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Financial intermediaries, financial stability and monetary policy. (2008). Shin, Hyun Song ; Adrian, Tobias.
In: Proceedings - Economic Policy Symposium - Jackson Hole.
RePEc:fip:fedkpr:00006.

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  2. Bank size and the transmission of monetary policy: Revisiting the lending channel. (2023). Pungaliya, Raunaq ; Naqvi, Hassan.
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  3. The cost of excess reserves and inflation in the United States during the last century. (2022). Pavon-Prado, David.
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  6. Intermediary capital risk and commodity futures volatility. (2021). Han, Liyan ; Nie, Jing ; Yin, Libo.
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  7. The Impact of Shadow Banking on the Financial Stability: Evidence from G20 Countries. (2021). Mirjalili, Seyed Hossein ; Esfandiari, Marziyeh ; Zarei, Mehran.
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  8. What does peer-to-peer lending evidence say about the Risk-Taking Channel of monetary policy?. (2021). Li, Xiang ; Huang, Yiping ; Wang, Chu.
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  9. Intermediary asset pricing in commodity futures returns. (2020). Han, Liyan ; Nie, Jing ; Yin, Libo.
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  10. What does peer-to-peer lending evidence say about the risk-taking channel of monetary policy?. (2019). Wang, Chu ; Li, Xiang ; Huang, Yiping.
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  11. THE SCOPE, PROSPECT AND IMPLICATION OF NEW FORM OF FINANCIAL INTERMEDIATION FOR MONETARY POLICY IN INDONESIA. (2019). Syarifuddin, Ferry ; Azwar, Prayudhi.
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  12. Monetary Policy and Shadow Banking: Trapped between a Rock and a Hard Place. (2019). Hodula, Martin.
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  13. What Does Peer-To-Peer Lending Evidence Say about the Risk-Taking Channel of Monetary Policy?. (2019). Wang, Chu ; Li, Xiang ; Huang, Yiping.
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  14. What does peer-to-peer lending evidence say about the risk-taking channel of monetary policy?. (2019). Wang, Chu ; Li, Xiang ; Huang, Yiping.
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  15. Interdependence between Greece and other European stock markets: A comparison of wavelet and VMD copula, and the portfolio implications. (2016). Shahzad, Syed Jawad Hussain ; Kumar, Ronald ; Ameer, Saba ; Ali, Sajid ; Hussain, Syed Jawad.
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  16. Credit cycle and balancing the capital gap: Evidence from Korea. (2016). Song, Joonhyuk ; Ryu, Doojin.
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  17. Home-Host Banking Issues and Non-Core Funding—Evidence from Central and Eastern Europe. (2015). Babin, Adrian .
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  18. Balance sheets of financial intermediaries: Do they forecast economic activity?. (2015). Sekkel, Rodrigo M..
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  19. Forward‐Looking Monetary Policy Rules and Option‐Implied Interest Rate Expectations. (2014). Vähämaa, Sami ; Sihvonen, Jukka ; Vahamaa, Sami.
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  20. Financial stability monitoring. (2014). Adrian, Tobias ; Covitz, Daniel ; Liang, Nellie J..
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  21. Capital adequacy and lending and deposit behaviors of conventional and Islamic banks. (2014). Mohamad, Shamsher ; Hassan, M. Kabir ; Karim, Mastura Abdul .
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  22. What drives investment bank performance? The role of risk, liquidity and fees prior to and during the crisis. (2014). mamatzakis, emmanuel ; Bermpei, Theodora.
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  29. Capital Flows and the Risk-Taking Channel of Monetary Policy. (2012). Shin, Hyun Song ; Bruno, Valentina.
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  30. Cross-country causes and consequences of the crisis: an update. (2011). Spiegel, Mark ; Rose, Andrew.
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  13. The Information Content Of Money And Credit For US Activity. (2015). Seitz, Franz ; Albuquerque, Bruno ; Baumann, Ursel.
    In: Annual Conference 2015 (Muenster): Economic Development - Theory and Policy.
    RePEc:zbw:vfsc15:113066.

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  14. The information content of money and credit for US activity. (2015). Seitz, Franz ; Albuquerque, Bruno ; Baumann, Ursel.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20151803.

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  15. The information content of money and credit for US activity. (2015). Albuquerque, Bruno ; Seitz, Franz ; Baumann, Ursel.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20141803.

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  16. Sorting out commodity and macroeconomic risk in expected stock returns. (2014). Boons, M. F..
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:1ebdac58-bf37-499d-8835-1ba1e8153940.

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  17. Global Monetary Tightening; Emerging Markets Debt Dynamics and Fiscal Crises. (2014). Lonkeng Ngouana, Constant ; Escolano, Julio ; Kolerus, Christina.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2014/215.

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  18. A multivariate evaluation of German output growth and inflation forecasts. (2014). Krüger, Jens ; Kruger, Jens J..
    In: Economics Bulletin.
    RePEc:ebl:ecbull:eb-13-00634.

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  19. Bond Spreads and Economic Activity in Eight European Economies. (2013). Mizen, Paul ; Bleaney, Michael ; Veleanu, Veronica.
    In: Discussion Papers.
    RePEc:not:notcfc:13/09.

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  20. The impacts of standard monetary and budgetary policies on liquidity and financial markets: International evidence from the credit freeze crisis. (2013). Gimet, Celine ; Gagnon, Marie-Helene .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:11:p:4599-4614.

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  21. German business cycle forecasts, asymmetric loss and financial variables. (2012). Krüger, Jens ; Krger, Jens J. ; Hoss, Julian .
    In: Economics Letters.
    RePEc:eee:ecolet:v:114:y:2012:i:3:p:284-287.

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  22. Macro risk premium and intermediary balance sheet quantities. (2010). Shin, Hyun Song ; Moench, Emanuel ; Adrian, Tobias.
    In: Staff Reports.
    RePEc:fip:fednsr:428.

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  23. Financial intermediaries, financial stability, and monetary policy. (2008). Shin, Hyun Song ; Adrian, Tobias.
    In: Staff Reports.
    RePEc:fip:fednsr:346.

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  24. Signal or noise? Implications of the term premium for recession forecasting. (2008). Rosenberg, Joshua V. ; Maurer, Samuel .
    In: Economic Policy Review.
    RePEc:fip:fednep:y:2008:i:jul:p:1-11:n:v.14no.1.

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  25. Financial intermediaries, financial stability and monetary policy. (2008). Shin, Hyun Song ; Adrian, Tobias.
    In: Proceedings - Economic Policy Symposium - Jackson Hole.
    RePEc:fip:fedkpr:00006.

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