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| Autore: |
Poghosyan Tigran
|
| Titolo: |
Distress in European Banks : : An Analysis Basedon a New Dataset / / Tigran Poghosyan, Martin Cihak
|
| Pubblicazione: | Washington, D.C. : , : International Monetary Fund, , 2009 |
| Edizione: | 1st ed. |
| Descrizione fisica: | 1 online resource (39 p.) |
| Disciplina: | 332.1068;332.10684 |
| Soggetto topico: | Banks and banking - European Union countries |
| Bank soundness | |
| Bank supervision | |
| Banking | |
| Banks and Banking | |
| Banks and banking | |
| Banks | |
| Capital and Ownership Structure | |
| Crisis management | |
| Depository Institutions | |
| Distressed institutions | |
| Early warning systems | |
| Economic & financial crises & disasters | |
| Finance | |
| Finance: General | |
| Financial crises | |
| Financial Institutions and Services: General | |
| Financial Institutions and Services: Government Policy and Regulation | |
| Financial institutions | |
| Financial regulation and supervision | |
| Financial Risk and Risk Management | |
| Financial Risk Management | |
| Financial sector policy and analysis | |
| Financial services industry | |
| Financial services law & regulation | |
| Financing Policy | |
| General Financial Markets: Government Policy and Regulation | |
| Goodwill | |
| Industries: Financial Services | |
| Loan loss provisions | |
| Micro Finance Institutions | |
| Mortgages | |
| State supervision | |
| Value of Firms | |
| Soggetto geografico: | Europe Economic conditions |
| United States | |
| Altri autori: |
CihakMartin
|
| Note generali: | Description based upon print version of record. |
| Nota di bibliografia: | Includes bibliographical references. |
| 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 | |
| Sommario/riassunto: | The global financial crisis has highlighted the importance of early identification of weak banks: when problems are identified late, solutions are much more costly. Until recently, Europe has seen only a small number of outright bank failures, which made the estimation of early warning models for bank supervision very difficult. This paper presents a unique database of individual bank distress across the European Union from mid-1990s to 2008. Using this data set, we analyze the causes of banking distress in Europe. We identify a set of indicators and thresholds that can help to distinguish sound banks from those vulnerable to financial distress. |
| Titolo autorizzato: | Distress in European Banks ![]() |
| ISBN: | 9786612842313 |
| 9781462345694 | |
| 1462345697 | |
| 9781452793467 | |
| 1452793468 | |
| 9781451871562 | |
| 1451871562 | |
| 9781282842311 | |
| 1282842315 | |
| Formato: | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione: | Inglese |
| Record Nr.: | 9910965824503321 |
| Lo trovi qui: | Univ. Federico II |
| Opac: | Controlla la disponibilità qui |