Hyun-Song Shin
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South Korean economist
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Hyun-Song Shin's Degrees
- Bachelors Economics Seoul National University
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(Suggest an Edit or Addition)According to Wikipedia, Hyun Song Shin is a South Korean economic theorist and financial economist who focuses on global games. He has been the Economic Adviser and Head of Research of the Bank for International Settlements since May 1, 2014.
Hyun-Song Shin's Published Works
Published Works
- Liquidity and Leverage (2009) (2345)
- Social Value of Public Information (2002) (1985)
- Global Games: Theory and Applications (2001) (1183)
- The fundamental principles of financial regulation (2009) (1180)
- Capital Flows and the Risk-Taking Channel of Monetary Policy (2013) (957)
- Liquidity Risk and Contagion (2005) (911)
- Cross-Border Banking and Global Liquidity (2014) (722)
- Unique Equilibrium in a Model of Self-Fulfilling Currency Attacks" American Economic Review (1996) (626)
- Procyclical Leverage and Value-at-Risk (2011) (588)
- Financial Intermediaries and Monetary Economics (2010) (587)
- Money, Liquidity, and Monetary Policy (2009) (584)
- Global Banking Glut and Loan Risk Premium (2012) (579)
- Coordination Risk and the Price of Debt (2002) (568)
- Marking to Market: Panacea or Pandora's Box? (2007) (558)
- Reflections on Northern Rock: The Bank Run That Heralded the Global Financial Crisis (2009) (479)
- An academic response to Basel II (2001) (457)
- Rethinking Multiple Equilibria in Macroeconomic Modeling (2000) (418)
- Liquidity Black Holes (2003) (399)
- The changing nature of financial intermediation and the financial crisis of 2007-09 (2010) (398)
- Securitisation and Financial Stability (2009) (319)
- Non-Core Bank Liabilities and Financial Vulnerability (2012) (317)
- Does One Soros Make a Difference? A Theory of Currency Crises with Large and Small Traders (2001) (310)
- Crisis Resolution and Bank Liquidity (2007) (310)
- Financial Intermediaries, Financial Stability, and Monetary Policy (2008) (295)
- Why Bank Capital Matters for Monetary Policy (2016) (287)
- Beauty Contests and Iterated Expectations in Asset Markets (2006) (279)
- Dividends and Bank Capital in the Financial Crisis of 2007-2009 (2009) (267)
- A Comment on a Model of Vertical Product Differentiation (1992) (250)
- The Shadow Banking System: Implications for Financial Regulation (2009) (247)
- Capital Flows, Cross-Border Banking and Global Liquidity (2012) (245)
- Communication and Monetary Policy (2002) (241)
- Comparative Assessment of Macroprudential Policies (2015) (241)
- The Second Phase of Global Liquidity and Its Impact on Emerging Economies (2013) (238)
- P-dominance and belief potential (2010) (225)
- Disclosures and Asset Returns (2001) (223)
- Liquidity, Monetary Policy, and Financial Cycles (2008) (213)
- Catalytic Finance: When Does it Work? (2003) (206)
- Adversarial and Inquisitorial Procedures in Arbitration (1998) (202)
- Measuring the Incidence of Insider Trading in a Market for State-Contingent Claims (1993) (200)
- Financial Regulation in a System Context (2009) (198)
- The Burden of Proof in a Game of Persuasion (1994) (198)
- PRICES OF STATE CONTINGENT CLAIMS WITH INSIDER TRADERS, AND THE FAVOURITE- LONGSHOT BIAS* (1992) (192)
- Risk and Liquidity (2010) (191)
- BigTech and the Changing Structure of Financial Intermediation (2019) (190)
- Central Bank Transparency and the Signal Value of Prices (2006) (187)
- Risk and Liquidity in a System Context (2006) (183)
- The impact of risk regulation on price dynamics (2004) (183)
- Global Dollar Credit and Carry Trades: A Firm-Level Analysis (2015) (180)
