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Asymmetric effects on financial cycles in a monetary union with diverging country preferences for variable- and fixed-rate mortgages Richter M.
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Estimating Risky Behavior with Multiple-Item Risk Measures: Experimental Evidence Menkhoff L., Sakha S.
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Coherent financial cycles for G-7 countries: Why extending credit can be an asset Schüler Y., Hiebert P., Peltonen T.
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Interviewer effects and the measurement of financial literacy Crossley T. C., Schmidt T., Tzamourani P., Winter J. K.
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Estimation of the capacity of the Ukrainian stock market’s risk insurance sector Shkolnyk I., Bondarenko Y., Balev V.