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Distress in European banks [[electronic resource] ] : an analysis based on a new data set / / Tigran Poghosyan and Martin Cihák
Distress in European banks [[electronic resource] ] : an analysis based on a new data set / / Tigran Poghosyan and Martin Cihák
Autore Poghosyan Tigran
Pubbl/distr/stampa [Washington, D.C.], : International Monetary Fund, 2009
Descrizione fisica 1 online resource (39 p.)
Altri autori (Persone) ČihákMartin
Collana IMF working paper
Soggetto topico Banks and banking - European Union countries
Soggetto genere / forma Electronic books.
ISBN 1-4623-4569-7
1-4527-9346-8
1-4518-7156-2
1-282-84231-5
9786612842313
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Contents; I. Introduction; II. Motivation; A. Early Warning Systems for Banking Soundness; B. Examples of Uses of the Early Warning Systems; III. Methodology and Data; A. Estimation Methodology; B. Data; Figures; 1. Overview of Distress Events by Year and by Country, 1995-2007; Tables; 1. Database Overview; 2. Determinants of Bank Distress; IV. Estimation Results; A. Baseline Estimate; B. Robustness Checks; 3. Logit Estimation Results; C. Prediction Results; 4. Type I and Type II Errors; 2. Banks at Risk; 3. Assets at Risk; D. Marginal Effects
4. Marginal Effects of Significant CAMEL Covariates5. Trade-off in the Impact on PD between Pairs of Significant CAMEL Covariates; V. Conclusion; Appendices; I. Early Warning Systems for Banking Supervision:; II. European Banking System; III. European Structured Early Intervention and Resolution; References
Record Nr. UNINA-9910464229903321
Poghosyan Tigran  
[Washington, D.C.], : International Monetary Fund, 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Distress in European Banks : : An Analysis Basedon a New Dataset / / Tigran Poghosyan, Martin Cihak
Distress in European Banks : : An Analysis Basedon a New Dataset / / Tigran Poghosyan, Martin Cihak
Autore Poghosyan Tigran
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2009
Descrizione fisica 1 online resource (39 p.)
Altri autori (Persone) CihakMartin
Collana IMF Working Papers
Soggetto topico Banks and banking - European Union countries
Banks and Banking
Finance: General
Financial Risk Management
Industries: Financial Services
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Financial Institutions and Services: Government Policy and Regulation
Financing Policy
Financial Risk and Risk Management
Capital and Ownership Structure
Value of Firms
Goodwill
Financial Institutions and Services: General
General Financial Markets: Government Policy and Regulation
Banking
Economic & financial crises & disasters
Finance
Financial services law & regulation
Early warning systems
Distressed institutions
Loan loss provisions
Bank soundness
Financial crises
Financial institutions
Financial regulation and supervision
Bank supervision
Financial sector policy and analysis
Banks and banking
Crisis management
Financial services industry
State supervision
ISBN 1-4623-4569-7
1-4527-9346-8
1-4518-7156-2
1-282-84231-5
9786612842313
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Contents; I. Introduction; II. Motivation; A. Early Warning Systems for Banking Soundness; B. Examples of Uses of the Early Warning Systems; III. Methodology and Data; A. Estimation Methodology; B. Data; Figures; 1. Overview of Distress Events by Year and by Country, 1995-2007; Tables; 1. Database Overview; 2. Determinants of Bank Distress; IV. Estimation Results; A. Baseline Estimate; B. Robustness Checks; 3. Logit Estimation Results; C. Prediction Results; 4. Type I and Type II Errors; 2. Banks at Risk; 3. Assets at Risk; D. Marginal Effects
4. Marginal Effects of Significant CAMEL Covariates5. Trade-off in the Impact on PD between Pairs of Significant CAMEL Covariates; V. Conclusion; Appendices; I. Early Warning Systems for Banking Supervision:; II. European Banking System; III. European Structured Early Intervention and Resolution; References
Record Nr. UNINA-9910788350203321
Poghosyan Tigran  
Washington, D.C. : , : International Monetary Fund, , 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Distress in European Banks : : An Analysis Basedon a New Dataset / / Tigran Poghosyan, Martin Cihak
Distress in European Banks : : An Analysis Basedon a New Dataset / / Tigran Poghosyan, Martin Cihak
Autore Poghosyan Tigran
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2009
Descrizione fisica 1 online resource (39 p.)
