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1

Demirgüç-Kunt, Aslı. Financial liberalization and financial fragility. World Bank, Development Research Group and International Monetary Fund, Research Department, 1998.

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2

Fund, International Monetary, ed. Financial liberalization and financial fragility. International Monetary Fund, 1998.

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3

Gennaioli, Nicola. Financial innovation and financial fragility. National Bureau of Economic Research, 2010.

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4

Loayza, Norman. Financial development, financial fragility, and growth. World Bank, Development Research Group, Growth and Investment Team, 2004.

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5

Eichengreen, Barry J. Exchange rates and financial fragility. National Bureau of Economic Research, 1999.

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6

Cooper, Russell W. Financial fragility and the Great Depression. National Bureau of Economic Research, 1997.

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7

Sen, Sunanda, ed. Financial Fragility, Debt and Economic Reforms. Palgrave Macmillan UK, 1996. http://dx.doi.org/10.1007/978-1-349-13801-2.

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8

Sunanda, Sen, ed. Financial fragility, debt, and economic reforms. St. Martin's Press, 1996.

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9

Benink, Harald A., ed. Coping with Financial Fragility and Systemic Risk. Springer US, 1995. http://dx.doi.org/10.1007/978-1-4757-2373-1.

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10

Draghi, Mario. Transparency, risk management and international financial fragility. National Bureau of Economic Research, 2003.

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11

Francesco, Giavazzi, Merton Robert C, International Center for Monetary and Banking Studies, and Centre for Economic Policy Research (Great Britain)., eds. Transparency, risk management and international financial fragility. International Center for Monetary and Banking Studies, 2003.

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12

Tymoigne, Eric. Central banking, asset prices and financial fragility. Routledge, 2009.

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13

A, Benink H., and Ernst & Young., eds. Coping with financial fragility and systemic risk. Kluwer Academic Publishers, 1995.

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14

Draghi, Mario. Transparency, risk management and international financial fragility. Centre for Economic Policy Research, 2004.

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15

Chang, Roberto. Financial fragility and the exchange rate regime. National Bureau of Economic Research, 1998.

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16

Tymoigne, Eric. Central banking, asset prices and financial fragility. Routledge, 2009.

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17

Beck, Thorsten. Bank concentration and fragility: Impact and mechanics. National Bureau of Economic Research, 2005.

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18

Driscoll, Michael. Deregulation, credit rationing, financial fragility and economic performance. O.E.C.D., 1991.

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19

Chete, Louis N. Financial liberalization, development and fragility: Evidence from Nigeria. Nigerian Institute of Social Economic Research (NISER), 2002.

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20

Driscoll, Michael J. Deregulation, credit rationing, financial fragility and economic performance. Organisation for Economic Co-operation and Development, Dept. of Economics and Statistics, 1991.

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21

Organisation for Economic Co-operation and Development. Department of Economics and Statistics, ed. Deregulation, credit rationing, financial fragility, and economic performance. OECD, Department of Economics and Statistics, 1991.

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22

Detragiache, Enrica. Bank fragility and international capital mobility. International Monetary Fund, Research Department, 1999.

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23

Burnside, Craig. Hedging and financial fragility in fixed exchange rate regimes. National Bureau of Economic Research, 1999.

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24

Evans, E. P. Credit quality spreads, bond market efficiency and financial fragility. LSE Financial Markets Group, 1990.

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25

Gerdrup, Karsten R. Three episodes of financial fragility in Norway since the 1890s. Bank for International Settlements, Monetary and Economic Dept., 2003.

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26

Jayati, Ghosh, and Chandrasekhar C. P, eds. After crisis: Adjustment, recovery, and fragility in East Asia. Tulika Books, 2009.

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27

Jayati, Ghosh, and Chandrasekhar C. P, eds. After crisis: Adjustment, recovery, and fragility in East Asia. Tulika Books, 2009.

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28

1955-, Ghosh Jayati, and Chandrasekhar C. P. 1954-, eds. After crisis: Adjustment, recovery, and fragility in East Asia. Tulika Books, 2009.

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29

Benink, Harald A. Deregulation and financial fragility: A casestudy of the UK andScandinavia. Department of Economics, LoughboroughUniversity, 1994.

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30

Francis, Michael. Governance and financial fragility: Evidence from a cross-section of countries. Bank of Canada, 2003.

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31

Guilmi, Corrado Di. The generation of business fluctuations: Financial fragility and mean-field interactions. Peter Lang, 2008.

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32

Diamond, Douglas W. Liquidity risk, liquidity creation and financial fragility: A theory of banking. National Bureau of Economic Research, 1999.

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33

Benink, Harald A. Deregulation and financial fragility: A case study of the UK and Scandinavia. Loughborough University, Department of Economics, Centre for Research in European Economics and Finance, 1994.

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34

Alexandre, Lamfalussy, Snoy Bernard, and Wilson Jérôme, eds. Fragility of the international financial system: How can we prevent new crises in emerging markets? P.I.E.-Peter Lang, 2001.

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35

Fund, International Monetary, ed. Banking system fragility: Likelihood versus timing of failure-an application to the Mexican financial crisis. International Monetary Fund, 1996.

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36

Demirgüç-Kunt, Asli, and Enrica Detragiache. Financial Liberalization and Financial Fragility. The World Bank, 1999. http://dx.doi.org/10.1596/1813-9450-1917.

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37

Toporowski, Jan, ed. Financial Markets and Financial Fragility. Edward Elgar Publishing, 2010. http://dx.doi.org/10.4337/9781785362125.

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38

Financial markets and financial fragility. Edward Elgar, 2010.

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39

Michael, Carter. Financial innovation and financial fragility. 1989.

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40

Loayza, Norman, and Romain Ranciere. Financial Development, Financial Fragility, and Growth. The World Bank, 2004. http://dx.doi.org/10.1596/1813-9450-3431.

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41

Ranciere, Romain, and Norman Loayza. Financial Development, Financial Fragility, and Growth. International Monetary Fund, 2005.

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42

Ranciere, Romain, and Norman Loayza. Financial Development, Financial Fragility, and Growth. International Monetary Fund, 2005.

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43

Ranciere, Romain, and Norman Loayza. Financial Development, Financial Fragility, and Growth. International Monetary Fund, 2005.

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44

MATSUMPTO, Y. FINANCIAL FRAGILITY & INSTABILTY IN INDONESIA. Routledge, 2006.

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45

Matsumoto, Yasuyuki. Financial Fragility and Instability in Indonesia. Taylor & Francis Group, 2007.

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46

Davis, E. Debt, Financial Fragility, and Systemic Risk. Oxford University Press, 1992.

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47

Matsumoto, Yasuyuki. Financial Fragility and Instability in Indonesia. Routledge, 2007. http://dx.doi.org/10.4324/9780203966686.

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48

Debt, financial fragility, and systemic risk. Clarendon Press, 1995.

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49

Debt, financial fragility, and systemic risk. Clarendon Press, 1992.

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50

Sen, Sunanda. Financial Fragility, Debt and Economic Reforms. Palgrave Macmillan Limited, 1996.

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