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Year of publication
Subject
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Financial crisis 48,094 Finanzkrise 47,604 Welt 12,107 World 12,071 USA 9,377 United States 9,292 Wirtschaftskrise 7,855 Economic crisis 7,637 Theorie 7,264 Theory 7,249 Geldpolitik 5,244 Monetary policy 5,198 financial crisis 4,660 Internationaler Finanzmarkt 4,599 International financial market 4,583 Bankenkrise 4,241 Banking crisis 4,186 EU-Staaten 3,993 EU countries 3,969 Finanzmarkt 3,899 Financial market 3,891 Konjunktur 3,149 Business cycle 3,121 Bank 2,995 Bank regulation 2,779 Bankenregulierung 2,775 Finanzmarktregulierung 2,740 Financial market regulation 2,733 Wirkungsanalyse 2,696 Impact assessment 2,675 Eurozone 2,446 Euro area 2,398 Financial sector 2,357 Finanzsektor 2,342 Börsenkurs 2,192 Share price 2,185 Globalisierung 2,053 Globalization 2,010 Regulierung 1,910 Schwellenländer 1,903
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Online availability
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Free 21,321 Undetermined 8,265
Type of publication
All
Book / Working Paper 28,640 Article 24,207 Other 28 Journal 23
Type of publication (narrower categories)
All
Article in journal 17,183 Aufsatz in Zeitschrift 17,183 Graue Literatur 9,989 Non-commercial literature 9,989 Working Paper 9,202 Arbeitspapier 8,617 Aufsatz im Buch 5,053 Book section 5,053 Collection of articles of several authors 2,084 Sammelwerk 2,084 Aufsatzsammlung 736 Konferenzschrift 713 Hochschulschrift 642 Conference proceedings 498 Thesis 433 Amtsdruckschrift 314 Government document 314 Conference paper 258 Konferenzbeitrag 258 Collection of articles written by one author 198 Sammlung 198 Article 188 Kommentar 125 Commentary 122 Case study 96 Fallstudie 96 Bibliografie enthalten 89 Bibliography included 89 Rezension 78 Systematic review 68 Übersichtsarbeit 68 Mehrbändiges Werk 66 Multi-volume publication 66 Glossar enthalten 56 Glossary included 56 Bibliografie 48 Festschrift 42 Lehrbuch 40 Interview 39 Reprint 37
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Language
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English 44,796 Undetermined 3,233 German 3,225 French 499 Spanish 463 Russian 288 Polish 144 Italian 87 Portuguese 80 Czech 25 Ukrainian 20 Swedish 19 Romanian 18 Serbian 18 Slovak 15 Danish 14 Norwegian 14 Bulgarian 13 Dutch 13 Lithuanian 9 Croatian 8 Turkish 7 Finnish 6 Hungarian 5 Slovenian 4 Albanian 4 Chinese 3 Japanese 1 Korean 1 Macedonian 1 Romany 1
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Author
All
Aizenman, Joshua 207 Bordo, Michael D. 149 Acharya, Viral V. 129 Eichengreen, Barry 121 Claessens, Stijn 108 Peydró, José-Luis 105 Allen, Franklin 101 Caballero, Ricardo J. 99 Kose, M. Ayhan 98 Laeven, Luc 97 Taylor, Alan M. 97 Reinhart, Carmen M. 93 Belke, Ansgar 91 Mendoza, Enrique G. 86 Krishnamurthy, Arvind 85 Stulz, René M. 83 Borio, Claudio E. V. 79 Stiglitz, Joseph E. 78 Shin, Hyun Song 76 Wray, L. Randall 73 Schularick, Moritz 69 Adrian, Tobias 67 Arestis, Philip 66 Mishkin, Frederic S. 65 McAleer, Michael 64 Rebucci, Alessandro 64 Goodhart, Charles A. E. 63 Schmukler, Sergio L. 63 Schäfer, Dorothea 62 Fratzscher, Marcel 60 Hein, Eckhard 59 Gambacorta, Leonardo 58 De Grauwe, Paul 56 Demirgüç-Kunt, Asli 56 Gorton, Gary 56 Dungey, Mardi H. 55 Jinjarak, Yothin 55 Carletti, Elena 53 Schnabl, Gunther 53 Lane, Philip R. 52
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Institution
All
National Bureau of Economic Research 797 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 282 International Monetary Fund (IMF) 196 C.E.P.R. Discussion Papers 78 World Bank 62 European Central Bank 54 SUERF - The European Money and Finance Forum 41 OECD 40 Internationaler Währungsfonds 38 Banca d'Italia 37 Edward Elgar Publishing 37 International Monetary Fund 37 East Asian Bureau of Economic Research (EABER) 32 HAL 31 Inter-American Development Bank 30 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 29 Levy Economics Institute 25 eSocialSciences 24 Springer Fachmedien Wiesbaden 23 Asian Development Bank 21 Deutsche