Disciplina 332.1068;332.10684
Altri autori (Persone) CihakMartin
Collana IMF Working Papers
Soggetto topico Banks and banking - European Union countries
Banks and Banking
Finance: General
Financial Risk Management
Industries: Financial Services
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Financial Institutions and Services: Government Policy and Regulation
Financing Policy
Financial Risk and Risk Management
Capital and Ownership Structure
Value of Firms
Goodwill
Financial Institutions and Services: General
General Financial Markets: Government Policy and Regulation
Banking
Economic & financial crises & disasters
Finance
Financial services law & regulation
Early warning systems
Distressed institutions
Loan loss provisions
Bank soundness
Financial crises
Financial institutions
Financial regulation and supervision
Bank supervision
Financial sector policy and analysis
Banks and banking
Crisis management
Financial services industry
State supervision
ISBN 1-4623-4569-7
1-4527-9346-8
1-4518-7156-2
1-282-84231-5
9786612842313
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Contents; I. Introduction; II. Motivation; A. Early Warning Systems for Banking Soundness; B. Examples of Uses of the Early Warning Systems; III. Methodology and Data; A. Estimation Methodology; B. Data; Figures; 1. Overview of Distress Events by Year and by Country, 1995-2007; Tables; 1. Database Overview; 2. Determinants of Bank Distress; IV. Estimation Results; A. Baseline Estimate; B. Robustness Checks; 3. Logit Estimation Results; C. Prediction Results; 4. Type I and Type II Errors; 2. Banks at Risk; 3. Assets at Risk; D. Marginal Effects
4. Marginal Effects of Significant CAMEL Covariates5. Trade-off in the Impact on PD between Pairs of Significant CAMEL Covariates; V. Conclusion; Appendices; I. Early Warning Systems for Banking Supervision:; II. European Banking System; III. European Structured Early Intervention and Resolution; References
Record Nr. UNINA-9910816924403321
Poghosyan Tigran  
Washington, D.C. : , : International Monetary Fund, , 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial Intermediation Costs in Low-Income Countries : : The Role of Regulatory, Institutional, and Macroeconomic Factors / / Tigran Poghosyan
Financial Intermediation Costs in Low-Income Countries : : The Role of Regulatory, Institutional, and Macroeconomic Factors / / Tigran Poghosyan
Autore Poghosyan Tigran
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2012
Descrizione fisica 1 online resource (36 p.)
Collana IMF Working Papers
Soggetto topico Intermediation (Finance) - Developing countries - Econometric models
Banks and Banking
Finance: General
Money and Monetary Policy
Inflation
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Financial Institutions and Services: Government Policy and Regulation
Economic Development: Financial Markets
Saving and Capital Investment
Corporate Finance and Governance
Financing Policy
Financial Risk and Risk Management
Capital and Ownership Structure
Value of Firms
Goodwill
Monetary Policy
General Financial Markets: General (includes Measurement and Data)
Price Level
Deflation
Banking
Financial services law & regulation
Monetary economics
Finance
Macroeconomics
Credit risk
Reserve requirements
Loan loss provisions
Competition
Financial regulation and supervision
Monetary policy
Prices
Financial markets
Banks and banking
Financial risk management
State supervision
ISBN 1-4755-2280-0
1-4755-6413-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Contents; I. Introduction; II. Interest Margin Decomposition; A. Conceptual Framework; B. Decomposition Results; III. Econometric Analysis of Bank- and Country-Specific Determinants of Interest Margins; A. Model Specification; B. Variables; C. Descriptive Statistics; D. Results; IV. Robustness Checks; V. Conclusions; References; Figures; 1. Comparison of Implicit Net Interest Margins in LICs and EMs; 2. Percentile Distribution of Net Interest Margin Determinants in LICs and EMs; 3. Median Interest Margins in LICs and EMs by Countries; Tables; 1. Variable Definition and Sources
2. Descriptive Statistics3. Correlations Matrix; 4. Estimation Results Controlling for Bank-Specific Determinants; 5. Estimation Results Controlling for Macroeconomic Variables; 6. Estimation Results Controlling for Institutional Variables; 7. Estimation Results Controlling for Regulatory Variables; 8. Robustness Check for LICs: Using Market Share Instead of Market Concentration; 9. Robustness Check for LICs: Using Loan Market Concentration; 10. Robustness Check for LICs: Using Deposit Market Concentration
11. Robustness Check for LICs: Using Interaction of Market Concentration with Regional Dummies12. Robustness Check for LICs: Using Annual Average Variables
Record Nr. UNINA-9910779201903321
Poghosyan Tigran  
Washington, D.C. : , : International Monetary Fund, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial Intermediation Costs in Low-Income Countries : : The Role of Regulatory, Institutional, and Macroeconomic Factors / / Tigran Poghosyan
Financial Intermediation Costs in Low-Income Countries : : The Role of Regulatory, Institutional, and Macroeconomic Factors / / Tigran Poghosyan
Autore Poghosyan Tigran
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2012
Descrizione fisica 1 online resource (36 p.)
