Systemic Banking Crises Database
The paper presents a comprehensive database on systemic banking crises during 1970–2011. It proposes a methodology to date banking crises based on policy indices, and examines the robustness of this approach. The paper also presents information on the costs and policy responses associated with banking crises. The database on banking crises episodes is further complemented with dates for sovereign debt and currency crises during the same period. The paper contrasts output losses across different crises and finds that sovereign debt crises tend to be more costly than banking crises, and these in turn tend to be more costly than currency crises. The data also point to significant differences in policy responses between advanced and emerging economies.
Year of publication: |
2013
|
---|---|
Authors: | Laeven, Luc ; Valencia, Fabián |
Published in: |
IMF Economic Review. - Palgrave Macmillan, ISSN 2041-4161. - Vol. 61.2013, 2, p. 225-270
|
Publisher: |
Palgrave Macmillan |
Saved in:
Saved in favorites
Similar items by person
-
Understanding Financial Crises: Causes, Consequences, and Policy Responses
Claessens, Stijn, (2013)
-
Understanding Financial Crises: Causes, Consequences, and Policy Responses
Claessens, Stijn, (2013)
-
The Real Effects of Financial Sector Interventions during Crises
LAEVEN, LUC, (2013)
- More ...