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stability in the context of the dual banking system in the MENA region, and to check whether Islamic banks have different … model on a sample of 30 conventional banks and 14 Islamic banks from 9 countries covering the period 2004-2020, which is … jointly bank stability. Our results also show that as banks are subject to more credit risk, they raise their risk-taking more …
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incorporated into the research model to ascertain the degree of impact on the stability of banks. To achieve the research goal …, data was taken from 28 Vietnamese commercial banks in the period from 2010 to 2022, using quantitative research methods and … also limited because it is not possible to compare this relationship between different types of banks and compare it with …
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The agent-based model of Hałaj (2018) is calibrated to data from granular liquidity reporting by the largest banks in … Canada. The model describes propagation and amplification of funding shocks between banks interacting on the interbank market …
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