Rediscovering the macroeconomic roots of financial stability policy: Journey, challenges, and a way forward

C Borio - Annu. Rev. Financ. Econ., 2011 - annualreviews.org
The recent financial crisis has triggered a major rethink of analytical approaches and policy
toward financial stability. The crisis has encouraged a sharper focus on systemic risk, the …

[HTML][HTML] Does the bank's FinTech innovation reduce its risk-taking? Evidence from China's banking industry

C Li, S He, Y Tian, S Sun, L Ning - Journal of Innovation & Knowledge, 2022 - Elsevier
In the context of developing FinTech innovation, a commercial bank's use of FinTech
innovation can improve its risk management capability, thereby reducing its risk-taking. This …

Hazardous times for monetary policy: What do twenty‐three million bank loans say about the effects of monetary policy on credit risk‐taking?

G Jiménez, S Ongena, JL Peydró, J Saurina - Econometrica, 2014 - Wiley Online Library
We identify the effects of monetary policy on credit risk‐taking with an exhaustive credit
register of loan applications and contracts. We separate the changes in the composition of …

Monetary policy, risk-taking, and pricing: Evidence from a quasi-natural experiment

V Ioannidou, S Ongena, JL Peydró - Review of Finance, 2015 - academic.oup.com
We study the risk-taking channel of monetary policy in Bolivia, a dollarized country where
monetary changes are transmitted exogenously from the USA. We find that a lower policy …

The impact of Internet finance on commercial banks' risk taking: Evidence from China

P Guo, Y Shen - China Finance and Economic Review, 2016 - Springer
Background Internet finance has grown rapidly in China over the past years. Through
introducing internet finance's “reducing management cost” and “raising capital cost” effects …

(Un) Conventional monetary policy and bank risk-taking: A nonlinear relationship

S Brana, A Campmas, I Lapteacru - Economic Modelling, 2019 - Elsevier
This paper investigates the effect of monetary policy-especially unconventional monetary
policy-on bank risk-taking behavior in Europe over the period 2000–2015. Using a dynamic …

An empirical analysis of the risk-taking channel of monetary policy in Turkey

EA Özşuca, E Akbostancı - Emerging Markets Finance and Trade, 2016 - Taylor & Francis
This article investigates the bank-specific characteristics of risk-taking behavior of the
Turkish banking sector as well as the existence of risk-taking channel of monetary policy in …

The effect of monetary policy on credit risk: evidence from the MENA region countries

SN Mahrous, N Samak… - Review of Economics and …, 2020 - emerald.com
Purpose The purpose of this paper is to explore the effect of monetary policy on bank risk in
the banking system in some MENA countries. It explores how some economic and credit …

The impact of internet finance on commercial banks' risktaking: theoretical interpretation and empirical test

G Pin, S Yue - China Finance and Economic Review, 2016 - degruyter.com
Through introducing internet finance's “reducing management cost” and “raising capital cost”
effects into bank risk-taking model, this paper systematically investigates the dynamic and …

[引用][C] Systemic risk, crises, and macroprudential regulation

X Freixas, L Laeven, JL Peydró - 2015 - Mit Press