Capital flows at risk: Taming the ebbs and flows G Gelos, L Gornicka, R Koepke, R Sahay, S Sgherri Journal of International Economics 134, 103555, 2022 | 119 | 2022 |
Banks and shadow banks: Competitors or complements? LA Górnicka Journal of Financial Intermediation 27, 118-131, 2016 | 45 | 2016 |
Learning about fiscal multipliers during the European sovereign debt crisis: evidence from a quasi-natural experiment L Górnicka, C Kamps, G Koester, N Leiner-Killinger Economic Policy 35 (101), 5-40, 2020 | 38 | 2020 |
Measuring concentration risk-a partial portfolio approach P Grippa, L Gornicka International Monetary Fund, 2016 | 29 | 2016 |
Too-international-to-fail? Supranational bank resolution and market discipline LA Górnicka, MA Zoican Journal of Banking & Finance 65, 41-58, 2016 | 26 | 2016 |
Optimal macroprudential policy and asset price bubbles N Biljanovska, L Gornicka, A Vardoulakis International Monetary Fund, 2019 | 23 | 2019 |
Measuring output gap: Is it worth your time? MJ Chen, L Górnicka International Monetary Fund, 2020 | 22 | 2020 |
Brexit referendum and business investment in the UK L Górnicka International Monetary Fund, 2018 | 22 | 2018 |
Leakages from macroprudential regulations: The case of household-specific tools and corporate credit A Bhargava, L Górnicka, P Xie International Monetary Fund, 2021 | 8 | 2021 |
Biases in survey inflation expectations: Evidence from the euro area J Chen, L Gornicka, V Zdarek International Monetary Fund, 2022 | 7 | 2022 |