Central Bank Research Hub - JEL classification E44: Financial Markets and the Macroeconomy

Title Author(s)

Making room for the needy: the credit-reallocation effects of the ECB's corporate QE

Bank of Spain Working Papers [View] (Paper: 1743, 11.12.2017)

JEL: E44, E52, E58, G12, G15, G2

Bank-based versus market-based financing: implications for systemic risk

Netherlands Bank DNB Working Papers [View] (Paper: 577, 11.12.2017)

JEL: E44, G10, G21, O16

Secular stagnation, R, public investment and monetary policy: a global-model perspective

Bank of Italy Working Papers [View] (Paper: 1156, 05.12.2017)

JEL: E43, E44, E52, E58

Housing Bust, Bank Lending Employment : Evidence from Multimarket Banks

Board of Governors of the Federal Reserve System FEDS series [View] (Paper: 2017-118, 01.12.2017)

JEL: E24, E44, G21

Uncertainty across volatility regimes

Bank of Finland Discussion Papers [View] (Paper: 35/2017, 30.11.2017)

JEL: C32, C51, E44, G01

Liquidity provision as a monetary policy tool: the ECB's non-standard measures after the financial crisis

European Central Bank Working papers [View] (Paper: 2113, 29.11.2017)

JEL: E44, E58

Identification of Monetary Policy Shocks with External Instrument SVAR

Board of Governors of the Federal Reserve System FEDS series [View] (Paper: 2017-113, 28.11.2017)

JEL: E44, E52

Asset prices and macroeconomic outcomes: a survey

Bank for International Settlements Working papers [View] (Paper: 676, 21.11.2017)

JEL: D53, E21, E32, E44, E51, F36, F44, F65, G01, G10, G12, G14, G15, G21

Macroeconomic implications of financial imperfections: a survey

Bank for International Settlements Working papers [View] (Paper: 677, 21.11.2017)

JEL: D53, E21, E32, E44, E51, F36, F44, F65, G01, G10, G12, G14, G15, G21

On the Tail Risk Premium in the Oil Market

Bank of Canada Working papers [View] (Paper: 17-46, 20.11.2017)

JEL: C53, C58, D84, E44, G12, G13, Q43

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