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The goal of this study is to identify empirically how country-level development, taking into account the financial and macroeconomic environment, affect the risk profiles of the banking sector in Europe. Through a dataset that covers 3,399 European banks spanning the period 1996-2011, and the...
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financial sector and macroeconomic policies and goes on to review financial sector regulation in the pre-crisis, mid-crisis and … regulation can be oriented towards achieving the development objectives of EMEs without necessarily sacrificing prudent … regulation and financial stability considerations, and that EMEs can supplement their development objectives with other well …
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This paper examines whether regulation that is more conducive to competitive and efficient financial systems has a … external sources of funding tend to grow faster in countries that have more competition-friendly regulation in markets for … on regulations in banking and securities markets. They point to substantial variations in the stance of regulation across …
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