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illustrate the methodology using data from the recent financial crisis in Argentina. Second, we compare the predictive …
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The Mexican crisis of 1994-95 had strong spillover effects on Argentina. The Argentine government successfully …
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We use monthly panel data information on Argentine banks to try to explain the variation in deposits during the 2001 crisis. The variables used are related to the solvency condition of the bank, whether it is public or private, interest rates for each bank and macroeconomic variables referred to...
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Liquidity in the banking sector in Argentina reached new heights in early 1996 with the sharp reflow of deposits in the …
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This paper investigates Germany's vulnerability to the ongoing Euroland crisis. In 2010-11, Germany experienced a strong rebound from the global financial crisis of 2008-09. The Euroland crisis then meant record low interest rates and a depressed euro that boosted German extra-area exports. But...
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