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-region. Data were collected from published financial statements of selected financial banks in Ghana, Nigeria, and South Africa …
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This study unites two streams of research by simultaneously focusing on the impact of financial globalisation on financial development and pre- and post-crisis dynamics of the investigated relationship. The empirical evidence is based on 53 African countries for the period 2004-2011 and...
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in Africa. Using country risk and bank specific data for 10 African countries over the period of 2000 and 2021, the …, banks need adequate capital to reduce the impact of country risk on bank stability in Africa. …
Persistent link: https://www.econbiz.de/10014436453
In this article, we have implemented a macroprudential “stress-test” (Top-down) of credit risk at the level of banks in the WAEMU zone. Empirically, we performed a simulation on three macroeconomic scenarios using the Vector Auto Regressive (VAR) model. Our historical scenarios refer to the...
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