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Aerdt Houben
Aerdt Houben
Professor, University of Amsterdam
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Başlık
Alıntı yapanlar
Alıntı yapanlar
Yıl
Toward a framework for safeguarding financial stability
J Kakes, GJ Schinasi
IMF Working paper, 2004
3382004
Effective macroprudential policy: Cross‐sector substitution from price and quantity measures
J Cizel, J Frost, A Houben, P Wierts
Journal of Money, Credit and Banking 51 (5), 1209-1235, 2019
1992019
Bank-based versus market-based financing: Implications for systemic risk
JV Bats, ACFJ Houben
Journal of Banking & Finance 114, 105776, 2020
1392020
The evolution of monetary policy strategies in Europe
ACFJ Houben
Springer Science & Business Media, 2000
492000
Monetary policy effects in times of negative interest rates: What do bank stock prices tell us?
JV Bats, M Giuliodori, ACFJ Houben
Journal of financial intermediation 53, 101003, 2023
382023
Towards a framework for financial stability
A Houben, J Kakes, G Schinasi
DNB Occasional Studies, 2004
372004
ICT innovation and economic performance: The role of financial intermediation
A Houben, J Kakes
Kyklos 55 (4), 543-562, 2002
372002
Making macroprudential policy operational
A Houben, R van der Molen, P Wierts
Revue de Stabilité financière, 13-25, 2012
272012
Exchange Rate Policy and Monetary Strategy Options in the Philippines: The Search for Stability and Sustainability
AGFJ Houben
International Monetary Fund, 1997
251997
Aligning macro-and microprudential supervision
A Houben
Financial Supervision in the 21st Century, 201-220, 2013
222013
The evolution of monetary policy strategies in Europe
ACFJ Houben, A Hoeben
211999
Committee on payments and market infrastructures markets committee
K Löber, A Houben
Bank for International Settlements: Basel, Switzerland, 2018
202018
Financial imbalances and macroprudential policy in a currency union
A Houben, J Kakes
DNB Occasional studies, 2013
202013
G. Schinasi (2004),“Towards a Framework for Safeguarding Financial Stability”
A Houben, J Kakes
IMF Working Papers No. WP/04/101, International Capital Markets Department …, 0
18
Collateral scarcity and asset encumbrance: implications for the European financial system
A Houben, JW Slingenberg
Banque de France Financial Stability Review 17, 197-206, 2013
172013
Governance of macroprudential policy
J De Haan, A Houben, R van der Molen
Zeitschrift für öffentliches Recht 67 (2), 283-302, 2012
142012
Supervising cross-border banks in Europe
A Houben, I Schrijvers, T Willems
Journal of Banking Regulation 9, 227-246, 2008
112008
Asset Inflation in the Netherlands: Assessment, Economic Risks and Monetary Policy Implications,“
J Capel, A Houben
The Role of Asset Prices in the Formulation of Monetary Policy, 1998
111998
Toward a framework for safeguarding financial stability (Vol. 4)
AC Houben, J Kakes, GJ Schinasi
International Monetary Fund, 2004
102004
An International Comparison of Real Output, Labour Productivity and Purchasing Power in the Mineral Industries of the United States, Brazil and Mexico for 1975
ACFJ Houben
Faculty of Economics, Institute of Economic Research, University of Groningen, 1990
101990
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