Stijn Claessens
Economist
Stijn Claessens's AcademicInfluence.com Rankings
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Economics
Stijn Claessens's Degrees
- PhD Economics University of Amsterdam
- Masters Economics University of Amsterdam
- Bachelors Economics University of Amsterdam
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(Suggest an Edit or Addition)According to Wikipedia, Stijn Claessens is a Dutch economist who currently serves as the Head of Financial Stability Policy department of the Bank for International Settlements. He worked for fourteen years at World Bank beginning in 1987 until 2001 where he assumed various positions including that of Lead Economist. Following his tenure at the World Bank he became Professor of International Finance Policy at the University of Amsterdam where he remained for three years and still is on the faculty. Stijn has many distinguished academic publications and his work has been cited in many outlets including The Wall Street Journal, The Financial Times, The Economist, The Washington Post and various other publications and he has appeared in several television programs.
Stijn Claessens's Published Works
Published Works
- The Separation of Ownership and Control in East Asian Corporations (1999) (5412)
- Disentangling the Incentive and Entrenchment Effects of Large Shareholdings (2002) (3675)
- How Does Foreign Entry Affect the Domestic Banking Market? (1998) (1634)
- What Drives Bank Competition? Some International Evidence (2003) (1502)
- Political Connections and Preferential Access to Finance: Role of Campaign Contributions (2007) (1399)
- Financial Development, Property Rights and Growth (2002) (1001)
- Corporate Governance in Asia: A Survey (2002) (947)
- Corporate Governance in Emerging Markets: A Survey (2012) (811)
- Contagion: Understanding How It Spreads (2000) (749)
- The Use and Effectiveness of Macroprudential Policies: New Evidence (2015) (702)
- Financial Liberalization and Financial Fragility (1998) (647)
- Access to Financial Services: A Review of the Issues and Public Policy Objectives (2005) (609)
- Ownership Concentration and Corporate Performance in the Czech Republic (1999) (521)
- Foreign banks: Trends and Impact (2014) (506)
- Finance and Inequality: Channels and Evidence (2007) (419)
- Cross-Country Experiences and Policy Implications from the Global Financial Crisis (2010) (417)
- Macro-Prudential Policies to Mitigate Financial System Vulnerabilities (2013) (417)
- What is Shadow Banking? (2015) (414)
- Expropriation of Minority Shareholders: Evidence from East Asia (1999) (409)
- World development report 1996 : from plan to market (1996) (392)
- Financial Dependence, Banking Sector Competition, and Economic Growth (2005) (386)
- An Overview of Macroprudential Policy Tools (2014) (323)
- Expropriation of Minority Shareholders in East Asia (2000) (300)
- Corporate Governance and Regulation: Can There Be Too Much of a Good Thing? (2007) (285)
- The Benefits and Costs of Group Affiliation: Evidence from East Asia (2002) (277)
- Foreign Banks: Trends, Impact and Financial Stability (2011) (260)
- Lessons and Policy Implications from the Global Financial Crisis (2010) (251)
- Contagion: How it spreads and How it can be stopped * (2000) (250)
- The Impact of the Global Financial Crisis on Banking Globalization (2014) (232)
- Corporate Performance in the East Asian Financial Crisis (2000) (228)
- Corporate Governance and Development (2003) (221)
- Financial Sector Development and the Millennium Development Goals (2007) (210)
- Privatization and Restructuring in Central and Eastern Europe: Evidence and Policy Options (1997) (209)
- The Political Economy of Distress in East Asian Financial Institutions (2000) (208)
- International Financial Contagion (2001) (201)
