Are More Competitive Banking Systems More Stable? / / Martin Cihak, Simon Wolfe, Klaus Schaeck |
Autore | Cihak Martin |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2006 |
Descrizione fisica | 1 online resource (37 p.) |
Altri autori (Persone) |
WolfeSimon
SchaeckKlaus |
Collana | IMF Working Papers |
Soggetto topico |
Banks and banking
Bank management Banks and Banking Econometrics Finance: General Macroeconomics Banks Depository Institutions Micro Finance Institutions Mortgages General Financial Markets: General (includes Measurement and Data) Discrete Regression and Qualitative Choice Models Discrete Regressors Proportions Financial Crises Banking Finance Econometrics & economic statistics Economic & financial crises & disasters Competition Commercial banks Logit models Systemic crises Econometric models Financial crises |
ISBN |
1-4623-0036-7
1-4527-8848-0 1-283-51897-X 1-4527-0150-4 9786613831422 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
""Contents""; ""I. INTRODUCTION""; ""II. LITERATURE REVIEW""; ""A. Competition and Concentration""; ""B. Concentration and Stability""; ""C. Competition and Stability""; ""D. Regulation, Supervision and Stability""; ""III. METHODOLOGY""; ""A. Duration Analysis""; ""B. Logistic Probability Analysis""; ""C. Panzar and Rosse (1987) H-Statistic""; ""IV. DATA AND SUMMARY STATISTICS""; ""V. REGRESSION RESULTS""; ""A. Main Results""; ""B. Robustness Tests""; ""C. Competitiveness, Regulation and Systemic Crises""; ""VI. CONCLUDING REMARKS""; ""DEFINITIONS OF VARIABLES AND DATA SOURCES""
""REFERENCES"" |
Record Nr. | UNINA-9910788688903321 |
Cihak Martin
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Washington, D.C. : , : International Monetary Fund, , 2006 | ||
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Lo trovi qui: Univ. Federico II | ||
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Monitoring Systemic Risk Basedon Dynamic Thresholds / / Kasper Lund-Jensen |
Autore | Lund-Jensen Kasper |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2012 |
Descrizione fisica | 1 online resource (37 p.) |
Collana | IMF Working Papers |
Soggetto topico |
Financial risk management
Risk management Banks and Banking Finance: General Macroeconomics Foreign Exchange General Financial Markets: Government Policy and Regulation Financial Crises Banks Depository Institutions Micro Finance Institutions Mortgages Macroeconomic Policy, Macroeconomic Aspects of Public Finance, and General Outlook: General Macroeconomic Policy, Macroeconomic Aspects of Public Finance, and General Outlook: Other Financial Markets and the Macroeconomy Finance Economic & financial crises & disasters Banking Currency Foreign exchange Systemic risk Systemic crises Commercial banks Systemic risk assessment Financial sector policy and analysis Financial crises Financial institutions Real effective exchange rates Banks and banking |
ISBN |
1-4755-8973-5
1-4755-3725-5 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Cover; Contents; I. Introduction; II. Related Literature; III. Econometric Methodology and Model Specification; A. Model Specification; Figures; 1. Binary Response Model Structure; Tables; 1. Countries in Data Sample; 2. Systemic Banking Crises, 1970-2010; IV. Estimation Results; 3. Standardized Marginal Effects; 4. Systemic Risk Factors; 2. Systemic Risk Factors based on Dynamic Logit Model, 1970-2010; V. Monitoring Systemic Risk; A. The Signal Extraction Approach; 3. Signal Classification; B. Crisis signals based on binary response model; 5. Optimal Threshold
4. Monitoring Systemic Risk, 1970-2010C. Risk Factor Thresholds; 6. Systemic Risk Estimates and Crisis Signals; 7. Credit-to-GDP Growth Threshold; D. Out-of-Sample Analysis; 5. Monitoring Systemic Risk - Out-of-Sample Analysis: 2001-2010; VI. Concluding Remarks; 8. Systemic Risk Estimates for the United States; Appendices; I. Data Sources and Description; 6. Systemic Risk Factors (1/2), 1970-2010; II. Binary Response Model Estimation Results; 7. Systemic Risk Factors (2/2), 1970-2010; 8. Systemic Risk Factors based on Dynamic Logit Model (Credit-to-GDP Growth), 1970-2010 9. Systemic Banking Crises DatesIII. Systemic Banking Crises Dates; References |
