الف) مقالات
- سادات اخوی، سیدمحمد؛ حسینی، سید شمسالدین (1396). ارزیابی تأثیر تحریم اقتصادی بر تورم اقتصاد ایران. فصلنامة اقتصاد کاربردی، 7(21).
- مهرگان، نادر؛ دلیری، حسن (1392). واکنش بانکها در برابر سیاستهای پولی بر اساس مدل DSGE. فصلنامة پژوهشها و سیاستهای اقتصادی، 21(66).
- نیکخو، حافظ؛ خلیلی، فرزانه؛ رحمانی، تیمور (1399). اثر بیثباتی نرخ ارز و تورم در رفتار وامدهی بانکها. فصلنامة پژوهشهای پولی-بانکی، 13(44).
- انگلیسی
- Books
- Dill, A. (2020). Bank Regulation, Risk Management, and Compliance: Theory, Practice, and Key Problem Areas. Informa Law from Routledge, New York.
- Jain, H. (2017). Trade Liberalization, Economic Growth and Environmental Externalities. Palgrave Macmillan, Singapore.
- Lastra, R. (2015). International Financial and Monetary Law, Oxford University Press, Oxford.
- Articles
- Adrian, T., & Shin, H. (2012). Capital Flows and Risk-Taking Channel of Monetary Policy. 11th BIS Annual Conference.
- Altunbas, Y. et al (2010). Does Monetary Policy Affect Bank Risk Taking? Bank for International Settlements Working Paper, (298).
- Bank for International Settlement (2022). Old Challenges, new shocks, Annual Economic Report.
- Barabas, J. (2004). How Deliberation Affects Policy Opinions, 98 (4) American Political Science Review 687, 699.
- Borio, C., & Zhu, H. (2008). Capital Regulation, Risk-taking and Monetary Policy: A Missing Link in the Transmission Mechanism?, Bank for International Settlements Working Paper
- Buiter, W. (2009). The Proposed European Systemic Risk Board is Overweight by Central Banks in Willem Buiter’s Maverecon.
- Calvo, D. et al (2018). Financial Supervisory Architecture – What has Changed After the Crisis? Financial Stability Institute Insights on Policy Implementation (8).
- Clark, A., & Large, A. (2011). Macroprudential Policy: Addressing the Things We Don’t Know, Group of 30 Occasional Papers (83).
- De Larosiè, J. (2009). The High-Level Group on Financial Supervision in the EU Chaired, Report Brussels.
- De Nicolo, G. et al (2010). Monetary Policy and Bank Risk-Taking, International Monetary Fund Staff Position Note 9.
- Edge, R., & Liang, N. (2019). New Financial Stability Governance Structures and Central Banks, Hutchins Center Working Paper (50).
- European Systemic Risk Board (2019). A Review of Macroprudential Policy in the EU in 2018, (23).
- Forbes, K. (2020). The International Aspects of Macroprudential Policy. National Bureau of Economic Research Working Paper Series, (27698).
- HM Treasury (2010). A New Approach to Financial Regulation: Judgment, Focus and Stability.
- HM Treasury (2011). A New Approach to Financial Regulation: Building a Stronger System, February 2011.
- IMF, FSB and BIS (2016). Elements of Effective Macroprudential Policies Lessons from International Experience.
- International Monetary Fund (2013). Key Aspects of Macroprudential Policy, available at < https://www.imf.org/external/np/pp/eng/20s13/061013b.pdf>, Last visit: 4/5/2021.
- International Monetary Fund (2018). The IMF’s Annual Macroprudential Policy Survey Objectives, Design, and Country Responses, available at: https://www.imf.org/en/Publications/Policy-Papers/Issues/2018/04/30/pp043018-imf-annual-macroprudential-policy-survey.
- Jeanneau, S. (2012). Financial Stability Objectives and Arrangements – What’s New? Bank for International Settlements Papers 76.
- Keller, A. (2019). Debiasing Macroprudential Policy: Part 1: An Evidence-based Approach and the Precautionary Principle, 34 (1) Journal of International Banking Law and Regulation.
- Lim, C. H. et al (2013). Institutional Arrangements for Macroprudential Policy in Asia, IMF Working Paper 165.
- Masciandaro, Donato & Volpicella, Alessio (2016). Macroprudential Governance and Central Banks: Facts and Drivers. 61 Journal of International Money and Finance 101.
- Masciandaro, D. (2018). Central Banks and Macroprudential Policies: Economics and Politics. Bocconi University Working Paper (78).
- Nier, E. et al (2011). Institutional Models for Macroprudential Policy, IMF Staff Discussion Note SDN/11/18.
- Nier, E. et al (2014). The IMF Staff Guidance Note on Macroprudential Policy, available at: https://www.imf.org/external/np/pp/eng/2014/110614.pdf, Last Visit: 10/16/2022.
- Schoenmaker, D. et al (2014). Allocating Macro-prudential Powers, Reports of the ESRB Advisory Scientific Committee (5).
- The Committee of Global Financial System (2018). Financial Stability Implications of a Prolonged Period of Low Interest Rates. CGFS Paper No 61.
- Warsh, K. (2016). Institutional Design: Deliberations, Decisions and Committee Dynamics in Warsh, Kevin (ed). Central Bank Governance and Oversight Reform, Hoover Institution, Stanford University.
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