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234篇 您的检索式:期刊名="Journal of Financial Stability"
    题名 作者 年代 出处 被引量
1The role of house prices in the monetary policy transmission mechanism in small open economies显示文摘2010Journal of Financial Stability2010,,4:3
2Measuring financial stress in a developed country: An application to Canada显示文摘Mark Illing Ying Liu 2006Journal of Financial Stability2006,,3:2
3How to deal with real estate booms: Lessons from country experiences显示文摘Christopher Crowe Giovanni Dell’Ariccia Deniz Igan Pau Rabanal 2013Journal of Financial Stability2013,,3:2
4Capital regulation, risk-taking and monetary policy: A missing link in the transmission mechanism?显示文摘Claudio Borio Haibin Zhu 2012Journal of Financial Stability2012,,4:2
5Can central banks’ monetary policy be described by a linear (augmented) Taylor rule or by a nonlinear rule?显示文摘Vítor Castro 2010Journal of Financial Stability2010,,4:2
6Measuring Financial Stress in a Developed Country: An Application to Canada显示文摘Mark Illin and Ying Liu 2006Journal of Financial Stability2006,,2:1
7Regulations, Competition and Bank Risk -taking in Transition Countries 显示文摘Agoraki 2011Journal of Financial Stability2011,7,1:1
8Credit protection and lending relationships显示文摘Arping S 2014Journal of Financial Stability2014,10,1:1
9Financial sector structure and financial crisis burden显示文摘George Mavrotas Dmitri Vinogradov 2007Journal of Financial Stability2007,,6:1
10Flights and contagion-An empirical analysis of stock-bond correlations显示文摘Baur D Lucey B 2009Journal of Financial Stability2009,5,:1
11Blanket guarantee, deposit insurance and restructuring decisions for multinational banks显示文摘2011Journal of Financial Stability2011,,2:1
12Systemic Liquidity Shortages and Interbank Network Structures显示文摘Lee SH 2013Journal of Financial Stability2013,9,1:1
13Banks' regulatory capital buffer and the business cycle : evidence for Germany 显示文摘Stolz S Wedow M 2011Journal of Financial Stability2011,7,2:1
14Default cascades:when does risk diversification increase stability?显示文摘Battiston S Gatti D D Gallegati M 2012Journal of Financial Stability2012,8,3:1
15Asset price and banking distress: a macroeconomic approach显示文摘Goetz von Peter 2009Journal of Financial Stability 5(2009)2009,,:1
16Bank capital buffer and risk adjust- ment decisions 显示文摘Jokipii T Milne A 2011Journal of Financial Stability2011,7,3:1
17The subprime crisis and its consequences显示文摘Ackermann Josef 2008Journal of Financial Stability2008,,4:1
18Assessing the systemic risk of a heterogeneous portfolio of banks during the recent financial crisis显示文摘Xin Huang Hao Zhou Haibin Zhu 2011Journal of Financial Stability2011,,3:1
19Banks' regulatory capital buffer and the business cycle : evidence for Germany 显示文摘Stolz S Wedow M 2011Journal of Financial Stability2011,7,2:1
20A model to analyse financial fragility: applications显示文摘Charles A.E. Goodhart Pojanart Sunirand Dimitrios P. Tsomocos 2004Journal of Financial Stability2004,,1:1
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