BIBLIOGRAPHY
- Acemoglu, D., A. Ozdaglar, and A. Tahbaz-Salehi (2015): “Systemic risk and stability in financial networks,” American Economic Review, 105, 564–608.
- Acharya, V. V. (2009): “A theory of systemic risk and design of prudential bank regulation,” Journal of Financial Stability, 5, 224–255.
- Acharya, V. V., M. Crosignani, T. Eisert, and C. Eufinger (2020): “Zombie credit and (dis-)inflation: Evidence from Europe,” Working Paper 27158, National Bureau of Economic Research.
- Acharya, V. V., T. Eisert, C. Eufinger, and C. Hirsch (2019): “Whatever it takes: The real effects of unconventional monetary policy,” Review of Financial Studies, 32, 3366–3411.
- Acharya, V. V., D. Gale, and T. Yorulmazer (2011): “Rollover risk and market freezes,” ...
Get The Economics of Banking now with the O’Reilly learning platform.
O’Reilly members experience books, live events, courses curated by job role, and more from O’Reilly and nearly 200 top publishers.