- Optimal Betting Odds against Insider Traders (1991) (179)
- Market Tantrums and Monetary Policy (2014) (178)
- News Management and the Value of Firms (1994) (175)
- Financial Intermediation, Asset Prices and Macroeconomic Dynamics (2010) (160)
- Liquidity and Contagion: The Crisis of 1763 (2004) (154)
- Liquidity and financial contagion (2008) (149)
- Macro Risk Premium and Intermediary Balance Sheet Quantities (2010) (147)
- Fire-Sale FDI (2007) (140)
- The Dollar, Bank Leverage and the Deviation from Covered Interest Parity (2016) (136)
- Financial intermediary leverage and value-at-risk (2008) (135)
- Beauty Contests, Bubbles and Iterated Expectations in Asset Markets (2003) (133)
- Risk Appetite and Exchange Rates (2010) (132)
- Illiquidity Component of Credit Risk (2016) (130)
- OPTIMAL COMMUNICATION (2005) (130)
- Liquidity and Financial Cycles (2008) (123)
- Procyclicality and Monetary Aggregates (2011) (122)
- Financial Intermediation and the Post-Crisis Financial System (2010) (116)
- Breaking Free of the Triple Coincidence in International Finance (2015) (115)
- Risk management with interdependent choice (1999) (113)
- The Hunt for Duration: Not Waving but Drowning? (2015) (113)
- Risk Appetite and Endogenous Risk (2010) (112)
- Monetary Cycles, Financial Cycles and the Business Cycle (2010) (110)
- Sovereign Yields and the Risk-Taking Channel of Currency Appreciation (2016) (110)
- The Dollar Exchange Rate as a Global Risk Factor: Evidence from Investment (2018) (109)
- Redemption Risk and Cash Hoarding by Asset Managers (2017) (107)
- Balance Sheet Capacity and Endogenous Risk (2011) (105)
- Sustaining Production Chains through Financial Linkages (2012) (99)
- Contagious Adverse Selection (2010) (96)
- Non-Financial Corporations from Emerging Market Economies and Capital Flows (2014) (94)
- Public and Private Information in Monetary Policy Models (2003) (92)
- Bank Capital and Dividend Externalities (2013) (92)
- Replication data for: The Dollar, Bank Leverage, and Deviations from Covered Interest Parity (2019) (90)
- Carry Trades and Speculative Dynamics (2006) (89)
- A Theory of the Onset of Currency Attacks (1998) (89)
- Approximate Common Knowledge and Co-ordination: Recent Lessons from Game Theory (1997) (89)
- Banks and Cross-Border Capital Flows: Policy Challenges and Regulatory Responses Committee on International Economic Policy and Reform (2012) (88)
- Leverage and Margin Spirals in Fixed Income Markets during the COVID-19 Crisis (2020) (87)
- Opening and Closing the Market: Evidence from the London Stock Exchange (2005) (87)
- Macroprudential Policies in Open Emerging Economies (2012) (86)
- Positive Feedback Trading Under Stress: Evidence from the US Treasury Securities Market (2002) (81)
- Global Liquidity Through the Lens of Monetary Aggregates (2014) (79)
- Emerging Market Economy Exchange Rates and Local Currency Bond Markets Amid the COVID-19 Pandemic (2021) (79)
- International environmental agreements under uncertainty (1998) (78)
- Macroprudential policies beyond Basel III (2011) (77)
- Stressed Out: Macroprudential Principles for Stress Testing (2012) (77)
- Assessing Macroprudential Policies: Case of South Korea (2014) (74)
- Imperfect common knowledge and the information value of prices (2006) (74)
- Heterogeneity and Uniqueness in Interaction Games (2003) (73)
- Fair Value Accounting and Financial Stability (2008) (71)
- Analytics of Sovereign Debt Restructuring (2003) (71)
- Disclosure Risk and Price Drift (2006) (69)
- Prices and Quantities in the Monetary Policy Transmission Mechanism (2009) (69)
- Procyclicality and the Search for Early Warning Indicators (2013) (68)
- Inertia of Forward-Looking Expectations (2006) (59)
