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EFTA00611654
er, and Anton Korinek. 2011. "Managing Credit Booms and Busts: A Pigouvian Taxation Approach." Working Paper, University of Maryland. Kocherlakota, Narayana. 2010. "Taxing Risk and the Optimal Regulation of Financial Institutions." Economic Policy Paper 10-3, Federal Reserve Bank of Minneapolis. Kotliko
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