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the introduction of negative deposit rates by the European Central Bank in June 2014 and a novel securities register for …
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We analyse the impact of standard and non-standard monetary policy measures on bank profitability. For empirical … identification, the analysis focuses on the euro area, thereby exploiting substantial bank and country heterogeneity within a … monetary union where the central bank has implemented a broad range of unconventional policies, including quantitative easing …
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evolution of bank credit. We use a unique loanlevel dataset comprising multiple credit registers from several European countries … with borrower and bank-level characteristics and with indicators summarising macroprudential and monetary policy actions …. We find that monetary policy easing increases both bank lending and lending to riskier borrowers, especially when there …
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This study examines empirically the information content of the euro area Bank Lending Survey for aggregate credit and … leading indicator for euro area bank credit and real GDP growth. Notwithstanding the short history of the survey, the findings … results are supportive of the existence of a bank lending, balance sheet, and risk-taking channel of monetary policy. They …
Persistent link: https://www.econbiz.de/10003971193
unique Euro area bank lending surveys. Embedding this information within a standard VAR model, we find that: (1) the credit … monetary policy shock on GDP and inflation; (3) for business loans, the impact through the (supply) bank lending channel is … contributed significantly to the reduction in GDP. - Non-financial borrower balance-sheet channel ; Bank lending channel ; Credit …
Persistent link: https://www.econbiz.de/10003993969