Chapter 34. The Real Effects of Financial Sector Risk
- Li Ong
- Published Date:
- December 2014
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Alexander F. Tieman and Andrea M. Maechler An abridged version of this chapter was previously published as IMF Working Paper 09/198 (Tieman and Maechler, 2009). The authors would like to thank Martin Čihák, Mark Swinburne, and seminar participants at the IMF and at the Third Bundesbank-IMF stress testing conference in Berlin for valuable comments.
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