Disciplina 332.152
Collana IMF Working Papers
Soggetto topico Intermediation (Finance) - Developing countries - Econometric models
Banks and Banking
Finance: General
Money and Monetary Policy
Inflation
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
Financial Institutions and Services: Government Policy and Regulation
Economic Development: Financial Markets
Saving and Capital Investment
Corporate Finance and Governance
Financing Policy
Financial Risk and Risk Management
Capital and Ownership Structure
Value of Firms
Goodwill
Monetary Policy
General Financial Markets: General (includes Measurement and Data)
Price Level
Deflation
Banking
Financial services law & regulation
Monetary economics
Finance
Macroeconomics
Credit risk
Reserve requirements
Loan loss provisions
Competition
Financial regulation and supervision
Monetary policy
Prices
Financial markets
Banks and banking
Financial risk management
State supervision
ISBN 1-4755-2280-0
1-4755-6413-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Contents; I. Introduction; II. Interest Margin Decomposition; A. Conceptual Framework; B. Decomposition Results; III. Econometric Analysis of Bank- and Country-Specific Determinants of Interest Margins; A. Model Specification; B. Variables; C. Descriptive Statistics; D. Results; IV. Robustness Checks; V. Conclusions; References; Figures; 1. Comparison of Implicit Net Interest Margins in LICs and EMs; 2. Percentile Distribution of Net Interest Margin Determinants in LICs and EMs; 3. Median Interest Margins in LICs and EMs by Countries; Tables; 1. Variable Definition and Sources
2. Descriptive Statistics3. Correlations Matrix; 4. Estimation Results Controlling for Bank-Specific Determinants; 5. Estimation Results Controlling for Macroeconomic Variables; 6. Estimation Results Controlling for Institutional Variables; 7. Estimation Results Controlling for Regulatory Variables; 8. Robustness Check for LICs: Using Market Share Instead of Market Concentration; 9. Robustness Check for LICs: Using Loan Market Concentration; 10. Robustness Check for LICs: Using Deposit Market Concentration
11. Robustness Check for LICs: Using Interaction of Market Concentration with Regional Dummies12. Robustness Check for LICs: Using Annual Average Variables
Record Nr. UNINA-9910828282303321
Poghosyan Tigran  
Washington, D.C. : , : International Monetary Fund, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Long-run and short-run determinants of sovereign bond yields in advanced economies [[electronic resource] /] / Tigran Poghosyan
Long-run and short-run determinants of sovereign bond yields in advanced economies [[electronic resource] /] / Tigran Poghosyan
Autore Poghosyan Tigran
Pubbl/distr/stampa Washington, D.C., : International Monetary Fund, c2012
Descrizione fisica 1 online resource (27 p.)
Collana IMF working paper
Soggetto topico Government securities - Econometric models
Rate of return - Econometric models
Cointegration
Soggetto genere / forma Electronic books.
ISBN 1-4755-7979-9
1-4755-4279-8
1-283-94768-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Contents; I. Introduction; II. Determinants of Sovereign Bond Yields: Review of Existing Studies; A. Theoretical Considerations; B. Empirical Evidence; III. Empirical Methodology and Data; A. Empirical Methodology; B. Data; IV. Estimation Results; A. Baseline Specification; B. Robustness Checks; C. Are Financial Markets "Overreacting"?; V. Conclusions; References; Tables; 1. Description of Variables and their Sources; 2. Descriptive Statistics; 3. Panel Unit Root Tests; 4. Baseline Regressions; 5. Robustness Checks; Figures
1. Selected Euro area Economies: Real 10-Year Sovereign Bond Yields2. Selected Euro Area Economies: Debt-to-GDP Ratio; 3. Selected Euro Area Economies: Comparison of Predicted and Actual Long-Run Real Bond Spreads vis-à-vis Germany (first half of 2012); 4. Selected Euro Area Economies: Comparison of Predicted and Actual Long-Run Real Bond Spreads vis-à-vis Germany (1999-2009, average)
Record Nr. UNINA-9910453112803321
Poghosyan Tigran  
Washington, D.C., : International Monetary Fund, c2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Long-Run and Short-Run Determinants of Sovereign Bond Yields in Advanced Economies / / Tigran Poghosyan
Long-Run and Short-Run Determinants of Sovereign Bond Yields in Advanced Economies / / Tigran Poghosyan
Autore Poghosyan Tigran
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2012
Descrizione fisica 1 online resource (27 p.)