- Crisis Costs and Debtor Discipline: The Efficacy of Public Policy in Sovereign Debt Crises (2001) (58)
- Endogenous and Systemic Risk (2012) (56)
- Carry Trades, Monetary Policy and Speculative Dynamics (2011) (56)
- Logical Structure of Common Knowledge (1993) (55)
- Common Belief Foundations of Global Games (2015) (55)
- Firms as Surrogate Intermediaries: Evidence from Emerging Economies (2014) (53)
- Depth of knowledge and the effect of higher order uncertainty (1995) (52)
- The International Monetary and Financial System: A Capital Account Historical Perspective (2014) (51)
- Yen Carry Trade and the Subprime Crisis (2009) (51)
- Measuring Strategic Uncertainty (2002) (51)
- Dynamic Leverage Asset Pricing (2016) (51)
- Procyclical Leverage and Endogenous Risk (2012) (51)
- Investor Redemptions and Fund Manager Sales of Emerging Market Bonds: How are They Related? (2015) (49)
- Financial Intermediary Balance Sheet Management (2011) (48)
- Chapter 12 - Financial Intermediaries and Monetary Economics☆ (2010) (48)
- Risk-Taking Channel of Monetary Policy: A Global Game Approach (2014) (48)
- Leverage Asset Pricing (2013) (48)
- Bond Risk Premia and the Exchange Rate (2019) (46)
- Comparing the Robustness of Trading Systems to Higher Order Uncertainty (1996) (45)
- Oil and Debt (2015) (42)
- Precautionary Demand and Liquidity in Payment Systems (2011) (41)
- Emerging Markets Aren’t Out of the Woods Yet (2019) (41)
- Risk-Taking Channel of Monetary Policy (2018) (41)
- Exchange Rates and the Working Capital Channel of Trade Fluctuations (2018) (40)
- Rethinking central banking: committee on international economic policy and reform (2011) (40)
- Exploring the Dynamics of Global Liquidity (2012) (40)
- Monetary Aggregates and the Central Bank’s Financial Stability Mandate (2013) (39)
- Big tech in finance: opportunities and risks (2019) (39)
- Assessing Macroprudential Policies: Case of Korea (2013) (37)
- Currency Depreciation and Emerging Market Corporate Distress (2017) (36)
- Mapping the Shadow Banking System Through a Global Flow of Funds Analysis (2014) (36)
- A Financial System Perspective on Japan's Experience in the Late 1980s (2009) (35)
- Committee on International Economic Policy and Reform (2013) (34)
- The cyclicality of leverage (2015) (33)
- A Theory of Arbitrage Capital (2013) (33)
- How Much Common Belief Is Necessary for a Convention (1996) (31)
- A Theory of Slow-Moving Capital and Contagion (2009) (31)
- DeFi risks and the decentralisation illusion (2021) (31)
- The assessment: Games and coordination (2002) (30)
- Central Bank Forward Guidance and the Signal Value of Market Prices (2018) (30)
- Money and Trust: Lessons from the 1620s for Money in the Digital Age (2018) (30)
- Globalization of corporate risk taking (2014) (30)
- The Broad Yen Carry Trade (2007) (30)
- Tracking the International Footprints of Global Firms (2018) (29)
- Epistemic Logic and the Theory of Games and Decisions (2011) (28)
- An Early Stablecoin? The Bank of Amsterdam and the Governance of Money (2020) (26)
- Asset Price Dynamics with Value-at-Risk Constrained Traders (2001) (26)
- Endogenous Choice of Bank Liquidity: The Role of Fire Sales (2009) (25)
- Central Bank Digital Currencies: Motives, Economic Implications and the Research Frontier (2021) (24)
- The bank/capital markets nexus goes global (2016) (24)
- Fire Sales, Foreign Entry and Bank Liquidity (2007) (24)
- Optimal Collective Action Clause Thresholds (2005) (23)
- FX Intervention and Domestic Credit: Evidence from High-Frequency Micro Data (2019) (23)
- Endogenous Extreme Events and the Dual Role of Prices (2012) (23)
- Informational events which trigger currency attacks (1995) (23)
