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The euro area crisis was characterised by a negative feedback loop between banks and sovereigns. The paper aims to indicate the genesis of this phenomenon and to determine the scale of its operation during the crisis and post-crisis conditions, as well as to identify the threats it brings. In...
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Mit dem Ausbruch der Wirtschafts- und Finanzkrise in 2008, verabschiedeten die Europäischen Regierungen vielfältige … capital flights, less investments and growth. Based on the tax reforms introduced between 2008 and 2010, the paper explores … significantly restrained the policy choices available to governments. -- Crisis ; fiscal stress ; economic growth ; tax policy …
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Purpose - Despite the sophisticated regulatory regime established in Solvency II, analysts should be able to consider other less complex indicators of the soundness of insurers. The Z-score measure, which has traditionally been used as a proxy of individual risk in the banking sector, may be a...
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