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Riesgos sistémicos y supervisión macroprudencial
Autores:
Jesús Saurina Salas
Localización:
Papeles de economía española
,
ISSN
0210-9107,
Nº 130, 2011
,
págs.
130-149
Idioma:
español
Texto completo no disponible
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Referencias bibliográficas
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MORGAN, D., y STIROH, K. J. (2005), «Too big to fail after all these years», Federal Re- ank of New York, n.º 220, septiembre.
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REPULLO, R., y J. SAURINA (2011), «The countercyclical capital buffer of Basel III. A critical assessment», mimeo.
REPULLO, R.; J. SAURINA, y C. TRUCHARTE (2010), «Mitigating the pro-cyclicality of Basel II», Economic Policy, 64: 659-702.
ROSS SORKIN, A. (2010), Too Big to Fail, Penguin Books.
SAURINA, J. (2009), «Reflexiones sobre regulación bancaria a raíz de la crisis financiera internacional», PAPELES DE ECONOMÍA ESPAÑOLA, 122:...
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SAURINA, J. (2009b), «Loan loss provisions in Spain. A working macroprudential tool», Estabilidad Financiera, n.º 17, Banco de España: 11-26.
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ZHOU, Chen (2010), «Are banks too big to fail? Measuring systemic importance of financial institutions», International Journal of Central...
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