Securitized banking and the run on repo
Bibliographic Data
| ID | 23360620 |
|---|---|
| Authors | Gary Gorton (0000-0002-5317-3752, corresponding author), Andrew Metrick (0000-0002-7930-9830) |
| Year | 2012 |
| Volume | 104 |
| Issue | 3 |
| Pages | 425-451 |
| Publication date | 2012-06-01 |
| Peer Reviewed | Yes |
| Open Access | Yes |
| Type | ARTICLE |
| Venue | Journal of Financial Economics (JOURNAL) |
| Journal identifiers | ISSN: 0304-405X • E-ISSN: 1879-2774 |
| Publisher | Elsevier BV (PUBLISHER) |
| DOI | 10.1016/j.jfineco.2011.03.016 |
| OpenAlex | W4254090008 |
| Language | EN |
| Citations received | 82 |
| References cited | 34 |
Bond · Business · Collateral · Collateralized debt obligation · Economics · Financial crisis · Financial system · Market liquidity · Monetary economics · Repurchase agreement · Securitization · Banking stability, regulation, efficiency · Finance · Housing Market and Economics · Insurance and Financial Risk Management
Fallacies, Irrelevant Facts, and Myths in the Discussion of Capital Regulation
The role of shadow banking entities in the financial crisis
The (impossible) repo trinity
Creation and Regulation of Bank Liquidity
Bank Failures, The Great Depression, and Other “Contagious” Events
Bank Capital Requirements after the Financial Crisis
Shadow Banking
Towards (de-)financialisation
The Employment Effects of Credit Market Disruptions
Governing through financial markets
Tracing Universals across Global Governance
Capital shocks and the great urban divide
Les crises bancaires en France pendant la Grande Dépression
Systemic risk in banking, fire sales, and macroeconomic disasters
Systemic Risk in Banking, Fire Sales, and Macroeconomic Disasters
Trust in banks
The complex relationship between credit and liquidity risks
AI integration in financial services
Contagion or interdependence? Comparing spillover indices
Adjustment dynamics between broker–dealer leverage and stock market
The global financial crisis, the EMU sovereign debt crisis and international financial regulation
From Crisis to War
The regulatory arbitrage and window dressing in shadow banking
The managerialization of banking
Institutional supercycles
Open for Business
The Politics of Shadow Money
The art of leverage
Grey matter in shadow banking
The political economy of shadow banking
Shadow money and the public money supply
Shadow Money in the 19th Century
A Political Economy of Fiscal Space
Monetary Policy Responses to Covid-19
The Monetary Circuit Theory, Financialisation and the Rise of the Non-Bank Financial Intermediaries
The Monetary Circuit in a Financialized Economy. From Credit Creation to Profit Realization
Have We Adequately Accommodated the Non-linear Systemic-Risk of Bankruptcy-Remote Securitization within Shadow Banking
Quantitative Easing
A Taxonomy of Liquidity
Canadian Shadow Banks and Monetary Policy Effectiveness
Property, credit, and monetary sabotage
Rethinking predation under financialisation through the history of subprime mortgages
The Emergence of Global Systemic Risk
Discounting collateral
Los determinantes de la rentabilidad primaria de los bonos de titulización hipotecaria
Commentaire sur l’article « La mesure du risque systémique après la crise financière »
Optimum technique de création de liquidité bancaire
A Market-Based Solution for Fire Sales and Other Pecuniary Externalities
Self-Fulfilling Runs
Intermediation and Voluntary Exposure to Counterparty Risk
Network Contagion and Interbank Amplification during the Great Depression
Internet Finance and Risk-Taking of City Commercial Banks
Macro determinants of shadow banking in Central and Eastern European countries
Moore's Law versus Murphy's Law
The ECB and the Interbank Market
The determinants of bank internationalisation in times of financial globalisation
A step too far? The European financial transactions tax on shadow banking
Repurchase Agreements and the Paradox of Risk
Divisions of regulatory labor, institutional closure, and structural secrecy in new regulatory states
Banking on Bonds
The value of law
Formal institution building in financialized capitalism
Risk, innovation, and democracy in the digital economy
Collateral times
What Caused Chicago Bank Failures in the Great Depression? A Look at the 1920s
The unaccountable risks of Libor
Critical macro-finance
Bridging the gaping hole
Law's Elasticity An Inquiry into the Relation of Law and Power in Finance
FX swaps, shadow banks and the global dollar footprint
Financialization and Economic Development
Overhauling China's Financial Stability Regulation
The Federal Reserve and Panic Prevention
An Assessment of Tarp Assistance to Financial Institutions
The managerial contradictions of extroverted financialization
Central banking and the infrastructural power of finance
The Growth of Finance
Financial Regulation
Prone to Fail
Debt dilution in 1920s America
Embedded finance
Macroprudential versus monetary blueprints for financial reform
| Unique citing works | 82 |
|---|---|
| Citations per year | 5,47 |
| Citation span | 2011 - 2026 (16) |
| Citation velocity | current |
| Highly cited | No |
| Citation types | Neutral: 79 |