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The central bank receives imperfect signals on the state of the economy, with the precision of its signals private information to the central bank.

The effect of consolidation on deposit outflow is stronger in areas with a higher proportion of low-income households.The model also exhibits excess output volatility, and endogenously generates large downside tail events, particularly after long periods of stability.Such central bank `Minsky moments' arise from the decoupling of equilibrium responses to signals from their true informative content.In addition, vendors’ fair values are value-relevant and can account for 90% of the trade-to-trade price variance, thus has put an upper bound on managerial discretion, sometimes to only 15% of the original level.Furthermore, bank managers respond to these newly imposed constraints by alternatively engaging in more spoofing-transaction based fair value manipulations.

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My findings highlight the importance of relationship dynamics in incentive contracting.

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