Record Nr. | UNINA-9910785528503321 |
Lund-Jensen Kasper
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Washington, D.C. : , : International Monetary Fund, , 2012 | ||
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Lo trovi qui: Univ. Federico II | ||
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Post-Crisis Bank Behavior : : Lessons From Mercosur / / Sarah Sanya, Montfort Mlachila |
Autore | Sanya Sarah |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2010 |
Descrizione fisica | 1 online resource (42 p.) |
Altri autori (Persone) | MlachilaMontfort |
Collana | IMF Working Papers |
Soggetto topico |
Banks and banking
Convergence (Economics) Banks and Banking Financial Risk Management Money and Monetary Policy Macroeconomics 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 Bankruptcy Liquidation Monetary Policy, Central Banking, and the Supply of Money and Credit: General Financial Crises Banking Monetary economics Economic & financial crises & disasters Bank credit Financial crises Credit Commercial banks Money Banking crises Systemic crises |
ISBN |
1-4623-9611-9
1-4527-9848-6 1-283-57050-5 9786613882950 1-4519-1850-X |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Contents; I. Introduction; II. Banking Crises in Mercosur; A. General Overview of Post-Crisis Banking Behavior; B. The Evolution of Bank Crises in Mercosur; III. Methodology and Data Issues; A. The Concept of Convergence and Bank Behavior; B. The Regression Framework; C. Data Sources and Issues; IV. The Results; A. Descriptive Statistics; Tables; 1. Mercosur: Bank Behavior Summary Statistics; B. Regression Analysis; 2. Correlations Between Selected Variables; 3. Summary Results for Absolute and Conditional Convergence; Figures; 1. Ratio of Public Sector Credit to Gross Domestic Product
2. Ratio of Private Sector Credit to Gross Domestic Product 4. Results for Absolute and Conditional Sigma Convergence by Country; 5. Results for Absolute and Conditional Sigma Convergence by Countries; V. Robustness Tests; A. Alternative Benchmarks; B. Results; 6. Summary Results for Sigma Convergence Using Chile and Norway as Alternative Benchmarks; 3. Ratio of Loans to Assets; 4. Ratio of Private Sector Credit to Gross Domestic Product; 5. Capitalization; C. The Behavior of Foreign and Large Banks; 6. Commercial Bank's Reserves to Gross Domestic Product 7. Absolute Sigma Convergence by Bank Type VI. Concluding Remarks; Appendix; I. Variable Definitions and Sources; References |
Record Nr. | UNINA-9910788692603321 |
Sanya Sarah
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Washington, D.C. : , : International Monetary Fund, , 2010 | ||
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Lo trovi qui: Univ. Federico II | ||
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Systemic Banking Crises Database : : An Update / / Fabian Valencia, Luc Laeven |
Autore | Valencia Fabian |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2012 |
Descrizione fisica | 1 online resource (34 p.) |
Altri autori (Persone) | LaevenLuc |
Collana | IMF Working Papers |
Soggetto topico |
Financial crises
Bank failures Liquidity (Economics) Credit Off balance sheet financing Capital movements Banks and Banking Financial Risk Management Macroeconomics Monetary Policy, Central Banking, and the Supply of Money and Credit: General Macroeconomic Policy, Macroeconomic Aspects of Public Finance, and General Outlook: General Financial Institutions and Services: General Financial Crises Banks Depository Institutions Micro Finance Institutions Mortgages Foreign Exchange Economic & financial crises & disasters Banking Banking crises Systemic crises Currency crises Banks and banking |
ISBN |
1-4755-9696-0
1-4755-4448-0 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Cover; Abstract; Contents; I. Introduction; II. Banking Crises Episodes; A. Ongoing Banking Crises; Tables; 1. Systemic Banking Crises, 2007-2011; Figures; 1. Frequency of Starting Month of Banking Crises; 2. Frequency of Systemic Banking Crises Around the World, 1970-2011; B. Banking Crisis Cycles; 3. Banking Crises Cycles; III. Currency and Sovereign Debt Crisis; A. Occurrence of Twin and Triplet Crises; B. Sequencing of Financial Crises; 4. Simultaneous Crises; IV. Policy Responses and Outcomes in Banking Crises; A. Policy Response