- From the Financial Crisis to the Real Economy: Using Firm-Level Data to Identify Transmission Channels (2011) (199)
- Being a Foreigner among Domestic Banks: Asset or Liability? (2009) (190)
- Competition in the Financial Sector: Overview of Competition Policies (2009) (190)
- Resolution of corporate distress in East Asia (2003) (188)
- Ownership and Corporate Governance: Evidence from the Czech Republic (1997) (187)
- Contagion: Why Crises Spread and How This Can Be Stopped (2001) (179)
- Who Controls East Asian Corporations? (1999) (173)
- Fintech Credit Markets Around the World: Size, Drivers and Policy Issues (2018) (173)
- Electronic Finance: Reshaping the Financial Landscape Around the World (2000) (161)
- Push Factors and Capital Flows to Emerging Markets: Why Knowing Your Lender Matters More than Fundamentals (2015) (157)
- The Costs of Group Affiliation: Evidence from East Asia (2000) (153)
- How Important is the Global Financial Cycle? Evidence from Capital Flows (2017) (153)
- Shadow Banking: Economics and Policy (2012) (149)
- Enforcement and Good Corporate Governance in Developing Countries and Transition Economies (2006) (149)
- Monetary and Macroprudential Policies (2012) (146)
- Corporate Governance and Equity Prices: Evidence from the Czech and Slovak Republics (1995) (146)
- Evidence on Changes in Aid Allocation Criteria (2009) (143)
- The Internationalization of Financial Services in Asia (1998) (140)
- Enterprise performance and management turnover in the Czech Republic (1999) (138)
- The Benefits and Costs of Internal Markets: Evidence from Asia's Financial Crisis (2001) (137)
- Stock market development and internationalization: Do economic fundamentals spur both similarly? (2006) (129)
- The internationalization of financial services : issues and lessons for developing countries (2000) (128)
- The Regulatory Responses to the Global Financial Crisis: Some Uncomfortable Questions (2014) (126)
- Financial Restructuring in East Asia: Halfway There? (1999) (125)
- Stock Markets in Transition Economies (2000) (124)
- Competition and scope of activities in financial services (2001) (122)
- Government Bonds in Domestic and Foreign Currency: The Role of Institutional and Macroeconomic Factors (2007) (122)
- E-Finance in Emerging Markets: Is Leapfrogging Possible? (2001) (117)
- International Financial Integration Through Equity Markets: Which Firms from Which Countries Go Global? (2007) (115)
- Explaining the Migration of Stocks from Exchanges in Emerging Economies to International Center (2002) (113)
- Government Bonds in Domestic and Foreign Currency: The Role of Macroeconomic and Institutional Factors (2003) (112)
- Corporate Diversification in East Asia: The Role of Ultimate Ownership and Group Affiliation (1999) (112)
- Foreign Bank Presence in Developing Countries 1995-2006: Data and Trends (2008) (110)
- Privatization benefits in Eastern Europe (2002) (102)
- Measuring firms' access to finance (2006) (101)
- Corporate Risk Around the World (2000) (98)
- Impact of Foreign Banks (2013) (98)
- Global liquidity and cross-border bank flows (2017) (96)
- Volatility and Contagion in a Financially Integrated World: Lessons from East Asia's Recent Experience (1993) (94)
- The Use and Effectiveness of Macroprudential Policies : New Evidence (2015) (93)
- Politicians and Firms in Seven Central and Eastern European Countries (1998) (92)
- East Asian Corporates: Growth, Financing and Risks over the Last Decade (1998) (90)
- Financial Restructuring in Banking and Corporate Sector Crises: What Policies to Pursue? (2001) (84)
- Domestic regulation and service trade liberalization (2003) (81)
- Resolution of Corporate Distress: Evidence from East Asia's Financial Crisis (1999) (78)