Bundesbank 21 Bank for International Settlements (BIS) 20 Economics Department, Organisation de Coopération et de Développement Économiques (OCDE) 20 Institut für Weltwirtschaft (IfW) 20 Oesterreichische Nationalbank 20 Brookings Institution 19 Center for Financial Studies 18 Nomos Verlagsgesellschaft 18 World Bank Group 18 Weltbank 17 CASE-Center for Social and Economic Research 15 CESifo 15 DIW Berlin (Deutsches Institut für Wirtschaftsforschung) 15 Europäische Kommission / Generaldirektion Wirtschaft und Finanzen 15 Reserve Bank of Australia 15 Tilburg University, Center for Economic Research 15 Wiener Institut für Internationale Wirtschaftsvergleiche, wiiw 15 de Nederlandsche Bank 15 Centre for International Economic Studies 14 European Securities and Markets Authority 14
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Published in...
All
NBER working paper series 783 Working paper / National Bureau of Economic Research, Inc. 746 NBER Working Paper 417 Discussion paper / Centre for Economic Policy Research 373 Journal of banking & finance 359 MPRA Paper 279 Journal of international money and finance 254 Journal of financial stability 247 IMF working paper 246 IMF working papers 231 IMF Working Papers 219 Working paper series / European Central Bank 197 CESifo working papers 189 ECB Working Paper 189 Economic modelling 187 IMF Working Paper 167 Journal of international financial markets, institutions & money 155 Policy research working paper : WPS 153 Discussion papers / CEPR 146 SpringerLink / Bücher 145 Applied economics 140 Wirtschaftsdienst : Zeitschrift für Wirtschaftspolitik 132 Applied economics letters 131 International review of financial analysis 131 Working paper 128 Intereconomics : review of European economic policy 127 International review of economics & finance : IREF 119 Journal of financial economics 118 Working papers / The Levy Economics Institute 118 Research in international business and finance 113 Economics letters 108 Staff reports / Federal Reserve Bank of New York 103 The North American journal of economics and finance : a journal of financial economics studies 102 The American economic review 101 World Bank Policy Research Working Paper 100 CESifo Working Paper Series 99 Finance and economics discussion series 99 Journal of economic dynamics & control 99 Finance research letters 95 Emerging markets finance & trade : a journal of the Society for the Study of Emerging Markets 93
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Source
All
ECONIS (ZBW) 47,850 RePEc 3,957 EconStor 833 USB Cologne (EcoSocSci) 156 BASE 56 ArchiDok 41 Other ZBW resources 5
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Showing 1 - 50 of 52,898
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The global dash for cash : why sovereign bond market functioning varied across jurisdictions in March 2020
Barone, Jordan; Chaboud, Alain; Copeland, Adam; … - 2022
As the economic disruptions associated with the COVID-19 pandemic increased in March 2020, there was a global dash-for-cash by investors. This selling pressure occurred across advanced sovereign bond markets and caused a deterioration in market functioning, leading to central bank interventions....
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Interest rate shocks, competition and bank liquidity creation
Kick, Thomas - 2022
We study the effects of interest rate shocks (IRS) on banks’ liquidity creation. A unique supervisory data set from the Deutsche Bundesbank allows identifying banks’ liquidity creation for the real economy and the effects of banking market competition. Here, we employ a novel approach to...
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Economic crisis accelerates urban structural change via inter-sectoral labour mobility
Straulino, Daniel; Diodato, Dario; O'Clery, Neave - 2022
Are recessions drivers of structural change? Here we investigate the resilience of cities, and argue that a re-allocation of labour between industrial sectors in times of crisis induces an acceleration in structural change. Using UK data, we find that cities experienced a sharp increase in...
