Access Statistics for Kalin Ognianov Nikolov

Author contact details at EconPapers.

Working Paper File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
A Bayesian approach to optimal monetary policy with parameter and model uncertainty 0 0 3 204 1 5 14 464
A model of borrower reputation as intangible collateral 0 0 0 72 3 4 5 155
A model of borrower reputation as intangible collateral 0 0 1 73 0 0 3 108
Assessing the Impact of Basel III: Evidence from Structural Macroeconomic Models 0 0 0 41 2 4 14 76
Assessing the Impact of Basel III: Evidence from Structural Macroeconomic Models 0 0 0 29 2 2 4 83
Assessing the Impact of Basel III: Evidence from Structural Macroeconomic Models 0 0 0 0 1 5 8 12
Assessing the Impact of Basel III: Review of Transmission Channels and Insights from Policy Models 0 0 0 0 2 5 12 25
Bank Capital in the Short and in the Long Run 0 0 0 38 0 2 3 117
Bank Capital in the Short and in the Long Run 0 0 0 56 0 3 4 109
Bank capital in the short and in the long run 0 0 2 71 10 16 44 244
Benefits and costs of liquidity regulation 1 2 16 185 9 12 47 437
Bubbles, Banks, and Financial Stability 0 0 0 124 1 1 3 310
Bubbles, Banks, and Financial Stability 0 0 2 264 3 4 8 593
Bubbles, banks and financial stability 0 0 1 5 5 5 10 49
Bubbles, banks and financial stability 0 0 0 109 3 3 4 241
Capital Regulation in a Macroeconomic Model with Three Layers of Default 0 0 1 29 0 1 7 232
Capital Regulation in a Macroeconomic Model with Three Layers of Default 0 0 0 27 2 2 4 214
Capital Regulation in a Macroeconomic Model with Three Layers of Default 0 0 0 132 2 4 5 502
Capital Regulation in a Macroeconomic Model with Three Layers of Default 0 0 0 37 0 1 3 196
Capital regulation in a macroeconomic model with three layers of default 0 0 1 71 4 5 11 310
Collateral amplification under complete markets 0 0 0 15 3 3 6 65
Equity versus Bail-in Debt in Banking: An Agency Perspective 0 0 0 16 1 2 2 52
Equity versus Bail-in Debt in Banking: An Agency Perspective 0 0 0 55 1 1 4 140
Equity versus bail-in debt in banking: an agency perspective 0 0 0 27 4 4 5 72
Financial Disintermediation and Financial Fragility 0 0 1 79 0 1 8 285
Financial frictions and the monetary transmission mechanism: theory, evidence and policy implications 0 0 3 586 2 3 14 1,439
From Shirtsleeves to Shirtsleeves in a Long Lifetime 0 0 0 13 3 4 7 86
Government Debt and Banking Fragility: The Spreading of Strategic Uncertainty 0 0 1 108 4 5 10 304
Government debt and banking fragility: the spreading of strategic uncertainty 0 0 4 36 0 0 7 137
Household Portfolios in a Secular Stagnation World: Evidence from Japan 1 1 2 69 4 5 9 183
Housing, Distribution and Welfare 0 0 0 26 0 1 2 29
Is Private Leverage Excessive? 0 0 0 114 3 3 3 259
Macroprudential policy measures: macroeconomic impact and interaction with monetary policy 0 0 3 171 5 8 23 361
Monetary Policy and Stagflation in the UK 0 0 1 222 1 1 2 941
Monetary policy and stagflation in the UK 0 0 0 686 0 1 4 2,316
Monetary policy, bank leverage and systemic risk-taking 3 33 33 33 2 10 10 10
Optimal Dynamic Capital Requirements 0 1 5 93 0 2 7 183
Optimal Dynamic Capital Requirements 0 0 2 135 1 2 10 288
Report on monetary policy tools, strategy and communication 6 12 52 52 32 75 231 231
Rule-Based Monetary Policy Under Central Banking Learning 0 0 0 95 2 3 3 380
Rule-based monetary policy under central bank learning 0 0 0 272 1 1 3 947
Safe Asset Shortages and Asset Price Bubbles 0 0 0 39 2 2 6 118
Safe Asset Shortages and Asset Price Bubbles 0 0 1 35 0 1 5 92
Safe Asset Shortages and Asset Price Bubbles 0 0 0 65 2 2 7 176
Self-confirming Inflation Persistence 0 0 1 64 0 0 2 209
The ECB’s price stability framework: past experience, and current and future challenges 0 0 3 61 7 13 42 216
The role of financial stability considerations in monetary policy and the interaction with macroprudential policy in the euro area 0 2 8 83 2 10 30 771
Twin Default Crises 0 0 1 12 1 2 6 36
Twin Default Crises 0 0 2 62 2 3 7 112
Twin Defaults and Bank Capital Requirements 0 0 1 26 3 4 14 68
Twin defaults and bank capital requirements 0 0 2 51 1 8 24 125
UK Inflation in the 1970s and 1980s: The Role of Output Gap Mismeasurement 0 1 1 186 1 2 5 982
UK inflation in the 1970s and 1980s: the role of output gap mismeasurement 0 0 0 791 4 9 15 5,753
Winners and Losers in House Markets 0 0 0 130 1 2 7 344
Winners and Losers in Housing Markets 0 0 0 22 1 2 5 110
Winners and Losers in Housing Markets 0 0 0 344 2 2 4 874
Total Working Papers 11 52 154 6,441 148 281 762 23,171
2 registered items for which data could not be found


