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Details about Mara Pirovano

Workplace:Nationale Bank van België/Banque national de Belqique (BNB) (National Bank of Belgium), (more information at EDIRC)

Access statistics for papers by Mara Pirovano.

Last updated 2017-10-23. Update your information in the RePEc Author Service.

Short-id: ppi322


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Working Papers

2017

  1. The impact of sectoral macroprudential capital requirements on mortgage lending: evidence from the Belgian risk weight add-on
    MPRA Paper, University Library of Munich, Germany Downloads View citations (4)

2016

  1. Does one size fit all at all times? The role of country specificities and state dependencies in predicting banking crises
    Working Paper Research, National Bank of Belgium Downloads
  2. Systemic risk, macroprudential policy, bank capital requirements, real estate
    Working Paper Research, National Bank of Belgium Downloads

2015

  1. Early warning indicators for banking crises: a conditional moments approach
    MPRA Paper, University Library of Munich, Germany Downloads View citations (8)
  2. Identifying early warning indicators for real estate-related banking crises
    ESRB Occasional Paper Series, European Systemic Risk Board Downloads View citations (16)

2013

  1. Household and firm leverage, capital flows and monetary policy in a small open economy
    Working Paper Research, National Bank of Belgium Downloads
    Also in Working Papers, University of Antwerp, Faculty of Business and Economics (2013) Downloads
  2. International financial integration, credit frictions and exchange rate regimes
    Working Papers, University of Antwerp, Faculty of Business and Economics Downloads

2011

  1. Eurozone inflation differentials and the ECB
    Working Papers, University of Antwerp, Faculty of Business and Economics Downloads View citations (5)

2010

  1. Financial integration, monetary policy and stock prices: Empirical evidence for the new EU member states
    Working Papers, University of Antwerp, Faculty of Business and Economics Downloads View citations (2)

2009

  1. Portfolio and short-term capital inflows to the new and potential EU countries: Patterns, determinants and policy responses
    Working Papers, University of Antwerp, Faculty of Business and Economics Downloads View citations (1)

Journal Articles

2014

  1. Evaluating early warning indicators for real estate related risks
    Financial Stability Review, 2014, 12, (1), 123-140 Downloads View citations (6)

2012

  1. Monetary policy and stock prices in small open economies: Empirical evidence for the new EU member states
    Economic Systems, 2012, 36, (3), 372-390 Downloads View citations (13)

Chapters

2011

  1. Portfolio and Short-term Capital Inflows to the New and Potential EU Countries: Patterns and Determinants
    Chapter 12 in The Economic Crisis and European Integration, 2011 Downloads View citations (3)
 
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