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We show that Eurozone bank risks during 2007-2012 can be understood as a "carry trade" behavior. Bank equity returns …
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This paper develops a model to interpret the 2012 eurozone crisis and the ECB's policy response. In the model, bank …
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tensions within the eurozone. This process evolved through three stages. Following the onset of the Subprime crisis in July …
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deficits on interest spreads contained in bond yields of the countries now belonging to the Eurozone. Deficits significantly …
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