- Liquidity, Leverage, and Regulation Ten Years after the Global Financial Crisis (2018) (22)
- Coordinating Expectations in Monetary Policy (2007) (22)
- Global Liquidity and Procyclicality (2016) (22)
- Systemic Risk and Liquidity in Payment Systems (2009) (21)
- Dollar Exchange Rate as a Credit Supply Factor – Evidence from Firm-Level Exports (2019) (21)
- Managing Elevated Risk: Global Liquidity, Capital Flows, and Macroprudential Policy―An Asian Perspective (2014) (21)
- Bank capital and monetary policy transmission (2016) (21)
- Equilibrium Departures from Common Knowledge in Games with Non-Additive Expected Utility (2002) (21)
- The Fintech Gender Gap (2021) (21)
- Macroprudential tools, their limits and their connection with monetary policy (2015) (21)
- Marking to Market, Liquidity and Financial Stability (2005) (20)
- Reforming Money Market Funds (2011) (20)
- Foreshadowing LTCM: the crisis of 1763 (2001) (20)
- BIS Media Briefing 23 June 2020 - Central banks and payments in the digital era (2020) (19)
- Risk Premium Shifts and Monetary Policy: A Coordination Approach (2015) (19)
- Exchange Rates and Monetary Spillovers (2016) (18)
- Trade Credit, Trade Finance, and the COVID-19 Crisis (2020) (17)
- On the Scale of Financial Intermediaries (2016) (17)
- Permissioned Distributed Ledgers and the Governance of Money (2021) (16)
- Regulating Big Techs in Finance (2021) (16)
- Brand Performance Volatility from Marketing Spending (2015) (16)
- Non-bank financial intermediaries and financial stability (2021) (15)
- Cross-border links between banks and non-bank financial institutions (2020) (15)
- Knowledge, belief, and strategic interaction: Algorithmic knowledge and game theory (1992) (15)
- The Dollar, Bank Leverage and Real Economic Activity: An Evolving Relationship (2020) (15)
- How do global liquidity phases manifest themselves in Asia (2013) (15)
- Representing the knowledge of turing machines (1994) (15)
- Endogenous Public Signals and Coordination (2006) (14)
- Financial System Liquidity, Asset prices and Monetary Policy (2005) (14)
- Welfare Effects of Public Information (2000) (14)
- Mitigating Systemic Spillovers from Currency Hedging (2012) (14)
- The Cnbc Effect: Welfare Effects of Public Information (2001) (14)
- A violation of dominance and the consumption value of gambling (1999) (14)
- Fair Value Reporting Standards and Market Volatility (2004) (13)
- Skewness of Earnings and the Believability Hypothesis: How Does the Financial Market Discount Accounting Earnings Disclosures? (1996) (13)
- Recent changes in global credit intermediation and potential risks (2014) (13)
- Liquidity and Twin Crises (2005) (13)
- Can central banks talk too much (2017) (13)
- Knowledge, belief, and strategic interaction: Counterfactuals and a theory of equilibrium in games (1992) (12)
- What is behind the recent slowdown (2019) (12)
- Aligning Incentives at Systemically Important Financial Institutions: A Proposal by the Squam Lake Group (2013) (12)
- Global Liquidity: A Selective Review (2017) (12)
- Dollar and Exports (2019) (12)
- Market Risk with Interdependent Choice (2000) (12)
- Is there a risk of snapback in long-dated yields? (2017) (11)
- Discussion of Assessing the Information Content of Mark-to-Market Accounting with Mixed Attributes: The Case of Cash Flow Hedges and Market Transparency and the Accounting Regime (2006) (11)
- Financing Growth without Banks: Korean Housing Repo Contract ∗ (2013) (11)
- Debt Maturity Structure with Pre-Emptive Creditors (2003) (11)
- Exchange rates and the transmission of global liquidity (2015) (10)
- Industrial Structure and Corporate Finance (2007) (10)
- What does the new face of international financial intermediation mean for emerging market economies (2015) (10)
