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bank regulation, market discipline, moral hazard, contagion
Economic conditions, Exchange markets, Financial crises, Foreign exchange operations, Capital inflows, Capital flows, macroprudential policies, foreign-exchange intervention, capital controls, emerging markets, WP, policy action, capital flow, structural characteristic, inflow, medium term
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Potential output, Supply and demand, Economic theory, Real interest rates, Business cycles, output gaps, real time estimation, business cycles., WP, output gap, supply shock, filter method, type of shock, GFC
Banking sector, Loan concentration, Credit risk, Capital requirements, Bank regulations, Bank supervision, concentration risk, Basel capital requirements, Pillar 2, Credit VaR
fiscal consolidation, fiscal multipliers, business cycle
WP, marginal utility, real asset, transition probability, Collateral constraints, rational bubbles, macroprudential regulation, optimal policy, asset price bubble, collateral constraint, credit imbalance, equilibrium asset pricing, bubble component, Collateral, Asset bubbles, Asset prices, Credit, C
Europe, United Kingdom, Brexit referendum, firm investment, uncertainty, trade costs, General, Country and Industry Studies of Trade
standards survey, credit vulnerability, leakage effect, credit riskiness, bond credit ratio ma, Credit, Macroprudential policy, Bank credit, Macroprudential policy instruments, Corporate sector, Global
shadow banking, implicit recourse, special purpose vehicles