Sledovat
Dilyara Salakhova
Dilyara Salakhova
Banque de France
E-mailová adresa ověřena na: u-paris10.fr
Název
Citace
Citace
Rok
The missing links: A global study on uncovering financial network structures from partial data
K Anand, I Van Lelyveld, Á Banai, S Friedrich, R Garratt, G Hałaj, J Fique, ...
Journal of Financial Stability 35, 107-119, 2018
1502018
Pricing of green bonds: drivers and dynamics of the greenium
A Pietsch, D Salakhova
ECB Working Paper, 2022
332022
Cross-border interbank contagion in the european banking sector
S Gabrieli, D Salakhova, G Vuillemey
Banque de France Working Paper, 2015
30*2015
Domino effects when banks hoard liquidity: The French network
V Fourel, JC Heam, D Salakhova, S Tavolaro
Banque de France Working Paper, 2013
272013
Climate-related risks to financial stability
S Alogoskoufis, S Carbone, W Coussens, S Fahr, M Giuzio, F Kuik, ...
Financial stability review 1, 2021
252021
Shock amplification in an interconnected financial system of banks and investment funds
M Sydow, A Schilte, G Covi, M Deipenbrock, L Del Vecchio, P Fiedor, ...
Journal of Financial Stability, 101234, 2024
182024
The role of speculation during the recent increase in EU emissions allowance prices
M Ampudia, G Bua, D Kapp, D Salakhova
Economic Bulletin Boxes 3, 2022
132022
Do mutual fund flows affect the French corporate bond market?
V Coudert, D Salakhova
Economic Modelling 87, 496-510, 2020
102020
The performance and resilience of green finance instruments: ESG funds and green bonds
M Belloni, M Giuzio, S Kördel, P Radulova, D Salakhova, F Wicknig
ECB Financial Stability Review, 2020
72020
Secured and unsecured interbank markets: Monetary policy, substitution and the cost of collateral
T Piquard, D Salakhova
Banque de France Working Paper September 2019, WP, 2019
72019
Are ethical and green investment funds more resilient?
LD Capotă, M Giuzio, S Kapadia, D Salakhova
ECB Working Paper, 2022
62022
Climate-related risks to financial stability
T Emambakhsh, M Giuzio, L Mingarelli, D Salakhova, M Spaggiari
Financial Stability Review 1, 2022
62022
Exposures through common portfolio and contagion via bilateral cross holdings among funds, banks and insurance companies
E Chrétien, P Darpeix, S Gallet, L Grillet-Aubert, G Lalanne, A Malessan, ...
Haut Conseil de Stabilitè Financière Working Papers, 2020
52020
Substitution between secured and unsecured interbank markets, counterparty risk and the opportunity cost of collateral
T Piquard, D Salakhova
Banque De France-Working Paper Series, 2019
52019
Derivative margin calls: a new driver of MMF flows
M Ghio, L Rousova, D Salakhova, MGV Bauer
International Monetary Fund, 2023
42023
Systemic risk in the french banking system: A network analysis
V Fourel, JC Heam, D Salakhova, S Tavolaro
mimeo, 2013
42013
Financing the low-carbon transition in Europe
O Carradori, M Giuzio, S Kapadia, D Salakhova, K Vozian
Available at SSRN 4510461, 2023
22023
Les interconnexions entre le secteur de la gestion d’actif français et le reste du système financier français
K Benhami, C Le Moign, D Salakhova, A Vinel
Haut Conseil de la stabilité financière, juin, 2018
22018
Interconnectedness and contagion risk in the European banking sector
S Gabrieli, D Salakhova, G Vuillemey
Rue de la Banque, 2015
22015
Do market-based networks reflect true exposures between banks?
BR Craig, M Karamysheva, D Salakhova
ECB Working Paper, 2023
12023
Systém momentálně nemůže danou operaci provést. Zkuste to znovu později.
Články 1–20