- Big Techs in Finance: On the New Nexus Between Data Privacy and Competition (2021) (10)
- Positive feedback trading in the US Treasurey market (2002) (10)
- The Impact of Positive vs . Negative Online Buzz on Retail Prices (2008) (10)
- Adapting Macroprudential Policies to Global Liquidity Conditions (2012) (10)
- Non-Partitional Information on Dynamic State Spaces and the Possibility of Speculation (1989) (9)
- How should retail advertisers manage multiple keywords in paid search advertising? (2019) (9)
- Notes on Strategic Substitutes and Complements in Global Games (2005) (9)
- Low Price-To-Book Ratios and Bank Dividend Payout Policies (2020) (9)
- Original Sin Redux (2021) (8)
- REVISITING SOVEREIGN BANKRUPTCY Committee on International Economic Policy and Reform (2013) (8)
- Binding-in the Private Sector (2002) (8)
- Central Banks, the Monetary System and Public Payment Infrastructures: Lessons from Brazil's Pix (2022) (8)
- Aligning Incentives at Systemically Important Financial Institutions (2013) (8)
- Monetary aggregates and procyclicality of the financial system: An Asian perspective (2014) (8)
- Federal Reserve Bank of New York Staff Reports Financial Intermediaries and Monetary Economics (2009) (7)
- Offshore EME bond issuance and the transmission channels of global liquidity (2021) (7)
- Following the Imprint of the ECB's Asset Purchase Programme on Global Bond and Deposit Flows (2019) (7)
- Do Derivatives Disclosures Impede Sound Risk Management? (2008) (7)
- Liquidity Management and Asset Sales by Bond Funds in the Face of Investor Redemptions in March 2020 (2021) (7)
- Derivatives accounting and risk management : key concepts and the impact of IAS 39 (2004) (7)
- Working Capital, Trade and Macro Fluctuations (2013) (7)
- Financial Regulations on International Capital Flows and Exchange Rates (2012) (6)
- Capital Flows and Income Distribution (2015) (6)
- Chapter 9. Credit Default Swaps, Clearinghouses, and Exchanges (2010) (6)
- Global Factors in Capital Flows and Credit Growth (2013) (6)
- Retail payments in Latin America and the Caribbean: present and future (2020) (6)
- Positive vs . Negative Online Buzz as Leading Indicators of Daily Price Fluctuation (2011) (6)
- Commentary: has financial development made the world riskier? (2005) (6)
- Original sin redux and policy responses in emerging market economies during the COVID-19 pandemic (2020) (6)
- Distributed Ledgers and the Governance of Money (2021) (6)
- DeFi lending: intermediation without information? (2022) (6)
- Monetary aggregates and global liquidity: evidence from individual firm data from Asia (2014) (6)
- Effectiveness of Macroprudential and Capital Flow Measures in Asia and the Pacific (2015) (6)
- How much should we read into shifts in long-dated yields? (2017) (6)
- Lending Booms (2019) (6)
- Chapter 6. Regulation of Executive Compensation in Financial Services (2010) (6)
- How to Open and Close the Market: Lessons from the London Stock Exchange (2003) (5)
- Chapter 7. An Expedited Mechanism to Recapitalize Distressed Financial Firms: Regulatory Hybrid Securities (2010) (5)
- Open-ended bond funds: systemic risks and policy implications (2021) (5)
- Gauging Procyclicality and Financial Vulnerability in Asia Through the BIS Banking and Financial Statistics (2018) (5)
- Basel II and Bank Competition In Emerging Market Economies: Background and Recent Developments ∗ (2003) (5)
- Strategic delegation, quality competition, and new product profitability (2015) (5)
- Dynamic Hedging (2019) (5)
- Managing Elevated Risk (2015) (5)
- Financial Conditions and Purchasing Managers’ Indices: Exploring the Links (2019) (5)
- Covid-19 policy measures to support bank lending (2021) (5)
