Crossref Citations
This article has been cited by the following publications. This list is generated based on data provided by
Crossref.
De Graeve, F.
Kick, T.
and
Koetter, M.
2008.
Monetary policy and financial (in)stability: An integrated micro–macro approach.
Journal of Financial Stability,
Vol. 4,
Issue. 3,
p.
205.
Ahmed, Md Kabir
2009.
The role of an explicit subordinated debt policy in the smooth transition to Basel II: Developing economy perspective.
Journal of Banking Regulation,
Vol. 10,
Issue. 3,
p.
221.
Tymoigne, Eric
2010.
Detecting Ponzi Finance: An Evolutionary Approach to the Measure of Financial Fragility.
SSRN Electronic Journal,
Puig, Jaume
Miyajima, Ken
McCaughrin, Rebecca
and
Dattels, Peter
2010.
Can You Map Global Financial Stability?.
IMF Working Papers,
Vol. 10,
Issue. 145,
p.
1.
Davis, E. Philip
and
Karim, Dilruba
2010.
Macroprudential Regulation — The Missing Policy Pillar.
National Institute Economic Review,
Vol. 211,
Issue. ,
p.
R3.
Diamandis, Panayiotis F.
Drakos, Anastassios A.
Kouretas, Georgios P.
and
Zarangas, Leonidas
2011.
Value-at-risk for long and short trading positions: Evidence from developed and emerging equity markets.
International Review of Financial Analysis,
Vol. 20,
Issue. 3,
p.
165.
Lee, Tung-Hao
and
Chih, Shu-Hwa
2013.
Does financial regulation affect the profit efficiency and risk of banks? Evidence from China's commercial banks.
The North American Journal of Economics and Finance,
Vol. 26,
Issue. ,
p.
705.
Sarlin, Peter
2014.
Mapping Financial Stability.
p.
15.
Sarlin, Peter
2014.
Mapping Financial Stability.
p.
1.
P.M., Vighneswara Swamy
2014.
Banking Stability for Financial Stability.
SSRN Electronic Journal ,
Sarlin, Peter
and
Nyman, Henrik J.
2015.
The Process of Macroprudential Oversight in Europe.
Global Policy,
Vol. 6,
Issue. 4,
p.
389.
Eryigit, Sibel Bali
and
Dulgeroglu, Ercan
2015.
Handbook of Research on Strategic Developments and Regulatory Practice in Global Finance.
p.
260.
Karanovic, Goran
and
Karanovic, Bisera
2015.
Developing an Aggregate Index for Measuring Financial Stability in the Balkans.
Procedia Economics and Finance,
Vol. 33,
Issue. ,
p.
3.
Sun, Tao
2015.
The Impact of Global Liquidity on Financial Landscapes and Risks in the ASEAN-5 Countries.
IMF Working Papers,
Vol. 15,
Issue. 211,
p.
1.
Zhang, Chun-Peng
Kang, Rong
and
Feng, Chen
2016.
Financial Vulnerability, Capital Shocks and Economic Growth: Evidence from China (2005-2014).
European Journal of Business Science and Technology,
Vol. 2,
Issue. 1,
p.
23.
Pikus, Ruslana
Prykaziuk, Nataliia
and
Balytska, Mariia
2018.
Financial sustainability management of the insurance company: case of Ukraine.
Investment Management and Financial Innovations,
Vol. 15,
Issue. 4,
p.
219.
Ahmad Almahadin, Hamed
Kaddumi, Thair
and
AL-Kilani, Qais
2020.
Banking soundness-financial stability nexus: empirical evidence from Jordan.
Banks and Bank Systems,
Vol. 15,
Issue. 3,
p.
218.
GEZER, Mesut Alper
and
KILIÇ, Ramazan
2020.
Türkiye’de Finansal İstikrarın Reel Ekonomiye Etkisi: Doğrusal ve Doğrusal Olmayan ARDL Modellemelerine Dayalı Olarak.
Sosyoekonomi,
Vol. 28,
Issue. 46,
p.
117.
Migliorelli, Marco
Ciampoli, Nicola
and
Dessertine, Philippe
2020.
Sustainability and Financial Risks.
p.
119.
Liyanagamage, Champika
2021.
Determinants of Financial Sustainability of Financial Intermediaries.
International Journal of Finance & Banking Studies (2147-4486),
Vol. 10,
Issue. 1,
p.
01.