Macroprudential regulations and systemic risk: Does the one-size-fits-all approach work?

Author:

Rizwan Muhammad Suhail

Publisher

Elsevier BV

Subject

Economics and Econometrics,Finance

Reference102 articles.

1. Should banks be diversified? Evidence from individual bank loan portfolios;Acharya;J. Bus.,2006

2. Bank risk-taking and corporate investment: Evidence from the Global Financial Crisis of 2007–2009;Adachi-Sato;J. Bank. Finance,2020

3. Why are countries’ asset portfolios exposed to nominal exchange rates?;Adams;J. Int. Money Finance,2021

4. Macroprudential regulation and the monetary transmission mechanism;Agénor;J. Financial Stability,2014

5. Volatility in emerging stock markets;Aggarwal;J. Financial Quantitative Anal.,1999

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