- Defining a notion of confidence in an economy with differential information (1995) (5)
- Global Shock, Risks, and Asian Financial Reform (2015) (5)
- Mind the buybacks, beware of the leverage (2020) (4)
- Cross-border commercial real estate investment in Asia-Pacific (2020) (4)
- A reconstruction of Jeffrey's notion of ratifiability in terms of counterfactual beliefs (1991) (4)
- Comments on “How good is the market at assessing bank fragility? A horse race between different indicators” (2002) (4)
- From Mary Poppins to Northern Rock: reflections of modern bank runs (2009) (4)
- Accounting for global liquidity: reloading the matrix (2017) (4)
- Cryptocurrencies and the economics of money (2018) (4)
- The rationality and efficacy of decisions under uncertainty and the value of an experiment (1997) (4)
- Destabilizing carry trades (2014) (4)
- The Kipper- und Wipperzeit and the Foundation of Public Deposit Banks∗ (2006) (4)
- Endogenous Disclosures and the Post-Earnings Announcement Drift ∗ (2004) (4)
- Funding for fintechs: patterns and drivers (2021) (4)
- Outward portfolio investment and dollar funding in emerging Asia (2021) (4)
- The role of online buzz for leader versus challenger brands: the case of the MP3 player market (2016) (4)
- On book equity: why it matters for monetary policy (2015) (4)
- Chapter 3. A New Information Infrastructure for Financial Markets (2010) (4)
- Global liquidity (2020) (4)
- Overcoming Original Sin (2022) (3)
- Non-bank lenders in the syndicated loan market 1 Non-bank lending is pervasive but less diversified than bank lending carry higher spreads, but are of similar amount and maturity The flight home effect among non-bank lenders (2022) (3)
- Marketing Spending and the Volatility of Revenues and Cash Flows (2006) (3)
- Contagious Adverse Selection - Revised November, 2010 (2010) (3)
- HowWill Derivatives Reporting Standards Affect Risk Management Practices? (2004) (3)
- Overcoming ‘original sin’ to secure policy space (2023) (3)
- The Three Phases of Global Liquidity (2015) (3)
- Marketing and R&D Investment of Leader vs. Follower (2008) (3)
- Banks and cross-border capital flows: challenges and regulatory responses (2012) (3)
- Leverage in the small and in the large (2017) (3)
- An Early Stablecoin? The Bank of Amsterdam and the Governance of Money (2020) (3)
- Dollar Beta and Stock Returns (2021) (3)
- Early Warning Indicators for Financial Vulnerabilities (2015) (3)
- Global liquidity and exchange rates (2009) (3)
- Fair value accounting and fi nancial stability (2008) (2)
- Federal Reserve Bank of New York Staff Reports Financial Intermediation , Asset Prices , and Macroeconomic Dynamics (2010) (2)
- The dollar and real economic activity: an evolving relationship (2019) (2)
- The Dynamics of Rational Deliberation, Brian Skyrms. Cambridge, MA: Harvard University Press, 1990, 199 pages (1992) (2)
- Changes in monetary policy operating procedures over the last decade: insights from a new database (2020) (2)
- External dimension of monetary policy (2015) (2)
- Securitization, Subprime Mortgages and Global Imbalances (2008) (2)
- BIS Quarterly Review, March 2017 - media briefing (2016) (2)
- The international monetary and financial system: a capital account perspective (2014) (2)
- Positive vs. Negative e-Sentiment and the Market Performance of High-Tech Products (2013) (2)
- Monetary policy challenges posed by global liquidity (2017) (2)
- Regulatory Reforms in the Age of Financial Consolidation: The Emerging Market Economy and Advanced Countries (2006) (2)
- The anatomy of bond ETF arbitrage (2021) (2)
- Sovereigns and sustainable bonds: challenges and new options 1 (2022) (2)
