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Financial stability

Vue de Financial stability of islamic banks in the MENA countries during financial crisis and political uncertainty: an empirical investigation

Vue de Financial stability of islamic banks in the MENA countries during financial crisis and political uncertainty: an empirical investigation

... the financial crisis has shown that banks’ funding structure is important to their ...a financial or a political crisis severely affects stock returns of IBs and CBs, we assume that these two crises have ...

25

Foreign banks, corporate strategy and financial stability: lessons from the river plate

Foreign banks, corporate strategy and financial stability: lessons from the river plate

... with financial stability and potential spillovers in the case of a home country crisis or financial distress of the parent ...developed financial systems they tend to benefit from a higher ...

41

Goodhart, Charles A.E. and Tsomocos, Dimitros P.: The challenge of financial stability: a new model and its applications

Goodhart, Charles A.E. and Tsomocos, Dimitros P.: The challenge of financial stability: a new model and its applications

... Keywords: Financial stability, strategic default, credit chain, interbank ...current financial crisis started in 2007, financial stability is a topic which is at the top of the agenda ...

6

Financial stability and economic policy coordination

Financial stability and economic policy coordination

... The main objective of this thesis was to study the link between monetary policy - prudential policy - and bank risk in order to determine the conditions for strengthening financial stability. In the first ...

191

CPP funds allocation : restoring financial stability or minimising risks of non-repayment to taxpayers ?

CPP funds allocation : restoring financial stability or minimising risks of non-repayment to taxpayers ?

... of financial stability the failure of large institutions was avoided which could have led to the large externality costs for the other sectors of ...

38

Three essays on financial stability

Three essays on financial stability

... view financial stability through the lens of the absence of financial ...of financial instability such as the incapacity of the financial system to perform its usual roles, the ...

106

Essays on risk management and financial stability

Essays on risk management and financial stability

... the financial networks such as central ...sponsor financial reforms in other countries given the cross boarders exposures and ...the financial reg- ulation ...

184

Method Of An Estimation Of Financial And Economic Stability Of The Regional Budget

Method Of An Estimation Of Financial And Economic Stability Of The Regional Budget

... of financial analysis of the activities of enterprises and of regional budget has been ...the financial analysis of the activities of the enterprises are based on the analytical apparatus, which are well ...

9

Essays on Structured Financial Products

Essays on Structured Financial Products

... To control for differences in subject groups, the investment stages were followed by various questions, which are very similar to those in the study in Section 3.3.4. First, the experience in financial decisions ...

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Essays on financial markets predictability

Essays on financial markets predictability

... by financial uncertainty (UF) and by the representative investor view ...When financial uncertainty is high, options, being used by a set of sophisticated investors, are the first one to reflect ...

278

Complexity and financial panics

Complexity and financial panics

... In other words, to decide how many of its loans to recall, this bank only needs to know whether (and how much) it will lose in cross- deposits. At date 0, the bank does not necessarily k[r] ...

38

Complexity and financial panics

Complexity and financial panics

... additional liquidity at date 1, the distressed bank b p ^ hoards some its flexible reserves y.. by cutting new loans at date in order to meet its liquidity demand at date 1.[r] ...

76

The stability of short-term interest rates pass-through in the euro area during the financial market and sovereign debt crises

The stability of short-term interest rates pass-through in the euro area during the financial market and sovereign debt crises

... We extend the basic model in order to take into account the peculiarity of the time period under review, characterized by the financial and the European sovereign debt crises. First, we test for the existence of ...

45

Communication impacting financial markets

Communication impacting financial markets

... Methodology: We introduce a socio-financial model that studies the impact of communication on the pricing in financial markets. Considering the simplest possible case where each market participant has ...

17

Symmetry and financial Markets

Symmetry and financial Markets

... We argue, that the concept of symmetry, and symmetry breaking, can capture fundamental properties of the dynamics of financial markets. At the individual level – the investor – symmetry breaking originates in the ...

28

Communication impacting financial markets

Communication impacting financial markets

... to financial markets, where market participants consult the media or other colleagues to get an idea of the origin behind price movements, or to assess which impact a given information could have on the ...of ...

13

Collective intelligence in financial markets : does consumer sentiment influence valuation of financial products?

Collective intelligence in financial markets : does consumer sentiment influence valuation of financial products?

... Moreover, including lagged the Dow Jones Index changes for Greece, Italy and Spain in the above model shows that changes in the Italian Index are not significant[r] ...

43

Essays in Empirical Financial Economics

Essays in Empirical Financial Economics

... from financial institutions offer more trade ...other financial intermediaries would not? Biais and Gollier (1997) argue that suppliers have an informational advantage over other types of external investors ...

204

Firms, Shareholders, and Financial Markets

Firms, Shareholders, and Financial Markets

... Figure 3: The Strength of Financial Access on a Risk-Averse Monopolist return of a share to the investor is unrelated to the expected profits of the firm. Rather, the expected return depends on the variance (risk) ...

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Gender issues of financial analysts

Gender issues of financial analysts

... women financial analysts, which could be measured by their stock coverage, forecast accuracy, ...female financial analysts are intended to issue bolder but more accurate forecasts relative to male analysts, ...

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