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Backtesting Systemic Risk Measures During Historical Bank Runs
Christian Brownlees, Benjamin Chabot, Eric Ghysels, Christopher Kurz | 2015 | Working Papers | No.  2015-09 | December
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The Value and Risk of Human Capital
Luca Benzoni, Olena Chyruk | 2015 | Working Papers | No.  2015-06 | July
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OTC Derivatives -- A Primer on Market Infrastructure and Regulatory Policy
Ivana Ruffini, Robert  Steigerwald | 2014 | Economic Perspectives | Vol. 38 | 3rd
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Homebuilders, Affiliated Financing Arms and the Mortgage Crisis
Sumit Agarwal, Gene Amromin, Claudine Gartenberg, Anna Paulson, Sriram Villupuram | 2014 | Economic Perspectives | Vol. 38 | 2nd
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Managing Risk in the Recovery
Lamont K. Black, Marshall Eckblad | 2014 | Chicago Fed Letter | No.  328a | October
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Keeping Banking Competitive: Evaluating Proposed Bank Mergers and Acquisitions
Nisreen H. Darwish | 2014 | Chicago Fed Letter | No.  322 | May
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The Fiscal Cliff and the Dynamics of Income
Leslie McGranahan, Tom  Nohel | 2014 | Chicago Fed Letter | No.  321 | April
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