- Approximate common knowledge in a search model (2000) (2)
- Lars E O Svensson: Inflation targeting after the financial crisis (2010) (2)
- Chapter 2. A Systemic Regulator for Financial Markets (2010) (2)
- Volatile Capital Flows in Korea (2014) (2)
- Discussion of "The Leverage Cycle" by John Geanakoplos (2009) (2)
- Is common knowledge possible in games with knightian uncertainty (1996) (1)
- Transparency, Communication and Commitment (2007) (1)
- Capital Flows and Financial Stability (2011) (1)
- Commentary on Robert E. Hall 'The routes into and out of the Zero Lower Bound' (2013) (1)
- Adopting the new Basel Accord : impact and policy responses of Asia-Pacific developing countries (2006) (1)
- Market liquidity and bank capital (2016) (1)
- Macroprudential policies: indicators and tools (2016) (1)
- Bank funding: evolution, stability and the role of foreign offices 1 (2022) (1)
- Ownership: Evolution and Regulation We Have Received Helpful Comments From (2004) (1)
- BIS Quarterly Review, December 2017 - media briefing (2017) (1)
- New Economic Architectures after the Global Financial Crisis and Their Implications in East Asia (2013) (1)
- Sophisticated Bounded Agents Play the Repeated Dilemma (1992) (1)
- Global growth: drivers and post-pandemic prospects 1 A framework for identifying growth drivers Scenarios based on green energy transition: orderly and disorderly In (2022) (1)
- The Dollar Exchange Rate as a Global Risk Factor: Evidence from Investment (2019) (1)
- Chapter 10. Prime Brokers, Derivatives Dealers, and Runs (2010) (1)
- A Comment on “ The Welfare Effects of Public Information " by Stephen Morris and Hyun Song Shin (2015) (1)
- Household debt : recent developments and challenges 1 (2017) (1)
- Risk capacity, portfolio choice and exchange rates (2022) (1)
- Basel II and Bank Portfolios: Implications for Property Booms and Financial Stability ∗ (2006) (0)
- Cross-Border Risk Sharing and International Coordination of Macro-Prudential and Monetary Policies.∗ (2019) (0)
- Macro-financial Stability Policy in a Globalised World: Lessons from International Experience (2022) (0)
- Bank Leverage Cycles ∗ Galo Nuño † European Central Bank (2013) (0)
- Globalization of corporate risk taking (2014) (0)
- BIS Quarterly Review, March 2020 - media remarks (2020) (0)
- Financial System (2019) (0)
- Basel II and Banking Supervision (2006) (0)
- The future monetary system Turmoil in crypto markets, and deeper structural flaws (2022) (0)
- American Economic Association Social Value of Public (2007) (0)
- Banking, Capital Flows, and Financial Cycles (2013) (0)
- American Economic Association Unique Equilibrium in a Model of Self-Fulfilling Currency Attacks Author ( s ) : (2007) (0)
- How Has Thinking Changed about policies to manage the economy ? (2012) (0)
- Nature of Financial Risk (2019) (0)
- The Bank of Amsterdam and the limits of fiat money (2023) (0)
- Staggered Pricing Models Face the Facts (2006) (0)
- A Fresh Start (2019) (0)
- The internationalisation of EME currency trading 1 (2022) (0)
- Coordination without Common Knowledge (2006) (0)
- Reports Financial Intermediaries and Monetary Economics (2010) (0)
- COORDINATION RISK AND THE PRICE OF DEBT BY STEPHEN MORRIS AND HYUN SONG SHIN COWLES FOUNDATION PAPER NO (2004) (0)
- LONDON SCHOOL OF ECONOMICS (2001) (0)
- Global Banking Glut and Loan Risk Premium (2012) (0)
- Catalytic Finance: When Does It Work? Cowles Foundation for Research in Economics (2003) (0)
- Non-core bank liabilities and vulnerability to crisis: implications for Asia (2014) (0)
- Works Title Brand Performance Volatility from Marketing Spending Permalink (2016) (0)
