نتایج جستجو برای: Systemic Banking Crisis, Crisis Management Policy

تعداد نتایج: 1312427  

Often, systemic banking crises initiate from one or more banks and affect countries by rapid spreading in the banking network, financial markets and economy of countries. According to Reinhart & Rogoff (2009) in the book titled "This time is Different," financial crises are pointed as an equal opportunity menace for high-income countries and emerging markets. Although The International Mo...

2009
Keiichiro Kobayashi

We propose a new model for policy analysis of banking crises (or systemic bank runs) based on the monetary framework developed by Lagos and Wright (2005). If banks cannot enforce loan repayment and have to secure loans by collateral, a banking crisis due to coordination failure among depositors can occur in response to a sunspot shock, and the banks become insolvent as a result of the bank runs...

پایان نامه :دانشگاه تربیت معلم - تهران - دانشکده ادبیات و علوم انسانی 1391

abstract global financial crisis has created too many problems in relations among governments. among these problems, the issue of global monetary management, more than every time in the past four decades, has been moved in the center of international economic attentions. a problem which is specially known with the monetary hostility between united states and public republic of china. where ar...

Since the Industrial Revolution, capitalism has undergone numerous financial, economic and banking crises. Financial, economic, and banking crises are fundamentally apprehensive and there is a need to review, analyze and develop appropriate policies for prevention and management of crises. In this research, in addition to measuring the financial crisis index based on the method proposed by Jing...

ژورنال: اقتصاد مالی 2019

در این پژوهش با بکارگیری الگوی مناسب علائم پیش‌هشداردهنده  وقوع بحران بانکی نظام مند در اقتصاد ایران با استفاده از الگوی زنجیره ای مارکوف شناسایی و طراحی شده است.  متغیرهای الگو عبارتند از نسبت مطالبات غیرقابل‌برگشت، نرخ تورم، نرخ ارز و بدهی‌ بانک‌ها به بانک مرکزی که با توجه به قدرت توضیح‌دهندگی آنها به عنوان شاخص‌های نشاندهنده بحران بانکی متناسب با این نظام مالی شناسایی شده اند. براساس این شاخ...

In recent years, the banking crisis has increased the attention of researchers toward the banking system reform and solutions to it. The banking crisis can be accompanied by a banking run, banking panic, a rise in the Non-performing loan in banking system, fluctuations in cash and non-cash assets, and so on.  On the other hand, the central bank's monetary policy has also played an important rol...

2015
Ricardo Cabral

Prior to the 2007–2008 financial crisis, banking sector profits were very high but the profitability of financial intermediation was poor. Using a novel model of banking, this article argues that the high profits were achieved through balance sheet expansion and growing default, liquidity, and term risk mismatches between assets and liabilities. As a result, large banks’ financial leverage rose...

Journal: Money and Economy 2017

Measuring the dynamic relationship between banking and industries with systemic importance has attracted much attention after the recent financial crisis. This paper examines the dynamic conditional correlations and volatility spillover using three popular multivariate GARCH models in the twelve-year period (from the beginning of 2005 to the beginning of 2016) among the fourteen systemically im...

2010
Ana I. Fernández Francisco González Nuria Suárez

This paper studies the influence of bank market concentration, regulation, and institutions on the real effects of 68 systemic banking crises in 54 countries over the 1980-2000 period. We find that less stringent restrictions on non-traditional bank activities and on the mixing of banking and commerce have a negative effect on economic growth during normal periods but mitigate the negative effe...

The main purpose of this study is to identify the determinants of banking crisis loss, the variables of policy framework especially, for 12 sample countries over the period 1980-2019. Accordingly, we extracted pre-crisis and post-crisis trends from countries' real GDPs and then calculated output loss for the crisis year and three years afterwards. In the following, we used the Poisson quasi-max...

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