Stress testing and financial instability
Year of publication: |
March 2014
|
---|---|
Authors: | Ionescu, Cristian |
Published in: |
Economics, management and financial markets. - New York, NY : Addleton Acad. Publ., ZDB-ID 2270776-1. - Vol. 9.2014, 1, p. 466-474
|
Subject: | financial instability | stress testing | micro-prudential principles | macroprudential principles | financial institutions | risks | Finanzkrise | Financial crisis | Theorie | Theory | Risikomanagement | Risk management | Bankenkrise | Banking crisis | Bankrisiko | Bank risk | Bankenaufsicht | Banking supervision | Stresstest | Stress test |
-
Reverse stress testing : scenario design for macroprudential stress tests
Baes, Michel, (2023)
-
Ding, Xiaodan, (2022)
-
Models of financial stability and their application in stress tests
Aymanns, Christoph, (2017)
- More ...
-
Financial stability between liberalization and regulation
IONESCU, Cristian, (2013)
-
Post-crisis Economy of the European Union in the Global Context
IONESCU, Cristian, (2012)
-
The Herd Behavior and the Financial Instability
Ionescu, Cristian, (2012)
- More ...