Disentangling demand and supply side determinants of post-GFC credit slowdown: an Indian perspective

Author:

Ghosh Saurabh,Herwadkar Snehal,Verma Radheshyam,Gopalakrishnan Pawan

Publisher

Springer Science and Business Media LLC

Subject

Economics, Econometrics and Finance (miscellaneous),Economics and Econometrics

Reference49 articles.

1. Avyukt, A. (2018). Lead-lag relationship between credit and output cycles: Case of India and US. National Council of Applied Economic Research (NCAER). Working Papers No, 116.

2. Banerjee, S., Jose, J., & Verma, R. (2021). Risk premium shocks and business cycle outcomes in India. RBI Development Research Group Study No. 46.

3. Bhadury, S., Ghosh, S., & Gopalakrishnan, P. (2021). In Quest for policy ‘Silver Bullets’ towards triggering a V-shaped recovery. MPRA Paper No. 110976.

4. Bhoi, B. K., Mitra, A. K., Singh, J. B., & Gangadaran, S. (2017). Effectiveness of alternative channels of monetary policy transmission: Some evidence for India. Macroeconomics and Finance in Emerging Market Economies, 10(1), 19–38.

5. Bofinger, P., Maas, D., & Ries, M. (2017). A model of the market for bank credit: The case of Germany. W.E.P. - Würzburg Economic Papers, No. 98, University of Würzburg, Department of Economics, Würzburg.

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