Recommendations
Cited in
(30)- Government guarantees and financial stability
- Interest rates and financial fragility
- Financial collapse: a lesson from the great depression.
- Wealth management products, banking competition, and stability: evidence from China
- The optimal bailout policy in an interbank network
- Central bank digital currency: stability and information
- Welfare gains of bailouts in a sovereign default model
- Deposit insurance and the coexistence of commercial and shadow banks
- The impact of bailouts on political turnover and sovereign default risk
- Optimal liquidity policy with shadow banking
- Optimal banking contracts and financial fragility
- Deposit insurance and bank liquidation without commitment: can we sleep well?
- Bubbly bailout
- Market financing of bail-out targets
- Balance Sheet Effects, Bailout Guarantees and Financial Crises
- Disastrous Defaults
- Financial safety nets
- Prudential capital controls or bailouts? The impact of different collateral constraint assumptions
- Why did sponsor banks rescue their SIVs? A signaling model of rescues
- The pecking order of segmentation and liquidity-injection policies in a model of contagious crises
- Allocating losses: bail-ins, bailouts and bank regulation
- Bank bailouts: moral hazard and commitment
- Increasing returns to scale and financial fragility
- Money under the mattress: inflation and lending of last resort
- Time-consistent implementation in macroeconomic games
- Optimal banking with delegated monitoring
- Private sunspots in games of coordinated attack
- Overborrowing, underborrowing, and macroprudential policy
- Bank runs and interventions with wholesale funding
- IMF's assistance: Devil's kiss or guardian angel?
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