5,694 results on '"BANK CREDIT"'
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2. Why banks are not too big to fail – evidence from the CDS market
3. Bank ratings: what determines their quality?
4. Impact of Foreign Bank Entry on SME Credit in the Indonesian Banking Sector
5. DECREASING RISK : Innovative credit scoring systems to help farmers
6. The Consumption Effects of the 2007-2008 Financial Crisis: Evidence from Households in Denmark
7. New Evidence on the Aftermath of Financial Crises in Advanced Countries
8. Systemic Risk in Financial Services
9. Who needs credit and who gets credit in Eastern Europe?
10. The Impact of the Crisis on the Indian Economy
11. legislation/regulation: Wetlands Mitigation Rules Finalized
12. Why the South African NQF Failed: Lessons for Countries Wanting to Introduce National Qualifications Frameworks
13. Optimality of the Friedman Rule in an Overlapping Generations Model with Spatial Separation
14. A Generalized Extreme Value Approach to Financial Risk Measurement
15. Real-Time Model Uncertainty in the United States: The Fed, 1996-2003
16. Certainty Equivalence and the Excess Sensitivity of Private Consumption
17. Imperfect Common Knowledge, Staggered Price Setting, and the Effects of Monetary Policy
18. Optimal Fiscal Policy Rules in a Monetary Union
19. Equilibrium Dynamics in an Endogenous Growth Model of Money and Banking
20. Pricing Behavior and the Response of Hours to Productivity Shocks
21. The Great Capitol Hill Baby Sitting Co-op: Anecdote or Evidence for the Optimum Quantity of Money?
22. Dynamics of Persistence in International Inflation Rates
23. Credit Markets and the Propagation of Monetary Policy Shocks
24. The Role of Insider Influence in Mutual-to-Stock Conversions
25. How Sticky Is Sticky Enough? A Distributional and Impulse Response Analysis of New Keynesian DSGE Models
26. On the Relationship between Inflation Persistence and Temporal Aggregation
27. Optimal Constrained Interest-Rate Rules
28. Technology Shocks and the Labor-Input Response: Evidence from Firm-Level Data
29. Access to Bank Credit: Implications for Dalit Rural Households
30. Capital Controls and the International Transmission of U.S. Money Shocks
31. Quantitative Goals for Monetary Policy
32. Heterogeneous Market-Making in Foreign Exchange Markets: Evidence from Individual Bank Responses to Central Bank Interventions
33. Measuring Financial Integration via Idiosyncratic Risk: What Effects Are We Really Picking Up?
34. The Time-Varying Phillips Correlation
35. Money Market Pressure and the Determinants of Banking Crises
36. Determinacy, Learnability, and Monetary Policy Inertia
37. Exchange Rates and FOMC Days
38. Agricultural Credit in the Post-Reform Era: A Target of Systematic Policy Coarctation
39. Efficient Transfer of Funds for Centrally-Sponsored Schemes
40. Understanding the Large Negative Impact of Oil Shocks
41. Accounting for Trends in Productivity and R&D: A Schumpeterian Critique of Semi-Endogenous Growth Theory
42. Two Pitfalls of Linearization Methods
43. Escaping Volatile Inflation
44. Unique Symptoms of Japanese Stagnation: An Equity Market Perspective
45. Precautionary Balances and the Velocity of Circulation of Money
46. Foreign Lenders and the Real Sector
47. Uncertainty and Export Performance: Evidence from 18 Countries
48. Rural Credit Structure Needs Genuine Revitalisation
49. Resisting Rupee Appreciation?
50. Rural Credit in 20th Century India: Overview of History and Perspectives
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