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Lessons from financial crisis...
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The drivers of European banks’ US dollar debt issuance : opportunistic funding in times of crisis?
Romo González, Luna
-
2016
En este estudio investigamos los determinantes de las emisiones denominadas en dólares de deuda a largo plazo por parte de la banca europea. Para ello empleamos una base de datos que permite explorar los factores que, según la literatura, explican las emisiones en moneda extranjera. Incluimos...
Persistent link: https://www.econbiz.de/10012530514
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2
The determinants of long-term debt issuance by European banks : evidence of two crises
Rixtel, Adrian van
;
Romo González, Luna
;
Yang, Jing
-
2016
Este documento es uno de los primeros en investigar los determinantes en la emisión de bonos por parte de las entidades bancarias europeas. Utilizamos una base de datos única de en torno a 50.000 bonos emitidos por 63 bancos de 14 países europeos para comprobar explícitamente una serie de...
Persistent link: https://www.econbiz.de/10012530522
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3
The impact of political events on financial market volatility: Evidence using a Markov Switching process
Khalid, Ahmed M.
;
Rajaguru, Gulasekaran
-
2010
This paper investigates the impact of political shocks (positive and negative) on financial markets. Using data from Pakistan for the period January 1999 to September 2006, we link ‘a’ political event to the financial market volatility. We use high frequency data from three indicators...
Persistent link: https://www.econbiz.de/10009441577
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4
Credit cycles : evidence based on a non-linear model for developed countries
Anguren Martín, Rebeca
-
2011
En este estudio se propone un análisis econométrico de la evolución del crédito bancario al sector privado con el objetivo de describir los ciclos de crédito e identificar, por ejemplo, las fases de crecimiento anormalmente bajo, como las que suelen asociarse con episodios de crisis...
Persistent link: https://www.econbiz.de/10012530337
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5
Pricing and interconnection agreements in network markets
Martin Reichhuber
-
2008
Ever since the beginning of the nineties, interconnection pricing emerged as a high priority regulatory policy question. As more and more state-owned monopolies were privatized, their essential facility (or simply their network) had to be opened to competition. The most viable practice was...
Persistent link: https://www.econbiz.de/10009429009
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6
A Structural Analysis of the European Monetary Union and its Effect on Greece in Light of the European Financial Crisis
Ramos, Stephanie C
-
2011
The intent of this paper is to analyze the structural composition of the European Monetary Union and its implications for the European Financial Crisis, specifically with respect to Greece. This analysis will be driven by a trend analysis of several economic variables from 1999-2010. These...
Persistent link: https://www.econbiz.de/10009468765
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7
The Bankers Know Best: How Regulatory Policy Shaped the Rise and Fall of the Credit Default Swap Market
Tesarfreund, Matthew
-
2011
Many critics partially attribute the severity of the 2008 financial crisis to a lack of regulatory oversight over credit derivatives. This paper will examine the governmental and private regulatory systems that aided the proliferation of these complex “financial weapons of mass destruction”...
Persistent link: https://www.econbiz.de/10009475413
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The G-20 regulatory agenda and bank risk
Cabrera, Matías
;
Dwyer, Gerald P.
;
Nieto Carol, María …
-
2018
United States,
Europe
, Japan and China from 2004 to 2014, we analyse the effect on bank risk of some of the most relevant new …
Persistent link: https://www.econbiz.de/10012532174
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9
Workshop "The Impact of the Crisis on SMEs", Brussels, 1 February 2010
Saraiva, António
;
Braunerhjelm, Pontus
;
Nowak, Maria
-
2010
A workshop on the "The Impact of the Crisis on SMEs" was held in the European Parliament in Brussels on 1 February 2010. This document contains the programme, presentations and proceedings of that workshop.
Persistent link: https://www.econbiz.de/10011715264
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10
Managing household debts : social service provision in the EU ; Workshop report - Brussels, 25 June 2010
European Foundation for the Improvement of Living and …
-
2010
Overall, household debt levels have risen sharply over the past decades in EU Member States. While certain levels of household debts can be beneficial, they can become problematic especially with a sudden, unexpected decrease of incomes or increase of expenditures. The current financial crisis...
Persistent link: https://www.econbiz.de/10011903923
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