Author:
Leroy Aurélien,Lucotte Yannick
Subject
Economics and Econometrics,Finance
Reference74 articles.
1. Capital shortfall: a new approach to ranking and regulating systemic risks;Acharya;Am. Econ. Rev.,2012
2. Acharya, V.V., Anginer, D., Warburton, A.J., 2016. The end of market discipline? Investor expectations of implicit state guarantees. SSRN WP.
3. Acharya, V.V., Pedersen, L.H., Philippon, T., Richardson, M.P., 2010. Measuring systemic risk. Federal Reserve Board of Cleveland Working Paper No. 10–02.
4. Too many to fail – an analysis of time-inconsistency in bank closure policies;Acharya;J. Finan. Intermed.,2007
5. CoVaR;Adrian;Am. Econ. Rev.,2011
Cited by
123 articles.
订阅此论文施引文献
订阅此论文施引文献,注册后可以免费订阅5篇论文的施引文献,订阅后可以查看论文全部施引文献