Journal Article File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
A Bayesian approach to optimal monetary policy with parameter and model uncertainty 1 2 4 121 1 6 15 438
Assessing the Impact of Basel III: Review of Transmission Channels and Insights from Policy Models 1 1 4 8 6 14 38 56
Bank capital in the short and in the long run 0 3 8 64 2 7 27 213
Bubbles, banks and financial stability 0 0 2 35 3 4 8 347
Bubbles, banks and financial stability 0 0 1 144 1 1 12 432
Capital Regulation in a Macroeconomic Model with Three Layers of Default 2 7 16 280 12 29 77 941
Capital requirements in a model for the SSM area with three layers of default 0 0 0 9 0 0 1 54
Collateral amplification under complete markets 0 0 0 41 1 1 5 126
Financial instability in macroeconomics: a set of new structural models 0 0 0 20 1 1 2 49
GOVERNMENT DEBT AND BANKING FRAGILITY: THE SPREADING OF STRATEGIC UNCERTAINTY 0 0 1 20 1 1 7 95
Housing, Distribution, and Welfare 0 1 3 7 2 3 11 21
How much capital should banks hold? 0 0 1 20 2 3 5 52
Macroprudential capital tools: assessing their rationale and effectiveness 0 0 0 94 1 1 2 243
Monetary Policy and Stagflation in the UK 0 0 0 1 3 4 13 645
Optimal Dynamic Capital Requirements 0 0 11 98 4 15 50 346
Rule-Based Monetary Policy under Central Bank Learning [with Comments] 0 0 0 0 0 0 0 2
Safe asset shortages and asset price bubbles 0 0 0 40 6 6 14 183
The Impact of Capital Requirements on the Macroeconomy: Lessons from Four Macroeconomic Models of the Euro Area 0 0 4 9 3 5 15 31
The sovereign-bank nexus 0 1 1 87 0 1 3 428
UK inflation in the 1970s and 1980s: the role of output gap mismeasurement 0 0 0 187 8 21 33 959
Winners and Losers in Housing Markets 0 0 4 21 1 1 12 53
Winners and Losers in Housing Markets 0 0 0 0 4 5 8 383
Total Journal Articles 4 15 60 1,306 62 129 358 6,097
1 registered items for which data could not be found


Chapter File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
Capital Regulation: Lessons from a Macroeconomic Model 0 1 2 34 1 2 4 86
Rule-Based Monetary Policy under Central Bank Learning 0 0 1 42 2 4 8 235
Total Chapters 0 1 3 76 3 6 12 321


Statistics updated 2025-12-06