- Global Banking: Recent Developments and Insights from Research (2017) (77)
- Thailand's Corporate Financing and Governance Structures (1998) (76)
- When Does Corporate Diversification Matter to Productivity and Performance? Evidence from East Asia (2003) (76)
- Financial Crises: Causes, Consequences, and Policy Responses (2014) (75)
- Crisis Management and Resolution: Early Lessons from the Financial Crisis (2011) (75)
- The Political Economy of Basle II: The Costs for Poor Countries (2008) (73)
- Competitive Implications of Cross-Border Banking (2006) (73)
- Systemic Risks in Global Banking: What Available Data Can Tell Us and What More Data are Needed? (2011) (71)
- The Great Cross-Border Bank Deleveraging: Supply Constraints and Intra-Group Frictions (2014) (71)
- Corporate Governance and Development: An Update (2012) (67)
- Diversification and Efficiency of Investment of East Asian Corporations (1998) (66)
- Systemic Risk in Global Banking: What Can Available Data Tell Us and What More Data are Needed? (2011) (66)
- Enforcement and Corporate Governance (2004) (65)
- Who controls East Asian corporations, and the implications for legal reform (1999) (65)
- How Do Business and Financial Cycles Interact (2011) (65)
- Financial Liberalization and Financing Constraints: Evidence from Panel Data on Emerging Economies (2000) (65)
- Paths to Eurobonds (2012) (63)
- Banking reform in transition countries (1998) (61)
- International Financial Contagion: An overview of the Issues and the Book (2001) (61)
- FDI and Stock Market Development : Complements or Substitutes ? (2001) (60)
- Location Decisions of Foreign Banks and Competitive Advantage (2007) (59)
- International Financial Contagion: The Theory, Evidence and Policy Implications (2004) (59)
- Location Decisions of Foreign Banks and Institutional Competitive Advantage (2008) (59)
- Regulating Cryptocurrencies: Assessing Market Reactions (2018) (58)
- Systemic Financial Crises: Crisis Resolution, Policies, and Institutions: Empirical Evidence (2005) (56)
- Location Decisions of Foreign Banks and Competitor Remoteness (2014) (56)
- Competition in the Financial Sector : Overview of Competition Policies (2009) (56)
- Ownership and Financing Structures of Listed and Large Non-Listed Corporations (2006) (55)
- Foreign Direct Investment, Other Capital Flows and Current Account Deficits: What Causes What? (1995) (55)
- Understanding Financial Crises: Causes, Consequences, and Policy Responses (2013) (53)
- Rebalancing the global economy : a primer for policymaking (2010) (52)
- Corporate Governance and Enforcement (2004) (52)
- East Asian Corporations: Heroes or Villains? (2000) (50)
- Comovement of Newly Added Stocks with National Market Indices: Evidence from Around the World (2011) (49)
- Resolving Systemic Financial Crises: Policies and Institutions (2004) (47)
- Expropriation of Minority Shareholders in (2000) (47)
- Electronic Finance: A New Approach to Financial Sector Development? (2002) (46)
- Empirical Evidence on the New International Aid Architecture (2007) (46)
- Are Financial Sector Weaknesses Un-dermining the East Asian Miracle (1997) (44)
- Global Liquidity and Drivers of Cross-Border Bank Flows (2014) (43)
- The Links between Finance and Inequality: Channels and Evidence (2005) (43)
- Corporate Growth, Financing, and Risks in the Decade Before East Asia's Financial Crisis (1998) (43)
- Access to Financial Services (2012) (41)
- What is Shadow Banking (2014) (40)
- Managers, Incentives and Corporate Performance: Evidence from the Czech Republic (1997) (38)
- The Use and Effectiveness of Macroprudential Policies (2015) (35)
- THAILAND'S CORPORATE FINANCING AND GOVERNANCE STRUCTURES: IMPACT ON FIRMS' COMPETITIVENESS (1998) (34)
- Finance and Hunger: Empirical Evidence of the Agricultural Productivity Channel (2006) (34)
