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December 10, 2013

Optimal bail-out policies under renegotiation

Publication

We study how the possibility of renegotiation affects optimal bail-out policies for countries under asymmetric information on a country's cost of reforms.

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December 9, 2013

Financial Shocks and Economic Activity in the Netherlands

Publication

An analysis of the effects of financial shocks on economic development in the euro area and the Netherlands in particular.

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May 30, 2013

CPB Financial Stability Report 2013

Publication

The Dutch House of Representatives has requested CPB and DNB to prepare a joint report on international and national macro-economic developments and their relation to the developments in the financial sector.

April 2, 2013

The private value of too-big-to-fail guarantees

Publication

Funding advantage for TBTF banks

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March 26, 2013

The changing landscape of financial markets in Europe, the United States and Japan

Publication

We compare the structure of the financial sectors of the EU27, Japan and the United States, looking at a set of 23 indicators.

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February 14, 2013

Access to External Finance and Innovation: A Macroeconomic Perspective

Publication

This article takes a macroeconomic perspective in studying innovation as one of the channels by which better access to financial markets affects economic development.

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February 14, 2013

The Dutch housing market - mortgage interest rates, house prices and consumption

Publication

Analysis of the consequences of the current financial position of banks in relation to the mortgage and housing markets and, following from that, for the current situation of the Dutch economy.

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February 5, 2013

How Large was the Credit Crunch in the OECD?

Publication

Reduced credit supply in the years 2008 and 2009 should have resulted in lower growth in industries that are more dependent on external finance.

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November 15, 2012

Two-dimensional Fourier cosine series expansion method for pricing financial options

Publication

In financial markets, traders deal in assets and options. There exist many types of options and the best-known are the European call and put option.

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June 6, 2012

When is debt sustainable?

Publication

This CPB Discussion Paper proposes indicators to assess government debt sustainability. Sustainable government finances can be achieved via three main channels: fiscal responses, economic growth and financial repression.

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