Publications: V. Acharya

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  • Affiliation: None
  • Author ID: 2411680472
  • Total Publications: 48

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Title Year Citations Score
A Pyrrhic Victory? - Bank Bailouts and Sovereign Credit Risk
2011
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2011 1090 99.9%
Whatever It Takes: The Real Effects of Unconventional Monetary Policy
The Review of financial studies, 2019
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2019 546 99.8%
A Theory of Systemic Risk and Design of Prudential Bank Regulation
2009
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2009 928 99.8%
A Crisis of Banks as Liquidity Providers: A Crisis of Banks as Liquidity Providers
2015
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2015 448 99.7%
Real Effects of the Sovereign Debt Crisis in Europe: Evidence from Syndicated Loans
2018
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2018 407 99.7%
Rollover Risk and Market Freezes
2010
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2010 559 99.6%
Bankruptcy Codes and Innovation
2009
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2009 533 99.5%
Testing Macroprudential Stress Tests: The Risk of Regulatory Risk Weights
2014
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2014 269 99.2%
Crisis Resolution and Bank Liquidity
2011
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2011 343 99.2%
Precautionary Hoarding of Liquidity and Inter-Bank Markets: Evidence from the Sub-Prime Crisis
2010
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2010 344 99.1%
Banks’ Financial Reporting and Financial System Stability: BANKS’ FINANCIAL REPORTING AND FINANCIAL SYSTEM STABILITY
2016
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2016 225 99.0%
Imperfect Competition in the Interbank Market for Liquidity as aRationale for Central Banking
2009
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2009 302 98.8%
Dividends and Bank Capital in the Financial Crisis of 2007-2009
2011
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2011 260 98.7%
Lending Implications of U.S. Bank Stress Tests: Costs or Benefits?
2018
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2018 157 98.5%
Why Did Bank Stocks Crash During COVID-19?
Social Science Research Network, 2021
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2021 85 97.8%
Is the International Convergence of Capital Adequacy Regulation Desirable
2003
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2003 232 97.2%
Regulating Wall Street: The Dodd-Frank Act and the New Architecture of Global Finance
2010
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2010 168 97.2%
Federal Reserve Bank of New York Staff Reports a Model of Liquidity Hoarding and Term Premia in Inter-bank Markets a Model of Liquidity Hoarding and Term Premia in Inter-bank Markets
2011
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2011 140 96.6%
Credit Lines as Monitored Liquidity Insurance: Theory and Evidence
2012
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2012 126 96.5%
Federal Reserve Bank of New York Staff Reports Caught between Scylla and Charybdis ? Regulating Bank Leverage When There Is Rent Seeking and Risk Shifting Viral
2010
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2010 134 96.0%
Corporate Bond Valuation and Hedging with Stochastic Interest Rates and Endogenous Bankruptcy
2001
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2001 149 94.6%
Systemic Risk and Deposit Insurance Premiums
2009
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2009 111 94.5%
Falling Short of Expectations? Stress-Testing the European Banking System
2014
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2014 77 93.8%
Sovereign debt , government myopia , and the financial sector 1 Viral
2011
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2011 92 93.8%
Does the lack of financial stability impair the transmission of monetary policy?
Journal of Financial Economics, 2015
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2015 69 93.2%
Online Appendix for: 'On Reaching for Yield and the Coexistence of Bubbles and Negative Bubbles'
2016
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2016 63 92.9%
A Crisis of Banks as Liquidity Providers
2013
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2013 65 91.6%
Are Banks Passive Liquidity Backstops? Deposit Rates and Flows During the 2007-2009 Crisis
2012
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2012 61 90.3%
How Do Global Banks Scramble for Liquidity? Evidence from the Asset-Backed Commercial Paper Freeze of 2007
2012
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2012 59 89.8%
Analyzing Systemic Risk of the European Banking Sector
2012
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2012 59 89.8%
A Proposal for the Resolution of Systemically Important Assets and Liabilities: The Case of the Repo Market
2012
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2012 59 89.8%
A Tale of Two Overhangs: The Nexus of Financial Sector and Sovereign Credit Risks
2012
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2012 50 87.7%
What Saved the Indian Banking System: State Ownership or State Guarantees?
2012
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2012 48 87.1%
Foreign Currency Borrowing of Corporations as Carry Trades: Evidence from India
Social Science Research Network, 2020
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2020 31 86.5%
Federal Reserve Bank of New York Staff Reports Robust Capital Regulation
2011
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2011 39 82.9%
Should Banks Be Diversified? Evidence from Individual Bank Loan Portfolios*
2006
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2006 47 82.4%
The Dark Side of Liquidity Creation: Leverage and Systemic Risk
2017
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2017 27 80.7%
The Dodd-Frank Act and Basel III: Intentions, Unintended Consequences, and Lessons for Emerging Markets
2012
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2012 31 80.0%
Testing macroprudential stress tests: The risk of regulatory risk weights
2014
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2014 21 74.1%
NBER WORKING PAPER SERIES CAPITAL FLOW MANAGEMENT WITH MULTIPLE INSTRUMENTS
2018
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2018 15 69.5%
Banks' Financial Reporting and Financial System Stability
2016
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2016 9 57.6%
Corporate Bond Valuation and Hedging with Stochastic Interest Rates and Endogenous Bankruptcy
2002
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2002 13 56.3%
Real Effects of the Sovereign Debt Crisis in Europe : Evidence from Syndicated Loans ∗ Viral
2016
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2016 8 55.2%
Government Guarantees and Bank Vulnerability during a Crisis: Evidence from an Emerging Market
Social Science Research Network, 2019
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2019 7 53.1%
When is Debt Odious? A Theory of Repression and Growth Traps
Social Science Research Network, 2020
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2020 5 45.7%
Credit Default Swaps and the Credit Crisis
2009
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2009 5 42.9%
Real Effects of the Sovereign Debt Crisis in Europe : Evidence from Syndicated Loans Viral
2014
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2014 3 35.5%
Bank Lines of Credit as Contingent Liquidity: Covenant Violations and Their Implications
2016
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2016 1 18.5%