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The role for deposit insurance funds in dealing with failing banks in the European Union
Arda, Atilla; Dobler, Marc - 2022
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Value-at-risk in the presence of asset price bubbles
Kwong, Raymond; Wong, Helen - In: Journal of applied economics 25 (2022) 1, pp. 361-384
In this study, we respond to the criticism that the value-at-risk (VaR) measure fails during financial crises and is only applicable during periods without asset price bubbles. We propose a new dating mechanism that is based on the work of Phillips (2015) to date-stamp the origination and...
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Political environment and financial crises
Thanh Cong Nguyen; Castro, Vítor; Wood, Justine - In: International journal of finance & economics : IJFE 27 (2022) 1, pp. 417-438
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Comparisons of deposit types and implications of the financial crisis : evidence for U.S. banks
Glass, Anthony; Kenjegaliev, Amangeldi; Kenjegalieva, … - In: International journal of finance & economics : IJFE 27 (2022) 1, pp. 641-664
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How the 2008-2009 financial crisis shaped fair value accounting literature : a bibliometric approach
Sampaio, Carlos; Farinha, Luís M. Carmo; Sebastião, … - In: Administrative Sciences : open access journal 12 (2022) 1, pp. 1-18
This study aims to fulfil a gap in the literature, delivering a road map to understand the course and nature of the fair value accounting literature, further showing how the 2008-2009 financial crisis affected it. Bibliometric methods analyze 377 documents retrieved from the Web of Science and...
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The European banks' role in the financial crisis of 2007-8 : a critical assessment
Lysandrou, Photis - 2022
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Eurozone stock market reaction to monetary policy interventions and other covariates
Petrakis, Nikolaos; Lemonakis, Christos; Floros, Christos; … - In: Journal of risk and financial management : JRFM 15 (2022) 2, pp. 1-19
The joint effect of the global economic and sovereign debt crisis forced the European Central Bank (ECB) to apply conventional and non-standard expansionary monetary policy interventions in order to stabilize eurozone economies. We conducted a panel regression econometric analysis to study the...
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Comparing parametric, semi parametric and non-parametric early warning systems for banking crisis: Indian context
Gupta, Neha; Kumar, Arya - In: Global business & economics review 26 (2022) 2, pp. 111-134
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South African banks' cross-border systemic risk exposure : an application of the gas copula marginal expected shortfall
Manguzvane, Mathias Mandla; Muteba Mwamba, John - In: International Journal of Financial Studies : open … 10 (2022) 1, pp. 1-19
Systemic susceptibility highlights the extent to which a banking sector is sensitive to negative shocks. Policymakers and regulators' objective is to avoid financial crises, and even though they can somewhat control local conditions, internationally transmitted crises are difficult to tackle....
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Log periodic power analysis of critical crashes : evidence from the Portuguese stock market
Gonçalves, Tiago Cruz; Quiñones Borda, Jorge Victor; … - In: Economies : open access journal 10 (2022) 1, pp. 1-19
The study of critical phenomena that originated in the natural sciences has been extended to the financial economics' field, giving researchers new approaches to risk management, forecasting, the study of bubbles and crashes, and many kinds of problems involving complex systems with...
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Foreign institutional investors and the great productivity slowdown
Schain, Jan Philip - 2022
This article analyzes the impact of institutional investors on firm productivity duringthe financial crisis 2008/09 across European manufacturing industries. Using propen-sity score matching combined with a difference in differences estimator I find a positivesignificant effect of 2% of foreign...
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The management of the Eurozone in crisis times : actors, institutions and the case of bailout packages
Goyer, Michel; Glatzer, Miguel; Valdivielso del Real, Rocio - In: European journal of industrial relations 28 (2022) 1, pp. 7-25
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Transaction network structural shift under crisis : macro and micro perspectives
Alamsyah, Andry; Ramadhani, Dian Puteri; Kristanti, … - In: Economies : open access journal 10 (2022) 3, pp. 1-12
In 2008, the Lehman Brothers' bankruptcy, accumulated from the global financial crisis, proved a unique role of the highly interconnected financial entities. Shocks in a bank might trigger loss, induce spillovers, provoke a contagion shock spreading to other entities, trigger the whole banking...
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Secular stagnation : is immigration part of the solution?
Alves, José; Morgado, Sandro - 2022
In our article we review the secular stagnation hypothesis, firstly postulated by Hansen (1939), to describe the current macroeconomic dynamics faced by developed economies. Based in the existing literature, we elaborate on a workable definition of secular stagnation founded on four pillars:...