5. Timing of Currency and Sovereign Debt Crises Relative to Banking Crises6. Differences in the Mix of Crisis Policies; B. Outcomes; 7. Output Losses for Selected Crises Episodes; 2. Banking Crises Outcomes, 1970-2011; 8. Costliest Banking Crises Since 1970; 9. Fiscal Costs Relative to GDP and Financial System Assets; 3. Comparison of Market and Accounting Values of Bank Equity, end-2010; 4. Crises Outcomes and Resolution in the Euro Area and the United States; V. Conclusions; Appendix Tables; A1. Banking Crises Dates and Costs, 1970-2011 A2. Direct Fiscal Outlays, Recoveries to Date, and Asset Guarantees, 2007-2011A3. Systemic Banking Crises Policy Responses, 2007-2011; References |
Record Nr. | UNINA-9910786483303321 |
Valencia Fabian
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Washington, D.C. : , : International Monetary Fund, , 2012 | ||
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Lo trovi qui: Univ. Federico II | ||
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The Transmission of Financial Stress from Advanced to Emerging Economies |
Pubbl/distr/stampa | Washington, D.C. : , : International Monetary Fund, , 2009 |
Descrizione fisica | 1 online resource (54 p.) |
Collana | IMF Working Papers |
Soggetto topico |
International finance
Financial crises Banks and Banking Finance: General Financial Risk Management Macroeconomics Financial Crises Banks Depository Institutions Micro Finance Institutions Mortgages General Financial Markets: General (includes Measurement and Data) Economic & financial crises & disasters Banking Finance Stock markets Systemic crises Banking crises Banks and banking Stock exchanges |
ISBN |
1-4623-8805-1
1-4527-3695-2 1-4518-7280-1 9786612843471 1-282-84347-8 |
Formato | Materiale a stampa ![]() |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Contents; I. Introduction; II. Measuring Financial Stress; A. Definition of Financial Stress and its Measurement; B. Patterns of Financial Stress in Emerging and Advanced Economies; III. Comovement of Financial Stress: Theory and Evidence; A. Rationale for Stress Comovement; IV. Transmission of Stress: A Comprehensive Analysis; A. Common Time-Varying Component in EM-FSI; B. Stress Transmission Analysis: 2-Stage Procedure (Forbes-Chinn); C. Stress Transmission and Other Country Characteristics: Annual Panel; D. Case Study Analysis: Banking Crisis and Capital Flows; V. Conclusions; References
Data Appendix Tables; 1. Episodes of Widespread Financial Stress in Advanced Economies; 2. Emerging Economy Stress: Determinants; 3. Comovement of Financial Stress; 4. The Role of Linkages as Determinants of Comovement; 5. Emerging Economy Stress: Country-specific Effects; 6. Emerging Economy Stress: Interactions with Stress Periods; 7. Emerging Economy Stress: Interactions with Stress Levels; 8. List of Variables; Figures; 1. Sudden Stops of Capital Flows and Real Effects; 2. Financial Stress in Emerging Regions and by Components; 3. Financial Stress in Advanced Economies 4. Financial Stress in Emerging and Advanced Economies 5. The Transmission of Stress: Schematic Depiction of Effects; 6. Financial Integration of Emerging and Developing Economies; 7. Financial Exposures of Emerging to Advanced Economies; 8. Financial Linkages between Advanced and Emerging Economies; 9. Vulnerability Indicators by Region, 1990-2007; 10. Emerging Economy Stress: Common Time Component; 11. Comovement of Financial Stress Indices; 12. Impact of the Latin American Debt Crisis on Banking Liabilities; 13. Impact of the Japanese Banking Crisis on Bank Lending |
Record Nr. | UNINA-9910788332903321 |
Washington, D.C. : , : International Monetary Fund, , 2009 | ||
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Lo trovi qui: Univ. Federico II | ||
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