Collana IMF Working Papers
IMF working paper
Soggetto topico Government securities - Econometric models
Rate of return - Econometric models
Cointegration
Banks and Banking
Investments: Bonds
Macroeconomics
Public Finance
'Panel Data Models
Spatio-temporal Models'
Interest Rates: Determination, Term Structure, and Effects
General Financial Markets: General (includes Measurement and Data)
Debt
Debt Management
Sovereign Debt
Fiscal Policy
Investment & securities
Finance
Public finance & taxation
Bond yields
Yield curve
Sovereign bonds
Public debt
Fiscal stance
Financial institutions
Financial services
Fiscal policy
Bonds
Interest rates
Debts, Public
ISBN 1-4755-7979-9
1-4755-4279-8
1-283-94768-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Contents; I. Introduction; II. Determinants of Sovereign Bond Yields: Review of Existing Studies; A. Theoretical Considerations; B. Empirical Evidence; III. Empirical Methodology and Data; A. Empirical Methodology; B. Data; IV. Estimation Results; A. Baseline Specification; B. Robustness Checks; C. Are Financial Markets "Overreacting"?; V. Conclusions; References; Tables; 1. Description of Variables and their Sources; 2. Descriptive Statistics; 3. Panel Unit Root Tests; 4. Baseline Regressions; 5. Robustness Checks; Figures
1. Selected Euro area Economies: Real 10-Year Sovereign Bond Yields2. Selected Euro Area Economies: Debt-to-GDP Ratio; 3. Selected Euro Area Economies: Comparison of Predicted and Actual Long-Run Real Bond Spreads vis-à-vis Germany (first half of 2012); 4. Selected Euro Area Economies: Comparison of Predicted and Actual Long-Run Real Bond Spreads vis-à-vis Germany (1999-2009, average)
Record Nr. UNINA-9910779591503321
Poghosyan Tigran  
Washington, D.C. : , : International Monetary Fund, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Long-Run and Short-Run Determinants of Sovereign Bond Yields in Advanced Economies / / Tigran Poghosyan
Long-Run and Short-Run Determinants of Sovereign Bond Yields in Advanced Economies / / Tigran Poghosyan
Autore Poghosyan Tigran
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2012
Descrizione fisica 1 online resource (27 p.)
Disciplina 338.29102
Collana IMF Working Papers
IMF working paper
Soggetto topico Government securities - Econometric models
Rate of return - Econometric models
Cointegration
Banks and Banking
Investments: Bonds
Macroeconomics
Public Finance
'Panel Data Models
Spatio-temporal Models'
Interest Rates: Determination, Term Structure, and Effects
General Financial Markets: General (includes Measurement and Data)
Debt
Debt Management
Sovereign Debt
Fiscal Policy
Investment & securities
Finance
Public finance & taxation
Bond yields
Yield curve
Sovereign bonds
Public debt
Fiscal stance
Financial institutions
Financial services
Fiscal policy
Bonds
Interest rates
Debts, Public
ISBN 1-4755-7979-9
1-4755-4279-8
1-283-94768-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Contents; I. Introduction; II. Determinants of Sovereign Bond Yields: Review of Existing Studies; A. Theoretical Considerations; B. Empirical Evidence; III. Empirical Methodology and Data; A. Empirical Methodology; B. Data; IV. Estimation Results; A. Baseline Specification; B. Robustness Checks; C. Are Financial Markets "Overreacting"?; V. Conclusions; References; Tables; 1. Description of Variables and their Sources; 2. Descriptive Statistics; 3. Panel Unit Root Tests; 4. Baseline Regressions; 5. Robustness Checks; Figures
1. Selected Euro area Economies: Real 10-Year Sovereign Bond Yields2. Selected Euro Area Economies: Debt-to-GDP Ratio; 3. Selected Euro Area Economies: Comparison of Predicted and Actual Long-Run Real Bond Spreads vis-à-vis Germany (first half of 2012); 4. Selected Euro Area Economies: Comparison of Predicted and Actual Long-Run Real Bond Spreads vis-à-vis Germany (1999-2009, average)
Record Nr. UNINA-9910810606903321
Poghosyan Tigran  
Washington, D.C. : , : International Monetary Fund, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Oil prices and bank profitability [[electronic resource] ] : evidence from major oil-exporting countries in the Middle East and North Africa / / [Tigran Poghosyan and Heiko Hesse]
Oil prices and bank profitability [[electronic resource] ] : evidence from major oil-exporting countries in the Middle East and North Africa / / [Tigran Poghosyan and Heiko Hesse]
Autore Poghosyan Tigran
Pubbl/distr/stampa [Washington, D.C.], : International Monetary Fund, Middle East and Central Asia Dept., 2009
Descrizione fisica 22 p. : ill
Altri autori (Persone) HesseHeiko
Collana IMF working paper
Soggetto topico Petroleum products - Prices - Middle East - Econometric models
Petroleum products - Prices - Africa, North - Econometric models
Banks and banking - Middle East - Econometric models
Banks and banking - Africa, North - Econometric models
Soggetto genere / forma Electronic books.
ISBN 1-4623-9612-7
1-4518-7367-0
9786612844249
1-4527-9445-6
1-282-84424-5
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Record Nr. UNINA-9910463721803321
Poghosyan Tigran  
[Washington, D.C.], : International Monetary Fund, Middle East and Central Asia Dept., 2009
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui