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9
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8
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1
Effectiveness and Channels of Macroprudential Instruments : Lessons from the Euro Area
Tressel, Thierry
;
Zhang, Yuanyan
-
2016
euro area
Bank
Lending Survey to assess the effectiveness of macro-prudential policies in containing credit growth and … house price appreciation in mortgage markets. We find instruments targeting the cost of
bank
capital most effective in …
Persistent link: https://www.econbiz.de/10014408006
Saved in:
2
ECB Euro Liquidity Lines
Albrizio, Silvia
-
2023
Central
bank
liquidity lines have gained momentum since the global financial crisis as a crosscurrency liquidity … markets relative to currencies not covered by these facilities by 51 basis points. Consistent with a stylized model,
bank
…
Persistent link: https://www.econbiz.de/10015059508
Saved in:
3
Systemic Liquidity Management in the U.A.E
Chailloux, Alexandre
-
2009
the measures taken by the Central
Bank
of the U.A.E. to ease liquidity pressures in the second half of 2008. Drawing also …
Persistent link: https://www.econbiz.de/10012677507
Saved in:
4
Modernizing
Bank
Regulation in Support of Financial Deepening; The Case of Uruguay
Wezel, Torsten
;
Mansilla, Mario
;
Adler, Gustavo
-
International Monetary Fund (IMF)
-
2009
resulting in an acceleration of
bank
lending. In particular, regulatory reforms pertaining to loan classification and …
Persistent link: https://www.econbiz.de/10008528653
Saved in:
5
Review and Implementation of Credit Risk Models of the Financial Sector Assessment Program (FSAP).
Avesani, Renzo G
-
2006
Intro -- Contents -- I. INTRODUCTION -- II. THE BASIC MODEL SETTING -- III. MODEL 1: A SIMPLE MODEL WITH NON-RANDOM DEFAULT PROBABILITIES -- IV. INTRODUCING THE POISSON APPROXIMATION -- V. MODEL 2: THE MODEL WITH KNOWN PROBABILITIES REVISITED -- VI. MODEL 3: THE MODEL WITH RANDOM DEFAULT...
Persistent link: https://www.econbiz.de/10012690978
Saved in:
6
Default, Credit Growth, and Asset Prices.
Segoviano Basurto, Miguel A
-
2006
Intro -- Contents -- I. INTRODUCTION -- II.
BANK
CREDIT AND PROPERTY PRICES -- III. DEFAULT, CREDIT GROWTH, AND ASSET …
Persistent link: https://www.econbiz.de/10012691020
Saved in:
7
From Subprime Loans to Subprime Growth? Evidence for the Euro Area
Cihák, Martin
-
2009
activity. We examine the linkages between the financial and real sectors in the euro area, finding that (i)
bank
loan supply … responds negatively to declines in
bank
soundness; (ii) a cutback in
bank
loan supply has a negative impact on economic …
Persistent link: https://www.econbiz.de/10012677755
Saved in:
8
What Drives Mortgage Default Risk in Europe and the U.S.?
Gross, Marco
-
2022
counterfactual analysis of the responsiveness of mortgage PDs, LGDs, and
bank
capitalization conditional on adverse scenarios related …
Persistent link: https://www.econbiz.de/10015060521
Saved in:
9
Government bonds and their investors : what are the facts and do they matter?
Andritzky, Jochen R.
-
2012
This paper introduces a new dataset on the composition of the investor base for government securities in the G20 advanced economies and the euro area. During the last decades, investors from abroad have increased their presence in government bond markets. The financial crisis broke this trend....
Persistent link: https://www.econbiz.de/10009618531
Saved in:
10
Current Accounts in a Currency Union
Decressin, Jörg
-
2009
A fear about EMU was that in the absence of national currencies, country-specific shocks would result in greater current account divergences between member states. This paper finds that divergences across euro-area countries are smaller and have not risen relative to those across 13 other...
Persistent link: https://www.econbiz.de/10012677796
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