- Basel Ii, Sovereign Ratings and Transfer Risk External Versus Internal Ratings (2003) (33)
- Global financial crisis, risk analysis and risk measurement (2009) (33)
- The Pattern and Valuation Effects of Corporate Diversification: A Comparison of the United States, Japan, and other East Asian Economies (2001) (33)
- THE ROLE AND FUNCTIONING OF BUSINESS GROUPS IN EAST ASIA AND CHILE (2000) (33)
- Corporate growth and risk around the world (1999) (32)
- DeFi risks and the decentralisation illusion (2021) (31)
- The Asian Financial Crisis: The role of macroeconomic and financial sector linkages in East Asia's financial crisis (1999) (31)
- The International Financial Architecture (2003) (31)
- Policy Principles for Expanding Financial Access (2009) (28)
- The Basel II Reform and Retail Credit Markets (2005) (28)
- Corporate Governance in Emerging Markets: A Selective Review and an Agenda for Future Research (2020) (26)
- Corporate governance of non-listed companies in emerging markets (2006) (26)
- Corporate governance reform issues in the Brazilian equity markets (2000) (26)
- Competition in the Financial Sector and Growth: A Cross-Country Perspective (2004) (25)
- Capital Flow Volatility and Systemic Risk in Emerging Markets : The Policy Toolkit (2013) (24)
- Benefits and Costs on Integrated Financial Services Provision in Developing Countries (2003) (24)
- Accessing International Equity Markets: What Firms from Which Countries Go Abroad? (2003) (23)
- The Role of Foreign Banks in Trade (2017) (23)
- Did the Euro Crisis Affect Non-Financial Firm Stock Prices Through a Financial or Trade Channel? (2011) (22)
- Determinants of Performance of Manufacturing Firms in Seven European Transition Economies (1997) (22)
- ALTERNATIVE FORMS OF EXTERNAL FINANCE: A SURVEY (1993) (22)
- Impact of Financial Regulations: Insights from an Online Repository of Studies (2019) (22)
- Institutions and financial frictions: Estimating with structural restrictions on firm value and investment (2014) (21)
- The Future of Stock Exchanges in Emerging Markets (2002) (20)
- Monetary Policy and Bank Risk Taking; by Gianni De Nicolò, Giovanni Dell’Ariccia, Luc Laeven, and Fabian Valencia; IMF Staff Position Note SPN/10/09; July 27, 2010 (2010) (20)
- Corporate Distress in East Asia : The Effect of Currency and Interest Rate Shocks (1999) (20)
- Comment on "What Drives Bank Competition? (2004) (19)
- Banks and Labor as Stakeholders: Impact on Economic Performance (2008) (18)
- Fragmentation in Global Financial Markets: Good or Bad for Financial Stability? (2019) (17)
- How Do Bank-Specific Characteristics Affect Lending? New Evidence Based on Credit Registry Data from Latin America (2019) (17)
- Macroprudential Regulatory Policies: The New Road to Financial Stability (2011) (17)
- Resolving Systemic Crises: Policies and Institutions (2003) (17)
- Regulating Big Techs in Finance (2021) (16)
- Financial markets in a new age of oil (2006) (16)
- Policy Approaches to Corporate Restructuring Around the World: What Worked, What Failed? (2004) (16)
- Macro-Prudential Policies: Lessons for and from Emerging Markets (2012) (16)
- The Great Cross-Border Bank Deleveraging (2014) (15)
- Law, Property Rights and Growth (2001) (15)
- Financial Restructuring in Banking and Corporate-Sector Crises (2003) (14)
- Hedging commodity price risks in Papua New Guinea (1991) (14)
- Comment on "Banking in Transition Economies." (1998) (13)
- The political economy of Basel II in the international financial architecture (2010) (13)
- Lessons from the Recent Financial Crisis for Reforming National and International Financial Systems (2009) (13)
- The Benefits and Costs of Group Affiliation (2002) (13)
- Saving the Euro: Mitigating Financial or Trade Spillovers? (2015) (13)
