1093 Copenhagen
Denmark
Havnegade 5
Copenhagen, 1093
National Bank of Denmark - Economics Department
Danmarks Nationalbank (The Central Bank of Denmark)
SSRN RANKINGS
in Total Papers Citations
Financial regulation and supervision, Financial crises, Central banking and monetary issues, Economic conditions, Financial management, climate change, fiscal policy, monetary policy, financial policy, policy framework, policy coordination, WP, low-carbon, climate change mitigation, policy tool, climate-related, mitigation
unconventional monetary policy, transmission, reserve-induced portfolio balance channel
Central banks and their policies, Monetary policy, Negative interest rates, Currencies, Zero lower bound; Monetary policy framework, Dual local currency regime, Legal tender, Zero lower bound, Monetary policy framework, Monetary Policy (Targets, Instruments, and Effects)
Public Debt, Public Finance, European Union, Asymmetric, Tax Competition
Exchange Market Pressure; Risk aversion; Safe haven; Capital flows; Exchange Rate; Foreign Exchange Reserves, Exchange Market Pressure, Risk aversion, Safe haven, Capital flows, Exchange Rate, Foreign Exchange Reserves, Portfolio Choice, General
exchange market pressure, risk aversion, safe haven, capital flows, exchange rate, foreign exchange reserves
Swiss franc lending, foreign currency lending, cross-border transmission of shocks, European bank balance sheets
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cross-border transmission of shocks, foreign currency lending, Swiss franc lending
External sector, Current account balances, Terms of trade, Current account surpluses, Current account deficits, current account, exchange rates, external sustainability, global imbalances., Eba, capital control, output gap, institutional quality, OAD
Portfolio balance, credit spread, corporate spread, unconventional monetary policy, central bank asset purchases, credit easing, zero lower bound
Bank credit, Central banks, Private capital flows, Foreign currency exposure, International financial markets, foreign exposure, global factor, risk aversion, global financial crisis, forward contract, capital flow management measures, macro prudential policy, VIX, capital flow, risk condition, foreign asset, Tille
Foreign investment income, Balance of payments statistics, Financial statistics, Economic integration, Foreign investment, International investment position, Current Account, Measurement, External Imbalances, Global Imbalances., retained earnings, NIIP, statistical definition, investment position, debt position
Foreign exchange market volatility, Financial crises, Risk management, International investment position, Financial intermediation, Korea, Capital flows, Exchange Rate, Flow of Funds., WP, foreign asset, capital flow, investor base, VIX, non-financial corporation
Monetary policy, Negative interest rates, lower bound, yield curve, term structure, Monetary Policy (Targets, Instruments, and Effects)
Capital flows, Spillovers, Currency mismatch, push factors, cross-border transmission of shocks, European bank balance sheets, International Lending and Debt Problems, Financial Aspects of Economic Integration
Capital Flows, cross-border transmission of shocks, currency mismatch, European bank balance sheets., push factors, Spillovers
Inflation Expectations, Neutral Real Interest Rates, Taylor Rule, Negative Interest Rates
Common pool, fiscal restraints, fiscal rules, stability pact, fiscal institutions, deficit bias