Results 41 to 50 of about 8,051 (149)
Financial crisis and cointegration of systemic risk in Southeast Asian banking
This paper aims to investigate the banking sector integration through a cointegration analysis of bank systemic risk in ASEAN-5 from 1998 to 2013 by taking financial crises into consideration.
Herman Saheruddin, Wahyoe Soedarmono
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Three Objectives of International banking Regulation: Analysis of Their Interrelationship and Issues
In response to the Global Financial Crisis of 2008–2009, international financial regulators tightened the regime of banking supervision in order to minimize systemic risks, strengthen banking sector resilience and ensure financial stability.
E. P. Dzhagityan, O. R. Mukhametov
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BANKING SECTOR MODERNIZATION(SPANISH RECIPE)
The aim of the research is to analyze transformation of the Spanish banking sector after the financial crisis of the year 2008. The author examines a hypothesis that banking system played an important role in the development of Spain’s economy.
Timofey Malashenko
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Banking Crises and Market Discipline in Indonesian Banking Industry
This study analyzes the effect of banking crises towards market discipline in Indonesia. This study uses two periods of crisis in Indonesia, which are banking crisis in 1997/1998 and banking crisis in 2008.
George Adam Sukoco Sikatan+1 more
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THE ROMANIAN BANKING SYSTEM DURING THE ECONOMIC-FINANCIAL CRISIS [PDF]
The Romanian banking system was hit by the financial crisis in 2008 and the banking credit activity almost stopped for a few years. National Bank of Romania tighted the credit conditions and imposed strong regulations for banks. After the peak of the
MAGDALENA RĂDULESCU
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The Outbreak of the Russian Banking Crisis [PDF]
Russian banks have been strongly influenced by the worldwide financial crisis which started in the second half of 2008. This was caused by a combination of domestic, regional and international factors. We estimate an early warning model for the Russian crisis. We identified 47 Russian banks which failed after September 2008.
Jarko Fidrmuc, Philipp J. Süss
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The linkage between banking crisis and sovereign debt crisis: Evidence from Ghana
This study investigates the effect of the recent Ghanaian banking crisis on the country’s ongoing sovereign debt crisis. An Autoregressive Distributed Lag Model (ARDL) is adopted to estimate the immediate effects of Ghana’s banking crisis on public debt ...
David Marfo-Ahenkorah+2 more
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Determinants of banking crisis in developing countries
This paper identifies determinants associated with probability of banking crisis in developing countries. By using data sample of more than 80 developing countries around the world from 1974 to 2002, the results from our mutivariate logit economitric ...
Nguyen Van Phuc, Luong Duy Quang
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Bank Regulation and Bank Crisis
The Norwegian experiences of the past thirty years illustrate what we believe are two general tendencies in bank regulation. The first one is that a bank crisis will tend to focus regulators' minds and lead to stricter regulations. The second one is that cycles in regulation tend to interact with the economic cycle, in the sense that the rationale for ...
Berg, Sigbjørn Atle, Eitrheim, Øyvind
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Crisis Marketing and Bank Runs
AbstractThe issue of crisis marketing is insufficiently explored and described in the literature, although in practice it has an important role in diffusing a crisis.Depending on crisis size, customer structure, the level of clients trust in a bank and other factors – a banking panic may occur. This is the most severe symptom of a crisis and many banks
Piotr Masiukiewicz, Artur Howzan
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