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House price dynamics, optimal LTV limits and the liquidity trap
Ferrero, Andrea; Harrison, Richard; Nelson, Benjamin F. - 2022
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Determinants and effects of countries' external capital structure : a firm-level analysis
Herman, Uroš; Krahnke, Tobias - 2022
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Firms and inequality
De Loecker, Jan; Obermeier, Tim; Van Reenen, John - 2022
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Bond insurance and public sector employment
Amornsiripanitch, Natee - 2022
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The great margin call : the role of leverage in the 1929 stock market crash
Borowiecki, Karol Jan; Dzielinski, Michal; Tepper, Alexander - 2022
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Financial literacy and mutual fund retail investing : evidence from Korea during the 2008 financial crisis
Chung, Jongwoo; Kim, Booyuel - 2022
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Investors' perception of business group membership during an economic crisis : evidence from the COVID-19 pandemic
Ducret, Romain - 2021 - This version: September 7, 2021
This paper examines how investors perceive business group membership in Korea during the COVID-19 pandemic. Stock price performance analysis reveals evidence of a time-varying and heterogeneous value of affiliation: investors discount business group affiliation during a market collapse, but are...
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Deviations from covered interest parity in the emerging markets after the 2008 global financial crisis
Geyikçi, Utku Bora; Özyıldırım, Süheyla - 2021
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The contagion effect and its mitigation in the modern banking system
Koleśnik, Jan - In: European research studies 24 (2021) 1, pp. 1009-1024
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Economics of the financial crisis : any lessons for the pandemic downturn and beyond?
Elyassi, Hamid - In: Contemporary economics 15 (2021) 1, pp. 100-121
The world economy entered the third decade of this century with uncertainties and challenges of COVID-19 pandemic before it had fully recovered from the lingering aftereffects of the financial crisis. The financial crisis ended a period of overall global economic growth and price stability...
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A leverage-based measure of financial stability
Adrian, Tobias; Borowiecki, Karol Jan; Tepper, Alexander - 2021
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Ups and downs in finance, ups without downs in inequality
Godechot, Olivier; Neumann, Nils; Apascaritei, Paula; … - 2021
The upswing in finance over the past several decades has led to rising inequality, but do downswings in finance lead to a symmetric decline in inequality? In this paper, we analyze the asymmetry of the effect of ups and downs in financial markets, as well as the effect of increased capital...
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Analysis of household debt in South Africa pre- and post-low-quality asset financial crisis
Kereeditse, Michelle Koketso; Mpundu, Mubanga - In: International journal of economics and financial issues … 11 (2021) 5, pp. 114-121
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A thousand words tell more than just numbers : financial crises and historical headlines
Ristolainen, Kim; Roukka, Tomi; Nyberg, Henri - 2021
We show that financial crises are preceded by changes in specific types of narrative information contained in newspaper article titles. Our novel international dataset and the resulting empirical evidence are gathered by integrating information from a large panel of economic news articles in...
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Access to banking and the role of inequality and the financial crisis
Caselli, Mauro; Somekh, Babak - In: The B.E. journal of economic analysis & policy 21 (2021) 4, pp. 1373-1410
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Credit quality and substitution in SME finance
Norden, Lars; Kampen, Stefan van; Illueca, Manuel - In: Journal of financial management, markets and institutions 9 (2021) 1, pp. 2150005-1-2150005-26
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Do bank insiders impede equity issuances?
Götz, Martin; Laeven, Luc; Levine, Ross - 2021
We evaluate the role of insider ownership in shaping banks' equity issuances in response to the global financial crisis. We construct a unique dataset on the ownership structure of U.S. banks and their equity issuances and discover that greater insider ownership leads to less equity issuances....
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External financial dependence and firms' crisis performance across Europe
Eppinger, Peter S.; Neugebauer, Katja - 2021
How do financial market conditions affect real economic performance? Empirical investigations of this question have often relied on measures of external financial dependence (EFD) that are constructed using U.S. data and applied to other countries under the assumption of a stable industry...
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COVID-19 and employment in South Korea: trends and comparison with the 2008 Financial Crisis
Nam, Minhyuk; Lee, Soohyung - 2021
We examine the impact of COVID-19 on employment in South Korea as of June 2020. To estimate the causal effect, we use two complementary methods. First, using individual-level data without residence information, we estimate the effects by controlling for detailed characteristics of individuals....