- Micro-what? Quick Faqs on Microfinance with Dr. Genna R. Miller " March Madness " Predicting Victories in Ncaa Division I Basketball the Wobbly Bridge Making Sense of Global Financial Crises with Dr. Hyun Song Shin Equilibria Duke Economics Review (2013) (0)
- Banking Integration, Bank Stability, and Regulation - Introduction to a Special Issue of the International Journal of Central Banking (2009) (0)
- Welcome address (2017) (0)
- Chapter 4. Regulation of Retirement Savings (2010) (0)
- Boom and Bust Driven by Value-at-Risk (2019) (0)
- Comment on "Risk Topography" (2011) (0)
- Comment on "The Leverage Cycle" (2010) (0)
- BIS Working Papers No 510 Global dollar credit and carry trades : a firm-level analysis (2015) (0)
- Case of Northern Rock (2019) (0)
- e-Sentiment as a Leading Indicator of Daily Price Fluctuation: The Case of MP3 Players (2009) (0)
- Informational efficiency versus economic efficiency in a market with differential information (1995) (0)
- Comment (2010) (0)
- Fire Sales, Foreign Entry and Bank Liquidity1 (2007) (0)
- Comment (2012) (0)
- WP / 18 / 157 Bank Competition , Risk Taking , and their Consequences : Evidence from the U . S . Mortgage and Labor Markets (2018) (0)
- Overview and summary (2014) (0)
- Financial Institutions Center Finance Applications of Game Theory (1998) (0)
- Report on “ Optimal Betting Odds Against Insider Traders ” ( (2012) (0)
- Why Macroprudential Policy? Brief Overview (2014) (0)
- The Hunt for Duration: Not Waving but Drowning? (2017) (0)
- Securitization and the Financial System (2019) (0)
- Comments and Discussion (2022) (0)
- Chapter 11. Conclusions (2010) (0)
- IMES DISCUSSION PAPER SERIES Marking to Market , Liquidity , and Financial Stability (2005) (0)
- Editors’ Summary (2009) (0)
- WORKING PAPERS - RESEARCH SERIES (2004) (0)
- A Theory of Arbitrage Capital 1 Viral (2010) (0)
- An exploration of the consumption value of gambling (1999) (0)
- ECONOMICS 210C / ECONOMICS 236A MONETARY HISTORY SUPPLEMENTAL READINGS SEPTE MBER 24 - THE CREDIT CHANNEL (2008) (0)
- MULTIPLE KEYWORD MANAGEMENT IN SPONSORED SEARCH ADVERTISING (2017) (0)
- The post-Libor world: a global view from the BIS derivatives statistics (2022) (0)
- Theory of supply chains: a working capital approach (2023) (0)
- International Coordination of MacroPrudential and Monetary Policies . Enisse Kharroubi (2019) (0)
- Borrower vulnerabilities, their distribution and credit losses 1 (2022) (0)
- THE RELATIONSHIP BETWEEN CONSUMER CLICKS AND ADVERTISER BIDS IN SEARCH ADVERTISING (2018) (0)
- 5. Banking, Capital Flows, and Financial Cycles: Common Threads in the 2007–2009 Crises (2013) (0)
- Chapter 8. Improving Resolution Options for Systemically Important Financial Institutions (2010) (0)
- Brand Performance Volatility Arising from Marketing Spending Behavior under Competition (2011) (0)
- How Abundant Are Reserves? Evidence from the Wholesale Payment System (2022) (0)
- Asset-Liability Management (2019) (0)
- Emerging Asia’s Noncore Liabilities and Policy Effectiveness (2015) (0)
- NBER WORKING PAPER SERIES INTERNATIONAL LIQUIDITY AND EXCHANGE RATE DYNAMICS (2014) (0)
- Breaking the triple coincidence in international finance (2015) (0)
- Value-at-Risk and Capital (2019) (0)
- Financial Intermediation and the Post-Crisis Financial System with Implications for Korea (2010) (0)
- Marketing Spending and Brand Performance Volatility (2018) (0)
- A Comment on (2003) (0)
- Global imbalances and the international footprint of firms: what role for exchange rates? (2019) (0)
- Bank Leverage and Credit Supply (2014) (0)
- No : 02 / 2011 Regulating Asset Price Risk (2011) (0)
- BIS Media Briefing 29 June 2020 - Annual Economic Report 2020 (2020) (0)
- Chapter 5. Reforming Capital Requirements (2010) (0)
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