Concept: Banking stability, regulation, efficiency
Insights into the sovereign-bank nexus: Can inflation and money supply affect the doom loop?
How public debt and monetary expansion interact to affect bank stability

Global supply chain pressure and macro-financial downside risk: Can monetary policy buffer the risk transmission?
Supply chain disruptions and their role in financial system instability

The impact of capital account openness on economic growth: A panel data analysis of emerging market economies
How much capital market openness benefits developing economies

Short-Run Inertia and Long-Run Adjustment in Bank Credit: An ARDL–ECM Analysis of Monetary Transmission in an Emerging Economy
How monetary policy gradually influences bank lending in emerging markets

The negative externalities of fund holdings: A network analysis of systemic risk contagion
How mutual fund networks amplify financial system risk in China

Aligning Incentives in Public Lending: The KfW COVID-19 Experience—Proposals for Improving Public Lending
How emergency lending programs can better align bank and borrower incentives during crises

Bank Diversification, Performance, and Monetary Policy: A PRISMA 2020-Based Systematic Review and Bibliometric Analysis
How bank diversification affects profitability across different economic conditions

Housing Market Vulnerabilities and Monetary Policy: Lessons From two Decades of European Data
How interest rate changes ripple through European housing markets and economies

Are financial markets resilient to political corruption scandals? Evidence from Latin America
How Latin American bond and swap markets respond to corruption revelations












