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We propose a tractable, model-based stress-testing framework where the solvency risks, funding liquidity risks and market risks of banks are intertwined. We highlight how coordination failure between a bank's creditors and adverse selection in the secondary market for the bank's assets interact,...
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global expansion of banks, however, a natural byproduct of this strategy is increased risk, which can affect the internal and … affecting one area of risk can have ramifications and penetrations for a range of other categories of risks and can cause a … domino effect.Therefore, it is important to understand the risk faced by the international banks, as this understanding can …
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Purpose: This paper aims to offer an empirical study of the impact of institutional quality on the banking system risk … and credit risk. Design/methodology/approach: Applying cross-sectional dependent tests and stationary tests to check the … reduce the banking system risk. This effect of the institutions is less important in well-capitalized, highly profitable and …
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