共 50 条
- [42] Market perception of sovereign credit risk in the euro area during the financial crisis [J]. NORTH AMERICAN JOURNAL OF ECONOMICS AND FINANCE, 2016, 37 : 168 - 189
- [43] BANK RISK, BANK COMPETITION AND MONETARY POLICY IN THE INDIAN BANKING INDUSTRY: A PANEL QUANTILE REGRESSION APPROACH [J]. SINGAPORE ECONOMIC REVIEW, 2023,
- [47] Convergence of retail banking interest rates to households in euro area: time-varying measurement and determinants [J]. International Economics and Economic Policy, 2020, 17 : 25 - 65
- [50] Funding liquidity, credit risk and unconventional monetary policy in the Euro area: A GVAR approach [J]. ECONOMICS BULLETIN, 2022, 42 (02): : 494 - 512