- Macro Prudential Policies to Mitigate Financial Vulnerabilities in Emerging Markets (2013) (13)
- Alternative Frameworks for Providing Financial Services (1999) (13)
- Financial globalization and crises: overview (2013) (13)
- Financial Frictions, Investment, and Institutions (2010) (12)
- Financial Sector Competition, Financial Dependence and Economic Growth (2005) (12)
- The Political Economy of Global Financial Governance: The Costs of Basle Ii for Poor Countries (2006) (12)
- International dimensions of conventional and unconventional monetary policy (2016) (12)
- Regulation and structural change in financial systems (2017) (11)
- Publicly-Listed East Asian Corporates : Growth , Financing and Risks (1999) (11)
- The financial crisis of 2008-2009: Origins, issues, and prospects (2010) (11)
- Privatization Effects in Central and Eastern Europe (1997) (11)
- Path to eurobonds. Bruegel Working Paper 2012/10, July 2012 (2012) (10)
- Interactions between Monetary and Macroprudential Policies in an Interconnected World (2013) (10)
- Shadow banking within and across national borders (2015) (10)
- Whatever It Takes: What’s the Impact of a Major Nonconventional Monetary Policy Intervention? (2018) (10)
- Foreign banks and trade (2020) (10)
- Manager Incentives and Turnover of Managers: Evidence from the Czech Republic (2000) (9)
- The World Bank economic review 9(1) (1995) (9)
- East Asian Corporations , Before and During the Recent Financial Crisis (2003) (9)
- Designing Financial Systems in Transition Economies (2003) (9)
- Do Macroprudential Policies Affect Non-Bank Financial Intermediation? (2021) (9)
- How to Accelerate Corporate and Financial Sector Restructuring in East Asia (1999) (9)
- Additions to Market Indices and the Comovement of Stock Returns Around the World (2008) (9)
- Korea’s Financial Sector Reforms (1999) (9)
- Cryptocurrency Market Reactions to Regulatory News (2020) (9)
- Current Challenges in Financial Regulation (2006) (9)
- Trade Implications of Policy Responses to the Crisis (2009) (9)
- International Financial Integration Through Equity Markets (2007) (8)
- Government Bonds in Domestic and Foreign Currency: The Role of Institutional Factors (2003) (8)
- The Need for Institutional Changes in the Global Financial System: An Analytical Framework (2005) (8)
- The Great Cross-Border Bank Deleveraging: Supply Side Characteristics (2013) (8)
- Alternative Frameworks for Providing Financial Services Economic Analysis and Country Experiences (1999) (8)
- Enforcement and corporate governance : three views (2005) (8)
- Important Questions for Housing Markets and Housing Policy (2015) (7)
- The World Bank economic review 17 (3) (2012) (7)
- Assessing Firms'Financing Constraints in Brazil (2013) (7)
- The Role of Foreign Banks in Local Credit Booms (2016) (7)
- A reader in international corporate finance (2006) (7)
- How Do Credit Ratings Affect Bank Lending Under Capital Constraints? (2018) (6)
- Does Campaign Finance imply Political Favors (2006) (6)
- Resolution of Financial Distress : An Overview (2001) (6)
- Managing Economic Volatility and Crises: Finance and Volatility (2005) (6)
- A Cross-Country Perspective on the Causes of the Global Financial Crisis (2013) (6)
- Capital Market Development and Corporate Governance In Poland: The Way Forward (2002) (5)
- Universal Access to Financial Services (2006) (5)
- Systemic Risks in Global Banking (2011) (5)
- Financial Crises: Review and Evidence (2013) (5)
- Covid-19 policy measures to support bank lending (2021) (5)
- Politicians and Firms: Evidence From Seven Central and Eastern European Countries (1997) (5)
- Competition in the Financial Sector (2009) (4)
- Funding for fintechs: patterns and drivers (2021) (4)
