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characterizes the size and sign of its fiscal footprint, as well as the states of the world in which the temptation for fiscal goals …
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builds up, during the run-up phase of crises and asset price bubbles, and increases when systemic risk materializes …
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This paper presents an in-depth analysis of developments in the microfinance sector before and after the Lehman Brothers collapse in 2008 by comparing them with developments in traditional banking sectors of emerging market economies and developing countries. The findings indicate that...
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Using novel data on individual euro area banks' balance sheets this paper shows that exposure to stressed European sovereigns manifested in a liquidity shock to their international funding through two channels: (i) a contraction in cross-border funding, and (ii) a contraction in US wholesale...
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