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Xavier Freixas
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Microeconomics of Banking
Systemic Risk, Crises, and Macroprudential Regulation
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Microeconomics of Banking
Systemic Risk, Crises, and Macroprudential Regulation
Teaching
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Book Chapters
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Eslava, M.; Freixas, X.. Public development banks: Who to target and how?. In: Mayer, C.; Micossi, S.; Onado, M.; Pagano, M.; Polo, A.. Finance and investment: The European case. 1 ed. Oxford University Press; 2018. p. 289-298.
Freixas, X. Post-Crisis Challenges to Bank Regulation. In: De Ménil G, Portes R, Sinn HW, Jappelli T, Lane P, Martin P, Van Ours J. Economic Policy 62. 1 ed. John Wiley and Sons; 2012. p. 375-399.
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Freixas, Xavier; Parigi, Bruno M.. Lender of last resort and bank closure policy. In: Berger, Allen N.; Molyneux, Phillip; Wilson, John (eds.). The Oxford handbook of banking. 1 ed. New York, NY: Oxford University Press; 2009. p. 71-103.
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Freixas, Xavier. Systemic Risk and Prudential Regulation in the Global Economy. In: Evanoff, D.D.; Hoelscher, D.S.; Kaufman, G.G. (eds.). Globalization and Systemic Risk. 1 ed. New Jersey: World Scientific Publishing Co.; 2009. p. 145-167.
Freixas X, Parigi BM, Rochet JC. Systemic risk, interbank relations, and the central bank. In: Rochet, J.C. Why Are There So Many Banking Crises?: The Politics and Policy of Bank Regulation. 1 ed. Princeton University Press; 2009. p. 195-223.
Bolton, P.; Freixas, Xavier. How can emerging market economies benefit from a corporate bond market?. In: Borensztein, E.. Bond markets in Latin America: on the verge of a big bang?. 1 ed. Cambridge: MIT Press; 2008. p. 29-49.
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Freixas, Xavier; Santomero, Anthony. Regulation of Financial Intermediaries, A Discussion. In: Bhattacharya, Sudipto; Boot, Arnoud W.A.; Thakor, V.. Credit, intermediation and the macroeconomy: readings and perspectives in modern financial theory. 1 ed. Oxford: Oxford University Press; 2004. p. 428-448.
Freixas, Xavier. Crisis Management in europe. In: -. Financial Supervision in Europe. 1 ed. Cheltenham: 2003. p. 1-1.
Freixas, Xavier; Giannini, Curzio; Hoggarth, Glenn; Soussa, Farouk. Lender of Last Resort: a Review of the Literature. In: Goodhart, C. A. E. (ed.); Illing, Gerhard (ed.). Financial crises, contagion, and the lender of last resort: a reader. 1 ed. Oxford University Press; 2002.
Freixas, Xavier; Parigi, Bruno M.; Rochet, Jean-Charles. Systemic Risk, Interbank Relations, and Liquidity Provision by the Central Bank. In: Goodhart, C. A. E. (ed.); Illing, Gerhard (ed.). Financial crises, contagion, and the lender of last resort: a reader. 1 ed. Oxford University Press; 2002.
Freixas, Xavier. El euro y los mercados financieros. In: BAREA, J. et al.. Europa de las regiones. 1 ed. Planeta-De Agostini; 1998. p. 27-28.
Freixas, Xavier; Marín-Vigueras, J. M.; Martínez, M. A.; Rubio, G.. Rentabilidad y riesgo en la teoría de la gestión de carteras. In: Freixas, Xavier; Marín-Vigueras, J. M.; Martínez, M. A.; Rubio, G.. La evaluación de los fondos de inversión en España. 1 ed. Civitas; 1997. p. 15-28.
Freixas, Xavier. El estado frente al sector bancario. In: BARBERÀ, S. (ed.). Estado y economía: elementos para un debate. 1 ed. Madrid: Fundació BBV; 1996. p. 291-310.
Freixas, Xavier. Mercado y seguro sanitario. In: LÓPEZ CASASNOVAS, G. (ed.) et al.. Análisis económico de la sanidad. 1 ed. Generalitat de Catalunya. Departament de Sanitat i Seguretat Social; 1994. p. 77-94.
Freixas, Xavier; Valero, F. J.. A Reflection on Securitisation in the Spanish Market. In: STONE, X.; ZISSU, A.; LEDERMAN, J. (ed.). Asset Securitisation: Theory and Practice in Europe. 1 ed. Euromoney Books; 1992. p. 477-491.
Freixas, Xavier. Contratos de deuda con información imperfecta: una visión panorámica. In: Ramon Marimon y Xavier Calsamiglia, directores; con la colaboración de: Salvador Barberà [et al.]. Invitación a la teoría económica. 1 ed. Barcelona: Ariel; 1991.
Freixas, Xavier. Certainty equivalent. In: EATWELL, J.; MILGATE, M.; NEWMAN, P.. The New Palgrave: a dictionary of economics. 1 ed. Macmillan; 1990. p. 394-395.
Freixas, Xavier; Laffont, J. J.. On the irreversibility effect. In: Kihlstrom, Richard. Bayesian Models in Economic Theory. 1 ed. Amsterdam: North-Holland; 1984. p. 105-114.
Kihkstrom, Richard; Freixas, Xavier. Risk aversion and information demand. In: Kihlstrom, Richard. Bayesian Models in Economic Theory. 1 ed. Amsterdam: North-Holland; 1984. p. 93-104.
20 Items per page
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10
12
20
30
50
75
100
200
Showing 19 results.
Journal Articles
Books
Book Chapters
Conferences
Working papers