- Basic Employment Protection, Bargaining Power, and Economic Outcomes (2020) (4)
- The Valuation Effects of Geographic Diversification: Evidence from U.S. Banks Prepared by Martin Goetz, Luc Laeven, and Ross Levine 1 (2012) (4)
- A Decision Tree for Digital Financial Inclusion Policymaking (2020) (4)
- Institutional reform for investment and growth in South Eastern Europe (2003) (4)
- Chapter 15. Crisis Management and Resolution: Early Lessons from the 2007–09 Financial Crisis (2014) (4)
- ORIGINS OF CORPORATE DISTRESS IN EAST ASIA (2004) (3)
- A Reader in International Corporate Finance, Volume One (2006) (3)
- Economics Aspects of Corporate Governance and Regulation (2011) (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)
- Ownership and Financing Structures (2006) (3)
- Discussion of “ Credit , Asset Prices , and Financial Stress ” ∗ (2009) (3)
- Foreign Direct Investment: Who Cares about Ownership? (2003) (3)
- Tools for managing banking distress: historical experience and lessons for today (2020) (3)
- Report on the first ten years of the emerging markets corporate governance research network (EMCGN) (2014) (3)
- International Financial Integration Through Equity Markets; Which Firms from Which Countries Go Global? (2007) (3)
- The Financial Crisis (2010) (2)
- Draft May 22 , 2000 1 Government Contingent Liabilities and Fiscal Vulnerability Chapter 5 : “ Fiscal Risks of the Banking System : Approaches to Measuring and Managing Contingent Government Liabilities in the Banking Sector ” (2000) (2)
- Foreing Direct Investment: What Causes What? (1994) (2)
- Systemic Banking Crises Database: An Update Prepared by Luc Laeven and Fabián Valencia 1 (2012) (2)
- Financial Stability Governance and Central Bank Communications (2021) (2)
- Regional House Price Differences: Drivers and Risks (2019) (2)
- Transition 3 (8) (1992) (2)
- The World Bank Research Observer 15 (2), Aug 2000 (2000) (2)
- Theories of Currency and Banking Crises: A Literature Review (2005) (2)
- Being a Foreigner Among Domestic Banks (2009) (2)
- Opening Remarks: MONEY, CREDIT AND BANKING (2015) (2)
- Empirical evaluation of corporate restructuring (2003) (2)
- International Exposure to U.S.-Centered Credit Market Turmoil (2009) (1)
- Crisis Management and Resolution (2011) (1)
- Financial Development , Property Rights , and Growth 1 (2001) (1)
- Chapter 19. Restructuring Sovereign Debt: Lessons from Recent History (2014) (1)
- Bank Competition, Job Security, and Economic Growth (2015) (1)
- Investment and Institutions (2010) (1)
- Synthesis Report: Sixth International Research Conference on Corporate Governance in Emerging Markets (2018) (1)
- Progress in corporate governance (2008) (1)
- Developments in global e-finance (2001) (1)
- Financial Regulation Assessment: Meta Exercise (2020) (1)
- Macroprudential policies: Analyzing a new database (2014) (1)
- Core and headline indicators on access to financial services : World Bank and DFID teams up to measure access to finance (2005) (0)
- NBER WORKING PAPER SERIES MONETARY POLICY AND GLOBAL BANKING (2017) (0)
- The External Impact of China's Exchange Rate Policy: Evidence from Firm Level Data Prepared by Barry Eichengreen and Hui Tong 1 (2011) (0)
- Synthesis Report - The Third International Conference on Corporate Governance in Emerging Markets (2011) (0)
- Banking Activity Trends Following the Financial Crisis: Expansion or Retrenchment? (2016) (0)
- The Impact of the Global Financial Crisis on Banking Globalization (2015) (0)
- Wps 1ix (2000) (0)
- JIBS 40 / AIB 50 ANNIVERSARY Property Rights Protection , Corporate Transparency , and Growth (2009) (0)
- The World Bank Research Observer 16 (1), Mar 2001 (2001) (0)
- Pramuan Bunkanwanicha and Yupana Wiwattanakantang Big Business Owners in Politics (2008) (0)
