Does alternative finance moderate bank fragility? : Evidence from the euro area
Year of publication: |
2021
|
---|---|
Authors: | Mamatzakis, Emmanuel C. ; Ongena, Steven ; Tsionas, Efthymios G. |
Published in: |
Journal of international financial markets, institutions & money. - Amsterdam : Elsevier, ISSN 1042-4431, ZDB-ID 1117317-8. - Vol. 72.2021, p. 1-23
|
Subject: | Alternative finance | Bank fragility | Euro-area | Bayesian econometrics | Eurozone | Euro area | EU-Staaten | EU countries | Bank | Bankenkrise | Banking crisis | Bankrisiko | Bank risk | Finanzmarkt | Financial market |
-
Financial Stability in Europe : Banking and Sovereign Risk
Bruha, Jan, (2017)
-
Systemic Risk and Financial Market Contagion : Banks and Sovereign Credit Markets in Eurozone
Bratis, Theodore D., (2015)
-
Stawasz-Grabowska, Ewa, (2020)
- More ...
-
Does risk aversion affect bank output loss? : the case of the Eurozone
Tsionas, Efthymios G., (2020)
-
The response of household debt to COVID-19 using a neural networks VAR in OECD
Mamatzakis, Emmanuel C., (2023)
-
Why do households repay their debt in UK during the COVID-19 crisis?
Mamatzakis, Emmanuel C., (2023)
- More ...