Monetary policy and risk taking
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Publication:1624053
DOI10.1016/J.JEDC.2014.12.001zbMath1402.91398OpenAlexW3123953577MaRDI QIDQ1624053
Ignazio Angeloni, Ester Faia, Marco Lo Duca
Publication date: 15 November 2018
Published in: Journal of Economic Dynamics \& Control (Search for Journal in Brave)
Full work available at URL: https://www.bruegel.org/wp-content/uploads/imported/publications/wp_2010_00.pdf
Related Items (5)
Sovereign risk, bank funding and investors' pessimism ⋮ Taking financial frictions to the data ⋮ Monetary policy and long-run systemic risk-taking ⋮ Monetary policy, macroprudential policy, institutional quality and bank risk: evidence from eagle group ⋮ Impact of monetary and macroprudential regulation on bank stability: a Bayesian mixed-effects analysis
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