Results 1 to 10 of about 8,602 (168)

Macroprudential policy and the probability of a banking crisis. [PDF]

open access: yesJ Policy Model, 2020
The ultimate purpose of macroprudential policy is to avoid financial instability, such as banking crises, which have a long-lasting and devastating effect on the economy. Although a growing number of studies have examined the effects of macroprudential policy on credit growth, few empirical studies have analyzed its effect on the probability of a ...
Nakatani R.
europepmc   +3 more sources

Examining the effects of productivity shock on nominal prices of the economy in the conditions of banking crisis [PDF]

open access: yesمدلسازی اقتصادسنجی, 2023
According to the conditions of the banking system in recent years, signs of a banking crisis have been observed in Iran's economy, and considering the high share of the banking system in financing Iran's economic activities, in this article, the effects ...
Hossein Abbasi nejad   +2 more
doaj   +1 more source

The Impact of Banking Crisis on the Income Distribution of Different Income Classes [PDF]

open access: yesفصلنامه پژوهش‌های اقتصادی ایران, 2023
The present study aimed to explore the impact of banking crisis on income distribution among various income classes in 60 world countries during 1990–2020.
Zahra Sheikhali Zadeh   +3 more
doaj   +1 more source

Methods and Tools of Anti-Crisis Regulation of the Banking System in Conditions of Economic Instability [PDF]

open access: yesОблік і фінанси, 2022
. The activity of banks significantly depends on the trends taking place in the state and the world economic space. State anti-crisis regulation of the banking system involves developing a set of measures to counteract the negative impact of potential ...
Tetiana Berezhetska
doaj   +1 more source

ANTI-CRISIS MANAGEMENT OF BANK ACTIVITIES UNDER CONDITIONS OF INTERNAL THREATS

open access: yesФінансово-кредитні системи: перспективи розвитку., 2023
The development of banking meets crisis situations which due to  social role and the specificity of functions requires a specific method of management as well as measures to prevent crises. The need to develop anti-crisis management occurs at the time of
Ilya Ryzhonkov, Halyna Azarenkova
doaj   +1 more source

Prediksi Krisis Perbankan di Indonesia Menggunakan CD Indeks

open access: yesNuris Journal of Education and Islamic Studies, 2021
Banking sector has close relationship with economic growth. At the end of 2015 condition of global economic has influence from China slowdown, fall down crude oil price, and rasie interest rate by the fed.
Amir Ambyah Zakaria   +1 more
doaj   +1 more source

Banking Crisis Prediction: A Dynamic Early Warning System [PDF]

open access: yesمدلسازی اقتصادسنجی, 2022
The purpose of this study is to Prediction the possibility of a banking crisis in a dynamic early warning system framework. We using data compiled from 10 middle-income countries for the period 1996-2017 and estimate static and dynamic logit model.
seyed saleh akbar mousavi   +3 more
doaj   +1 more source

Lending behaviour, political environment and systemic banking crisis in developing economies

open access: yesScientific African, 2023
The paper examines the impact of bank lending behaviour and political events (i.e., election cycles) on the predicted probability of a systemic banking crisis in developing countries.
Daniel Ofori-Sasu
doaj   +1 more source

BANKING CRISIS PREDICTION: EMERGING CRISIS DETERMINANTS IN INDONESIAN BANKS [PDF]

open access: yesInternational Journal of Economics and Financial Issues, 2020
Many studies have been conducted in connection with revealing the determinants of a banking crisis but nothing addresses the exact causes of the crisis. This study aims at developing a model to discern a banking crisis prediction using Crisis and Default Index. The prediction was for 2015 to 2016 periods involving 21 variables that were classified into
Musdholifah Musdholifah   +2 more
openaire   +1 more source

Banking Crisis Dates and Output Losses Following Crises [PDF]

open access: yesFaslnāmah-i Pizhūhish/Nāmah-i Iqtisādī, 2021
The purpose of this study is to determine banking crisis dates in four different groups of countries and also to calculate four alternative measures of real output losses in the year of the banking crisis and three years later, over the period 1980-2019.
Seyed Saleh Akbar Mousavi   +1 more
doaj   +1 more source

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