Adaptation

330 mots 2 pages
References

• Allen, F. and Carletti, E. (2009). “The Global Financial Crisis Causes and Consequences”. Working Paper, University of Pennsylvania and European University Institute, June. • Berg, J. and Rixtel, A. and Ferrando, A. and Bondt, G. and Scopel, S. (2005), “The Bank Lending Survey For the Euro Area”, European Central Bank, N’ 23 February. • Bernanke, B. (2009), “The Crisis and the Policy Response”, Stamp Lecture at London School of Economics, January 13. Available at http://www.federalreserve.gov/newsevents/speech/bernanke20090113a.htm • Blundel-Wignall, A. and Atkinson, P. and Lee S. (2008). “The current Financial Crisis: Cause and Policy Issues”. Financial Market Trends, OECD Publication. • Bose, N. (2002),”Inflation, the credit market, and economic growth”, Oxford Economic Paper. • Calomiris, C. (2008). “The subprime turmoil: What’s old, what’s new, and what’s next”. Working Paper, Columbia University, presented at Jackson Hole Conference, August. • Cecchetti, S. (2008). “Monetary policy and the financial crisis of 2007-2008: Advances in credit risk modeling”. IMF Working Paper. • “Government Intervention Counterproductive; Economic Crisis calls for New Thinking on Managing Risk, Stimulating Economies”. New Report, Available at • Ekrem. Gul and Aykut. Ekinci, The Causal Relationship between Nominal Interest Rates and Inflation: The case of Turkey. • Kirkpatrick, G. (2009). “The corporate governance lessons from the financial crisis”. Financial Market Trends, OECD Publication. • Kohn, Donald (2008), “Monetary Policy and Asset Prices Revisited”, Remarks at the Cato Institute's 26th Annual Monetary Policy Conference, November 19. Available at http://www.federalreserve.gov/newsevents/speech/kohn20081119a.htm • Kumar, R.P. & Ravi, V. (2007). “Bankruptcy prediction in banks and firms via statistical and intelligent techniques - A review”. European Journal of Operational Research. • Mohan, R.

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