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Kalin Nikolov
Kalin Nikolov
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Title
Cited by
Cited by
Year
Winners and losers in housing markets
N Kiyotaki, A Michaelides, K Nikolov
Journal of Money, Credit and Banking 43 (2‐3), 255-296, 2011
4322011
The Bank of England quarterly model
R Harrison, K Nikolov, M Quinn, G Ramsay, A Scott, R Thomas
Bank of England, 2005
3322005
Capital regulation in a macroeconomic model with three layers of default
L Clerc, A Derviz, C Mendicino, S Moyen, K Nikolov, L Stracca, J Suarez, ...
Banque de France Working Paper, 2014
2992014
Quantitative easing
J Benford, S Berry, K Nikolov, C Young, M Robson
Bank of England. Quarterly Bulletin 49 (2), 90, 2009
2352009
Financial frictions and the monetary transmission mechanism: theory, evidence and policy implications
C Bean, JDJ Larsen, K Nikolov
ECB working paper, 2002
2002002
UK inflation in the 1970s and 1980s: the role of output gap mismeasurement
E Nelson, K Nikolov
Journal of Economics and Business 55 (4), 353-370, 2003
1662003
Government debt and banking fragility: The spreading of strategic uncertainty
R Cooper, K Nikolov
International Economic Review 59 (4), 1905-1925, 2018
1572018
Bubbles, banks and financial stability
K Aoki, K Nikolov
Journal of Monetary Economics 74, 33-51, 2015
1342015
Optimal dynamic capital requirements
C Mendicino, K Nikolov, J Suarez, D Supera
Journal of Money, Credit and Banking 50 (6), 1271-1297, 2018
1292018
Monetary Policy and Stagflation in the UK
E Nelson, K Nikolov
Journal of Money, Credit and Banking, 293-318, 2004
1002004
Bank capital in the short and in the long run
C Mendicino, K Nikolov, J Suarez, D Supera
Journal of Monetary Economics 115, 64-79, 2020
992020
Monetary Policy and Stagflation in the UK
E Nelson, K Nikolov
Available at SSRN 326200, 2002
582002
A Bayesian approach to optimal monetary policy with parameter and model uncertainty
T Cogley, B De Paoli, C Matthes, K Nikolov, T Yates
Journal of Economic Dynamics and Control 35 (12), 2186-2212, 2011
572011
Benefits and costs of liquidity regulation
M Hoerova, C Mendicino, K Nikolov, G Schepens, S Van den Heuvel
ECB Working Paper, 2018
522018
Safe asset shortages and asset price bubbles
K Aoki, T Nakajima, K Nikolov
Journal of Mathematical Economics 53, 164-174, 2014
452014
Rule-Based Monetary Policy under Central Bank Learning [with Comments]
K Aoki, K Nikolov, F Canova, VV Chari
NBER International Seminar on Macroeconomics 2004 (1), 145-195, 2004
412004
Macroprudential policy measures: macroeconomic impact and interaction with monetary policy
G Cozzi, M Darracq Paries, P Karadi, J Körner, C Kok Sørensen, ...
ECB Working Paper, 2020
372020
Twin defaults and bank capital requirements
C Mendicino, K Nikolov, JF Rubio-Ramírez, J Suarez, D Supera
Available at SSRN 3536486, 2019
282019
Equity versus bail-in debt in banking: An agency perspective
C Mendicino, K Nikolov, J Suarez
CEPR Discussion Paper No. DP12104, 2017
262017
Monetary policy rules at the Bank of England
K Nikolov
workshop on The Role of Policy Rates in the Conduct of Monetary Policy …, 2002
162002
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Articles 1–20