关注
Maria Shchepeleva
Maria Shchepeleva
在 hse.ru 的电子邮件经过验证 - 首页
标题
引用次数
引用次数
年份
Systemic risk, economic policy uncertainty and firm bankruptcies: Evidence from multivariate causal inference
M Stolbov, M Shchepeleva
Research in International Business and Finance 52, 101172, 2020
512020
Financial stress in emerging markets: Patterns, real effects, and cross-country spillovers
M Stolbov, M Shchepeleva
Review of Development Finance 6 (1), 71-81, 2016
422016
What predicts the legal status of cryptocurrencies?
M Stolbov, M Shchepeleva
Economic Analysis and Policy 67, 273-291, 2020
252020
Macrofinancial linkages in Europe: Evidence from quantile local projections
M Stolbov, M Shchepeleva
International Journal of Finance & Economics 26 (4), 5557-5569, 2021
192021
Does economic policy uncertainty lead systemic risk? A comparative analysis of selected European countries
M Stolbov, A Karminsky, M Shchepeleva
Comparative Economic Studies 60, 332-360, 2018
142018
Systemic risk in Europe: Deciphering leading measures, common patterns and real effects
M Stolbov, M Shchepeleva
Annals of Finance 14 (1), 49-91, 2018
132018
When central bank research meets Google search: A sentiment index of global financial stress
M Stolbov, M Shchepeleva, A Karminsky
Journal of International Financial Markets, Institutions and Money 81, 101692, 2022
72022
Financial contagion: Global transmission of systemic risk
M Shchepeleva
Mirovaya ekonomika i mezhdunarodnye otnosheniya 61 (1), 17-28, 2017
72017
Modeling global real economic activity: Evidence from variable selection across quantiles
M Stolbov, M Shchepeleva
The Journal of Economic Asymmetries 25, e00238, 2022
62022
Has the Global Financial Crisis increased wealth inequality?
M Shchepeleva, M Stolbov, L Weill
International Economics 169, 148-160, 2022
62022
A global perspective on macroprudential policy interaction with systemic risk, real economic activity, and monetary intervention
MI Stolbov, MA Shchepeleva, AM Karminsky
Financial Innovation 7 (1), 41, 2021
62021
Does one size fit all? Comparing the determinants of the FinTech market segments expansion
M Stolbov, M Shchepeleva
The Journal of Finance and Data Science 9, 100095, 2023
52023
The impact of ESG-factors on financial stability
MI Stolbov, MA Shchepeleva
Voprosy Ekonomiki, 2022
52022
What drives the expansion of research on banking crises? Cross-country evidence
M Caporin, M Stolbov, M Shchepeleva
Applied Economics 54 (52), 6054-6064, 2022
22022
Sentiment-based indicators of real estate market stress and systemic risk: international evidence
M Stolbov, M Shchepeleva
Annals of Finance 19 (3), 355-382, 2023
12023
Carbon footprints of lending and bank performance: international evidence from panel data
M Stolbov, M Shchepeleva
Environmental Science and Pollution Research 30 (39), 91466-91477, 2023
12023
Do sanctions trigger financial crises?
M Shchepeleva, M Stolbov, L Weill
Finance Research Letters 64, 105467, 2024
2024
Environmental performance, financial development, systemic risk and economic uncertainty: What are the linkages?
M Stolbov, M Shchepeleva
Environmental and Sustainability Indicators 22, 100389, 2024
2024
The systemic risk-uncertainty-real economic activity nexus: What is beyond median estimation?
M Stolbov, M Shchepeleva, D Parfenov
Economics Letters 235, 111550, 2024
2024
15 Years of Research on Systemic Risk across the Globe: the Evolution of the Field and its Drivers
M Stolbov, M Shchepeleva
Research in Globalization, 100195, 2024
2024
系统目前无法执行此操作,请稍后再试。
文章 1–20