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Bank regulation is a basic theme in this dissertation. More extensively, the dissertation focuses on bank panics, deposit insurance and on problems in bank-depositor relationships.
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This study uses GARCH modelling to estimate and forecast conditional variances and covariances of returns calculated from a set of financial market series: twelve markka exchange rates, twelve corresponding short-term euro interest rates and the Finnish short-term interest rate, the Finnish...
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labor risk is found to be statistically significant and detrimental to entrepreneurship. …
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The adjustment for the cedent's retained risk after excess-of-loss reinsurance with reinstatements is calculated …
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resort function (LOLR) and leaves room for intervention in case of systemic risk. Central bank flexibility was preserved in …
Persistent link: https://www.econbiz.de/10005625857