Showing results 19 to 29 of 29
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Issue Date | Title | Author(s) |
2011 | How idiosyncratic are banking crises in OECD countries? | Barrell, R; Philip Davis, E; Karim, D; Liadze, I |
9-Sep-2016 | Interest Rate Liberalization and Capital Adequacy in Models of Financial Crises | Karim, D; ventouri, A; barrell, R |
14-Dec-2021 | Looking Ahead: Early Warning Systems | Davis, EP; Karim, D |
7-Dec-2021 | Macroprudential policy, bank competition and bank risk in East Asia | Chan, KK; Davis, EP; Karim, D |
26-Dec-2023 | Macroprudential Policy, Bank Competition And Bank Risk In East Asia | Chan, KK; Davis, EP; Karim, D |
1-Oct-2020 | Macroprudential Policy, Monetary Policy and the Bank Interest Rate Margin | Davis, EP; Karim, D; Noel, D |
2009 | Macroprudential regulation: The missing policy pillar | Davis, EP; Karim, D |
2012 | Off-balance sheet exposures and banking crises in OECD countries | Barrell, R; Davis, P; Liadze, I; Karim, D |
2008 | Research in and policy for financial stability – What have we learnt? | Davis, EP; Karim, D |
2012 | The role of capital, liquidity and credit growth in financial crises in Latin America and East Asia | Barrell, R; Karim, D |
2018 | Towards an understanding of credit cycles: do all credit booms cause crises? | Karim, D; Barrell, R; Macchiarelli, C |