichlin, L and Ricco, G (2019) Financial and fiscal interaction in the Euro Area crisis: This time was different. European Economic Review, 119. pp. 333-355. ISSN 0014-2921

Colangelo, A, Giannone, D, Lenza, M, Pill, H and Reichlin, L (2017) The national segmentation of euro area bank balance sheets during the financial crisis. Empirical Economics, 53 (1). pp. 247-265. ISSN 0377-7332 OPEN ACCESS

D

Delatte, A-L, Fouquau, J and Portes, R (2017) Regime-dependent sovereign risk pricing during the Euro crisis. Review of Finance, 27 (1). pp. 363-385. ISSN 1572-3097 OPEN ACCESS

E

Ely, J, Galeotti, A and Steiner, J (2020) Rotation as Contagion Mitigation. Management Science. ISSN 0025-1909 (Accepted)

J

Jacobides, M G (2014) Before prescribing the medicine, we need to better diagnose the malaise. Europe's World (28). pp. 88-89. ISSN 1784-9713

Jacobides, M G, Drexler, M and Rico, J R (2014) Rethinking the future of financial services: A structural and evolutionary perspective on regulation. Journal of Financial Perspectives, 2 (1). pp. 47-72. ISSN 2049-8640

Jacobides, M G, Lang, N and von Szczepanski, K (2020) When the default just won't do: resilience as the new driver. Management and Organization Review, 16 (4). pp. 741-746. ISSN 1740-8776 OPEN ACCESS

L

Lins, K V, Servaes, H and Tamayo, A (2017) Social capital, trust, and firm performance: the value of corporate social responsibility during the financial crisis. Journal of Finance, 72 (4). pp. 1785-1824. ISSN 0022-1082 OPEN ACCESS

Lins, K, Servaes, H and Tamayo, A (2019) Social capital, trust, and corporate performance: how CSR helped companies during the financial crisis (and why it can keep helping them). Journal of Applied Corporate Finance, 31 (2). pp. 59-71. ISSN 1078-1196

M

Miranda, J A, Gomez Cram, R and Guzman, C L (2014) Can Matching Frictions Explain the Increase in Mexican Unemployment After 2008? Working Paper. Banco de México. OPEN ACCESS

R

Reichlin, L and Huw, P (2017) Non-standard monetary policy and financial stability: developing an appropriate macro-financial policy mix. In: Preparing for the next financial crisis: policies, tools and models. Cambridge University Press, Cambridge, pp. 8-25.

Reichlin, L and Pill, H (2015) Exceptional policies for exceptional times: the ECB’s response to the rolling crises of the Euro Area. In: Routledge Handbook of the Economics of European Integration. Routledge International Handbooks . Routledge, Abingdon, Oxon, pp. 351-375. ISBN 9780415747707

This list was generated on Sat Nov 28 01:03:28 2020 GMT.