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  • Search: subject:"Bank default"
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Year of publication
Subject
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bank default 40 Credit risk 20 banking 20 banking system 19 deposit insurance 16 bank capital 14 Banking crisis 13 bank assets 13 bank lending 13 banking sector 13 probability of default 13 Bank risk 12 Bankrisiko 12 bank failures 12 Kreditrisiko 11 Economic models 10 bank balance sheets 10 bank credit 10 bank risk 10 banking crises 10 banking supervision 10 Financial stability 9 bank for international settlements 9 bank funding 9 bank loans 9 banking systems 9 capital adequacy 9 Bankenkrise 8 bank deposits 8 Bank default 7 Banking sector 7 Banks 7 Basel Accord 7 Basler Akkord 7 Financial crisis 7 Financial risk 7 Finanzkrise 7 bank defaults 7 bank equity 7 bank failure 7
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Online availability
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Free 55
Type of publication
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Book / Working Paper 49 Article 6
Type of publication (narrower categories)
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Working Paper 15 Arbeitspapier 9 Graue Literatur 8 Non-commercial literature 8 Article in journal 3 Aufsatz in Zeitschrift 3 Article 1 Aufsatzsammlung 1 Conference Paper 1 Konferenzschrift 1
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Language
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English 35 Undetermined 20
Author
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Anand, Kartik 3 Eichler, Stefan 3 Heinemann, Frank 3 Karmann, Alexander 3 Maltritz, Dominik 3 Mendicino, Caterina 3 Nicoló, Gianni De 3 Nikolov, Kalin 3 Rubio-Ramírez, Juan Francisco 3 Schumacher, Ingmar 3 Supera, Dominik 3 Suárez, Javier 3 Chan-Lau, Jorge A. 2 Gasparini, Tommaso 2 Gersbach, Hans 2 Giordana, Gastón Andrés 2 Haller, Hans 2 König, Philipp 2 Lewis, Vivien 2 Moyen, Stéphane 2 Soenen, Nicolas 2 Tamirisa, Natalia T. 2 Vander Vennet, Rudi 2 Villa, Stefania 2 Witte, Niklas 2 Zelzner, Sebastian 2 Agur, Itai 1 Ali, Shoaib 1 Barnhill, Theodore M. 1 Basurto, Miguel A. Segoviano 1 Beernaert, Tom 1 Billio, Monica 1 Bologna, Pierluigi 1 Boyd, John H. 1 Chen, Qianying 1 Cihák, Martin 1 Deev, Oleg 1 Demertzis, Maria 1 Gamba, Andrea 1 Giordana, Gaston 1
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Institution
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International Monetary Fund (IMF) 25 International Monetary Fund 8 Central Bank of Luxembourg 1 Deutsche Bundesbank 1 Gaidar Institute for Economic Policy 1 School of Business and Economics, Loughborough University 1 Sonderforschungsbereich 649: Ökonomisches Risiko, Wirtschaftswissenschaftliche Fakultät 1 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 1
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Published in...
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IMF Working Papers 19 IMF Staff Country Reports 6 ECB Working Paper 2 Working paper series / European Central Bank 2 Working paper series / Universiteit Gent, Faculteit Economie en Bedrijfskunde 2 Applied Econometrics 1 Applied Economics and Finance 1 BCL working papers 1 Beiträge zur Jahrestagung des Vereins für Socialpolitik 2010: Ökonomie der Familie - Session: Modeling Financial Market Risk 1 CASMEF working paper series : working paper 1 CEMFI working paper 1 CFS Working Paper Series 1 CFS working paper series 1 Deutsche Bundesbank Discussion Paper 1 Discussion Paper Series / School of Business and Economics, Loughborough University 1 Discussion Paper Series 2 1 Discussion Paper Series 2: Banking and Financial Studies 1 Discussion paper 1 Innovation in business, economics & finance 1 Journal of Risk and Financial Management 1 Journal of risk and financial management : JRFM 1 MPRA Paper 1 Research in international business and finance 1 SFB 649 Discussion Paper 1 SFB 649 Discussion Papers 1 Visnyk Nacionalʹnoho Banku Ukrai͏̈ny 1 Working Papers / Gaidar Institute for Economic Policy 1 Working papers / European Bank for Reconstruction and Development 1
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Source
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RePEc 33 ECONIS (ZBW) 14 EconStor 8
Showing 1 - 10 of 55
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Capital requirements in Pillar 1 or Pillar 2: Does it matter for market discipline?