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Empirical estimation of intraday yield curves on the Italian interbank credit market e-MID
Demertzidis, Anastasios; Jeleskovic, Vahidin - In: Journal of risk and financial management : JRFM 14 (2021) 5, pp. 1-23
This paper introduces a major novelty: the empirical estimation of spot intraday yield curves based on tick-by-tick data on the Italian electronic interbank credit market (e-MID). To analyze the consequences of the recent financial crisis, we split the data into four periods, which include...
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The risk of development of Lithuanian derivatives markets
Garškaitė-Milvydienė, Kristina - In: Journal of business economics and management 22 (2021) 2, pp. 346-368
Derivative financial instruments play a very important role in financial markets, but they are seen as rather contradictory and their impact on financial markets and the stability of these markets has not been comprehensively examined. Therefore, the aim of this article is to systematise the...
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Corporate investment in the global financial crisis
Jucá, Michele Nascimento; Fishlow, Albert - In: Journal of business economics and management 22 (2021) 3, pp. 636-655
This paper exams the impact of high levels of bank debt, leverage, credit obtained from government banks and cash reserves in the long and short terms investments of firms in the main Latin American countries after this crisis. For this purpose, it is applied a difference-in-differences test in...
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All you need is cash : corporate cash holdings and investment after the global financial crisis
Joseph, Andreas; Kneer, Christiane; Horen, Neeltje van - 2021
Cash holdings at the onset of a financial crisis are a key determinant of investment by SMEs not only during the crisis but also during the recovery period. Cash-rich SMEs could maintain their capital stock during the global financial crisis, while cash-poor rivals reduced theirs. This gave...
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The S-curve : understanding the dynamics of worldwide financial liberalization
Li, Nan; Papageorgiou, Chris; Xu, Tong; Zha, Tao - 2021
Using a novel database of domestic financial reforms in 90 countries from 1973 to 2014, we document that global financial liberalization followed an S-curve path: reforms were slow and gradual in early periods, accelerated during the 1990s, and slowed down after 2000. We estimate a learning...
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Volatility spillovers among developed and developing countries : the global foreign exchange markets
Mohammed, Walid Abass - In: Journal of risk and financial management : JRFM 14 (2021) 6, pp. 1-30
In this paper, we investigate the "static and dynamic" return and volatility spillovers’ transmission across developed and developing countries. Quoted against the US dollar, we study twenty-three global currencies over the time period 2005-2016. Focusing on the spillover index methodology,...
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Balance sheets and debt crises : empirical regularities for modern cases of sovereign distress
Huertas Laverde, Gonzalo; Meyer Cirkel, Alexis - 2021
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Momentum has its own values
Chuang, Hongwei - 2021
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COVID-19 and employment in South Korea : trends and comparison with the 2008 financial crisis
Nam, Minhyuk; Lee, Soohyung - In: Seoul journal of economics : SJE 34 (2021) 1, pp. 43-80
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Financial crisis and diversification strategies : the impact on bank risk, and performance
Pham, Khanh Duy; Ngo Minh Vu; Nguyen Huu Huan; Vu Linh … - In: Economics and Business Letters : EBL 10 (2021) 3, pp. 249-261
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Failed attempt to break up the oligopoly in sovereign credit rating market after financial crises
Malewska, Alicja - In: Contemporary economics 15 (2021) 2, pp. 153-163
For decades, the credit rating market has been dominated by three major agencies (Moody's, S&P and Fitch Ratings). Their oligopolistic dominance is especially strong in sovereign credit ratings industry, where they hold a collective global share of more than 99%. Global financial crisis and the...
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Semiparametric estimation of a corporate bond rating model
Jiang, Yixiao - In: Econometrics : open access journal 9 (2021) 2, pp. 1-20
This paper investigates the incentive of credit rating agencies (CRAs) to bias ratings using a semiparametric, ordered-response model. The proposed model explicitly takes conflicts of interest into account and allows the ratings to depend flexibly on risk attributes through a semiparametric...
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Global versus non-global banks : a capital ratios-based analysis
Drakos, Kōnstantinos; Malandrakis, Ioannis - In: Journal of central banking theory and practice 10 (2021) 2, pp. 5-22
This paper examines the Leverage Ratio and Total Capital Ratio of global versus non-global banks in both the pre- and post-crisis periods. A panel data set of 165 global and non-global financial institutions from 38 countries is used for the period 1999-2015 and a random effects model is...
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Early warning FAVAR model for the assessment of the effects of macroprudential policy on risks in the banking sector
Ozsahin, Selcuk - 2021
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