- Performance of East Asian corporations before and after the crisis (2002) (0)
- Enforcement and Corporate Governance : Three Views Focus 3 (2006) (0)
- Challenges in financial regulation (2013) (0)
- Discussion Paper 5 Enforcement and Corporate Governance (2005) (0)
- Empirical Evalution of Corporate Restructuring (2003) (0)
- Deposit Insurance Developing countries should irst address weaknesses in Around the Globe their informational and supervisory environments Where Does It Work ? before adopting explicit deposit insurance (2001) (0)
- Central Bank Independence and Macroprudential Regulation Prepared by Kenichi Ueda and Fabián Valencia (2012) (0)
- Alternative Forms of External Finance A Survey Stijn Claessens (2000) (0)
- What Is Corporate Governance and Why Is It Receiving More Attention ? (2013) (0)
- The World Bank Research Observer 21 (2), Oct 2006 (2006) (0)
- Cross-border university cooperation: crossing-border - frontier knowledge (2009) (0)
- Session 79PD The Asian Flu—Is Anyone Immune? (2000) (0)
- Third International Conference on Corporate Governance in Emerging Markets Seoul, Korea, June 28-29, 2011 (2011) (0)
- Banks and Labor as Stakeholders (2008) (0)
- Financial Market Integration: New Challenges for Regulation in Europe and Beyond (2009) (0)
- Which Institutions Reduce Financial Frictions and Facilitate Investment (2011) (0)
- Enterprise Performance and Managers' Profiles (1997) (0)
- The Thirteenth Dubrovnik Economic Conference-Location Decisions of Foreign Banks and Competitive Advantage (2007) (0)
- Challenges for Transition Economies , Challenges for the World Bank Russian Oligarchs : a Quantitative Assessment (0)
- 3113 What Drives Bank Competition ? Some International Evidence (2003) (0)
- Stakeholder Corporate Governance: The Combined Effects of Bank Competition and Employment Protection (2014) (0)
- Draft / For Comments Corporate Growth and Risk around the World (1999) (0)
- Chapter 11. Policies for Macro-Financial Stability: Dealing with Credit Booms and Busts (2014) (0)
- Systemic Crises : Policies and Institutions by (2003) (0)
- Business and financial cycles in emerging markets: lessons for macroprudential policies (2016) (0)
- Beyond transition 15 (1) (2004) (0)
- Session 3 Q&A: Identifying and assessing risks in the shadow banking system (2017) (0)
- Frictions and Investment : Estimation with Structural Restrictions (2013) (0)
- Conference participants (1995) (0)
- A Perspective on Predicting Currency Crises (2010) (0)
- Complex Ownership Structures and Corporate Valuations Prepared by Luc Laeven and Ross Levine 1 (2007) (0)
- Research Department Fiscal Consolidation and the Cost of Credit : Evidence from Syndicated Loans † Prepared by Ş enay (2013) (0)
- WP / 14 / 25 What Is Shadow Banking ? (2015) (0)
- Financial Stability Governance and Communication (2018) (0)
- Institutions, Financial Frictions, and Investment: Estimation with Structural Restrictions (2012) (0)
- Do Capital Stocks Adjust Faster in Countries with 'Good' Institutions? (2010) (0)
- OVERVIEW: EMPIRICAL EVALUATION OF CORPORATE RESTRUCTURING IN NORTHEAST ASIA (2004) (0)
- How to prevent and better handle the failures of global systemically important financial institutions (2012) (0)
- Paper Draws on a Paper " Consolidation and Strategic Positioning in Banking with Implications for Europe " Presented at The (0)
- Second InTeRnATIonAL ReSeARcH conFeRence on coRPoRATe GoVeRnAnce In eMeRGInG MARKeTS (2009) (0)
- Ownership and Corporate TheCzechRepublicsmass (1997) (0)
- The World Bank Research Observer 21 (1), March 2006 (2006) (0)
- World Bank Economic Review 17 (3), Sept 2003 (2003) (0)
- Dealing with Cross-Border Bank Distress: Some Specific Options for Reform (2011) (0)
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