Witte, Niklas - 2024
The results of this paper provide empirical evidence that regulatory capital ratios drive bank Credit Default Swaps (CDS) and that markets react more to changes in capital requirements if implemented via direct adjustments to Pillar 1 risk weights than imposed as a percentage of Risk-Weighted...
Persistent link: https://www.econbiz.de/10015199475
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Risky firms and fragile banks: Implications for macroprudential policy
Gasparini, Tommaso; Lewis, Vivien; Moyen, Stéphane; … - 2024
Increases in firm default risk raise the default probability of banks while decreasing output and inflation in US data. To rationalize the empirical evidence, we analyse firm risk shocks in a New Keynesian model where entrepreneurs and banks engage in a loan contract and both are subject to...
Persistent link: https://www.econbiz.de/10014502597
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Cover Image
Capital requirements in Pillar 1 or Pillar 2 : does it matter for market discipline?
Witte, Niklas - 2024
The results of this paper provide empirical evidence that regulatory capital ratios drive bank Credit Default Swaps (CDS) and that markets react more to changes in capital requirements if implemented via direct adjustments to Pillar 1 risk weights than imposed as a percentage of Risk-Weighted...
Persistent link: https://www.econbiz.de/10015177026
Saved in:
Cover Image
Risky firms and fragile banks : implications for macroprudential policy
Gasparini, Tommaso; Lewis, Vivien; Moyen, Stéphane; … - 2024
Increases in firm default risk raise the default probability of banks while decreasing output and inflation in US data. To rationalize the empirical evidence, we analyse firm risk shocks in a New Keynesian model where entrepreneurs and banks engage in a loan contract and both are subject to...
Persistent link: https://www.econbiz.de/10014501102
Saved in:
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Reputational contagion from the Silicon Valley Bank debacle
Ali, Shoaib; Naveed, Muhammad; Gubareva, Mariya; Vo … - In: Research in international business and finance 69 (2024), pp. 1-13
Persistent link: https://www.econbiz.de/10015052811
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Enough liquidity with enough capital - And vice versa?
Gersbach, Hans; Haller, Hans; Zelzner, Sebastian - 2023
default coexist, and bank default is a self-fulfilling prophecy. Capital and liquidity regulation can prevent bank default and … return prospects on the long-term investment turn out to be bad. For moderate return risk, equilibria with and without bank …
Persistent link: https://www.econbiz.de/10014376029
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Cover Image
Enough liquidity with enough capital - and vice versa?
Gersbach, Hans; Haller, Hans; Zelzner, Sebastian - 2023
default coexist, and bank default is a self-fulfilling prophecy. Capital and liquidity regulation can prevent bank default and … return prospects on the long-term investment turn out to be bad. For moderate return risk, equilibria with and without bank …
Persistent link: https://www.econbiz.de/10014366762
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ECB monetary policy and the term structure of bank default risk
Beernaert, Tom; Soenen, Nicolas; Vander Vennet, Rudi - 2022
Persistent link: https://www.econbiz.de/10013410876
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Determinants of European Banks' default risk
Soenen, Nicolas; Vander Vennet, Rudi - 2021
Persistent link: https://www.econbiz.de/10013166948
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Twin default crises
Mendicino, Caterina; Nikolov, Kalin; Rubio-Ramírez, … - 2020
We study the interaction between borrowers' and banks' solvency in a quantitative macroeconomic model with financial frictions in which bank assets are a portfolio of defaultable loans. We show that ex-ante imperfect diversification of bank lending generates bank asset returns with limited...
Persistent link: https://www.econbiz.de/10012422076
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