1. | Ardagna, S., Caselli, F. (2014). The Political Economy of the Greek Dept Crisis: A Tale of Two Bailouts. American Economic Journal: Macroeconomics, 6 (4), 291–323. |
2. | Bartram, S.M., Bodnar, G. (2009). No Place to Hide: The Global Crisis in Equity Markets in 2008/2009. Journal of International Money and Finance, 28 (8), 1246–1292. |
3. | Brunnermeier, M.K. (2009). Deciphering the Liquidity and Credit Crunch 2007–2008. Journal of Economic Perspectives, 23 (1), 77–100. |
4. | Bry, G., Boschan, C. (1971). Cyclical Analysis of Time Series: Selected Procedures and Computer Programs. New York: NBER. |
5. | Calomiris, C.W., Love, I., Martinez Peria, M.S. (2012). Stock Returns’ Sensitivities to Crisis Shocks: Evidence from Developed and Emerging Markets. Journal of International Money and Finance, 31 (4), 743–765. |
6. | Chudik, A., Fratzscher, M. (2011). Identifying the Global Transmission of the 2007–2009 Financial Crisis in a GVAR Model. European Economic Review, 55, 325–339. |
7. | Claessens, S., Dell’Ariccia, G., Igan, D., Laeven, L. (2010). Cross-Country Experience and Policy Implications From the Global Financial Crisis. Economic Policy, 62, 267–293. |
8. | De Grauwe, P. (2012). A Fragile Eurozone in Search of Better Govenance. The Economic and Social Review, 43 (1), 1–30. |
9. | Doornik, J.A., Hansen, H. (2008). An Omnibus Test for Univariate and Multivariate Normality. Oxford Bulletin of Economics and Statistics, 70. Suppl. 1, 927–939. |
10. | Eichengreen, B. (2010). The Breakup of the Euro Area. W: A. Alesina, F. Giavazzi, F. (red.), Europe and the Euro (s. 11–56). University of Chicago Press, NBER. |
11. | Fabozzi, F.J., Francis, J.C. (1977). Stability Tests for Alphas and Betas over Bull and Bear Market Conditions. Journal of Finance, 32 (4), 1093–1099. |
12. | Gajewski, P. (2013). Kryzys w strefie euro. Przyczyny, przebieg i perspektywy rozwoju. Warszawa: Narodowy Bank Polski. |
13. | Gibson, H.D., Hall, S.G., Tavlas, G.S. (2014). Fundamentally Wrong: Market Pricing of Sovereigns and the Greek Financial Crisis. Journal of Macroeconomics, 39, 405–419. |
14. | Gibson, H.D., Pavilos, T., Tavlas, G.S. (2014). The Crisis in the Euro Area: An Analytic Overview. Journal of Macroeconomics, 39, 233–239. |
15. | Katsimi, M., Moutos, T. (2010). EMU and the Greek Crisis: The Political-Economy Perspective. European Journal of Political Economy, 26, 568–576. |
16. | Konopczak, M., Sieradzki, R., Wiernicki M. (2010). Kryzys na światowych rynkach finansowych – wpływ na rynek finansowy w polsce oraz implikacje dla sektora realnego. Bank i Kredyt, 41 (6), 45–70. |
17. | Lane, P.R. (2012). The European Sovereign Dept Crisis. Journal of Economic Perspectives, 26 (3), 49–68. |
18. | Majewska, E., Olbrys, J. (2017). Formal Identification of Crises on the Euro Area Stock Markets, 2004–2015. Advances in Applied Economic Research – Proceedings of the 2016 International Conference on Applied Economics (ICOAE2016) Springer Proceedings in Business and Economics (w druku). |
19. | Merler, S., Pisani-Ferry, J. (2012). Sudden Stops in the Euro Area. Breugel Policy Contribution, 06, March, 1–16. |
20. | Mink, M., de Haan, J. (2013). Conagion during the Greek Sovereign Debt Crisis. Journal of International Money and Finance, 34, 102–113. |
21. | Mishkin, F.S. (2011). Over the Cliff: From the Subprime to the Global Financial Crisis. Journal of Economic Perspectives, 25 (1), 49–70. |
22. | Moro, B. (2014). Lessons from the European Economic and Financial Great Crisis: A Survey. European Journal of Political Economy, 34, S9–S24. |
23. | Olbryś, J., Majewska, E. (2014). Identyfikacja okresu kryzysu z wykorzystaniem procedury diagnozowania stanów rynku. Zeszyty Naukowe Uniwersytetu Szczecińskiego, 802. Finanse, Rynki Finansowe, Ubezpieczenia, 65, 699–710. |
24. | O’Rourke, K.H., Taylor, A.M. (2013). Cross of Euros. Journal of Economic Perspectives, 27 (3), 167–192. |
25. | Pagan, A.R., Sossounov, K.A. (2003). A Simple Framework for Analysing Bull and Bear Markets. Journal of Applied Econometrics, 18 (1), 23–46. |
26. | Pisani-Ferry, J., Sapir, A. (2010). Banking Crisis Management in the EU: An Early Assessment. Economic Policy, 62, 341–373. |
27. | Provopoulos, G.A. (2014). The Greek Economy and Banking System: Recent Developments and the Way Forward. Journal of Macroeconomics, 39, 240–249. |
28. | Shambaugh, J.C. (2012). The Euro’s Three Crises. Brookings Papers on Economic Activity, 44 (1), 157–231. |