Journal of Financial
Stability, April 2019
Green Table of Contents
Volume 41, Issue 1
Pages 1- 106
Heterogeneous effects of credit constraints on SMEs’ employment: Evidence from the European sovereign debt crisis
David Cornille, François Rycx, Ilan Tojerow
Pages 1-13
Switching costs and financial stability
Rune Stenbacka, Tuomas Takalo
Pages 14-24
How does hedge designation impact the market’s perception of credit risk?
Sriya Anbil, Alessio Saretto, Heather Tookes
Pages 25-42
Link to
Preprint (Free Download from SSRN)
Banking crises and crisis dating: Disentangling shocks and policy responses
John H. Boyd, Gianni De Nicolò, Tatiana Rodionova
Pages 45-54
Time to buy or just buying time? Lessons from October 2008 for the cross-border bailout of banks
Michael R. King
Pages 55-72
Link to
Preprint (Free Download for SSRN)
The collateral channel of open market operations
Nuno Cassola, François Koulischer
Pages 73-90
The incentives of large sophisticated creditors to run on a too big to fail financial institution
Mark Carlson, Jonathan Rose
Pages 91-104
Green Copy Not
Found
Corrigendum to “Corporate Bond Clawbacks as Contingent Capital for Banks” [J. Financial Stab. 37, 11–24]
Fernando Díaz, Gabriel G. Ramírez, Liuling Liu, Kenneth Daniels
Page 105