Crossref Citations
This article has been cited by the following publications. This list is generated based on data provided by
Crossref.
Wermers, Russ R.
2012.
Runs on Money Market Mutual Funds.
SSRN Electronic Journal,
Di Maggio, Marco
and
Kacperczyk, Marcin T.
2013.
The Unintended Consequences of the Zero-Bound Policy.
SSRN Electronic Journal,
Hu, Grace Xing
Pan, Jun
and
Wang, Jiang
2014.
Tri-Party Repo Pricing.
SSRN Electronic Journal,
Egan, Mark
Hortacsu, Ali
and
Matvos, Gregor
2015.
Deposit Competition and Financial Fragility: Evidence from the US Banking Sector.
SSRN Electronic Journal,
Avkiran, Necmi K
2016.
Explaining Systemic Risk in Money Market Funds: An Exploratory Study.
SSRN Electronic Journal,
Schmidt, Lawrence
Timmermann, Allan
and
Wermers, Russ
2016.
Runs on Money Market Mutual Funds.
American Economic Review,
Vol. 106,
Issue. 9,
p.
2625.
Lewis, Craig M.
2016.
Money Market Funds and Regulation.
Annual Review of Financial Economics,
Vol. 8,
Issue. 1,
p.
25.
Helwege, Jean
and
Zhang, Gaiyan
2016.
Financial Firm Bankruptcy and Contagion*.
Review of Finance,
Vol. 20,
Issue. 4,
p.
1321.
Egan, Mark
Hortaçsu, Ali
and
Matvos, Gregor
2017.
Deposit Competition and Financial Fragility: Evidence from the US Banking Sector.
American Economic Review,
Vol. 107,
Issue. 1,
p.
169.
Qian, Meijun
and
Tanyeri, Başak
2017.
Litigation and mutual-fund runs.
Journal of Financial Stability,
Vol. 31,
Issue. ,
p.
119.
Chiu, Junmao
and
Tsai, Kunchi
2017.
Government interventions and equity liquidity in the sub-prime crisis period: Evidence from the ETF market.
International Review of Economics & Finance,
Vol. 47,
Issue. ,
p.
128.
Di Maggio, Marco
and
Kacperczyk, Marcin
2017.
The unintended consequences of the zero lower bound policy.
Journal of Financial Economics,
Vol. 123,
Issue. 1,
p.
59.
La Spada, Gabriele
2018.
Competition, reach for yield, and money market funds.
Journal of Financial Economics,
Vol. 129,
Issue. 1,
p.
87.
Chen, Qi
Goldstein, Itay
Huang, Zeqiong
and
Vashishtha, Rahul
2018.
Bank Transparency and Deposit Flows.
SSRN Electronic Journal ,
Macchiavelli, Marco
2019.
Access to Safe Assets and Financial Stability.
SSRN Electronic Journal ,
He, Ai
2019.
Reciprocity in Shadow Bank Lending: Evidence from the Cross-Holding Relation in Money Market Funds.
SSRN Electronic Journal,
Allen, Kyle D.
and
Winters, Drew B.
2020.
Crisis regulations: The unexpected consequences of floating NAV for money market funds.
Journal of Banking & Finance,
Vol. 117,
Issue. ,
p.
105851.
Unal, Haluk
and
Jacewitz, Stefan
2020.
Shadow Insurance? Money Market Fund Investors and Bank Sponsorship.
SSRN Electronic Journal ,
Linardi, Fernando M.
2020.
Investors’ behavior and mutual fund portfolio allocations in Brazil during the global financial crisis.
Latin American Journal of Central Banking,
Vol. 1,
Issue. 1-4,
p.
100007.
Gallagher, Emily A
Schmidt, Lawrence D W
Timmermann, Allan
Wermers, Russ
and
Goldstein, Itay
2020.
Investor Information Acquisition and Money Market Fund Risk Rebalancing during the 2011–2012 Eurozone Crisis*.
The Review of Financial Studies,
Vol. 33,
Issue. 4,
p.
1445.