Vladimir Kotomin
Illinois State University
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Publication
Featured researches published by Vladimir Kotomin.
The Financial Review | 2011
Mark D. Griffiths; Vladimir Kotomin; Drew B. Winters
The two main explanations for the crisis in the commercial paper (CP) market are credit concerns and liquidity issues. The CP market is not homogeneous in terms of credit quality, maturities and types of issues. We find that lower credit-quality CP suffered more during the crisis. Additionally, we find little evidence that Federal Reserve (Fed) liquidity facilities reduced the impact of the crisis, but that when the Fed became a lender in the CP market, the crisis pressures were dramatically reduced. We conclude that the crisis in the money markets is related more to increases in credit risk. Liquidity is a secondary issue.
Journal of Banking and Finance | 2008
Vladimir Kotomin; Stanley D. Smith; Drew B. Winters
Journal of Financial Services Research | 2006
Vladimir Kotomin; Drew B. Winters
Journal of Economics and Business | 2007
Vladimir Kotomin; Drew B. Winters
The Quarterly Review of Economics and Finance | 2011
Vladimir Kotomin
Journal of Banking and Finance | 2013
Ozgur (Ozzy) Akay; Mark D. Griffiths; Vladimir Kotomin; Drew B. Winters
Journal of International Financial Markets, Institutions and Money | 2009
Mark D. Griffiths; Vladimir Kotomin; Drew B. Winters
Archive | 2011
Yaman O. Erzurumlu; Vladimir Kotomin
Journal of Economics and Finance | 2014
Vladimir Kotomin; Stanley D. Smith; Drew B. Winters
Journal of Financial Research | 2013
Vladimir Kotomin