Results 11 to 20 of about 2,150,777 (361)
Mexico’s crisis: financial modernisation and financial fragility
The work seeks to analyse Mexico’s recent exchange-rate crisis in relation to the debate on financial modernisation and external financial fragility.
G. J. LÓPEZ
doaj +3 more sources
Financial imbalances and financial fragility [PDF]
This paper develops a general equilibrium model to analyze the link between financial imbalances and financial crises. The model features an interbank market subject to frictions and where two equilibria may (co-)exist.
Boissay, Frédéric
core +4 more sources
Financial Innovation and Financial Fragility [PDF]
We present a standard model of financial innovation, in which intermediaries engineer securities with cash flows that investors seek, but modify two assumptions. First, investors (and possibly intermediaries) neglect certain unlikely risks. Second, investors demand securities with safe cash flows. Financial intermediaries cater to these preferences and
Nicola Gennaioli +2 more
+15 more sources
Households’ Indebtedness and Financial Fragility [PDF]
The paper studies the determinants of international differences in household indebtedness, and inquires whether indebtedness is associated with increased “financial fragility”, as measured by the sensitivity of household arrears and insolvencies to ...
Marco di Maggio +2 more
core +4 more sources
A model of financial fragility [PDF]
This paper presents a dynamic, stochastic game-theoretic model of financial fragility. The model has two essential features. First, interrelated portfolios and payment commitments forge financial linkages among agents.
Roger D. Lagunoff, Stacey L. Schreft
core +7 more sources
Evidence on household financial fragility in Western Balkan countries before COVID-19 [PDF]
This paper seeks to investigate household financial fragility in Western Balkan countries using household-level data from the third wave of the Life in Transition Survey .
Dushku Elona
doaj +1 more source
Financial Liberalization and Financial Fragility [PDF]
A study of 53 countries during 1980-95 finds that financial liberalization increases the probability of a banking crisis, but less so where the institutional environment is strong. In particular, respect for the rule of law, a low level of corruption, and good contract enforcement are relevant institutional characteristics.
Asli Demirgüç-Kunt, Enrica Detragiache
+5 more sources
Financial Fragility and Basic Economic Indicators in Turkey
Financial fragility emerges as a concept that measures economic resilience against crises. Economies with high financial fragility suffer greater exposure to economic crises.
Şule Yüksel Yiğiter +1 more
doaj +1 more source
Financial Development, Financial Fragility, and Growth [PDF]
This paper studies the apparent contradiction between two strands of the literature on the effets of financial intermediation on economic activity. On the one hand, the empirical growth literature finds a positive effect of financial depth as measured by, for instance, private domestic credit and liquid liabilities (e.g. Levine, Loayza, and Beck 2000).
Loayza, Norman V., Ranciere, Romain
openaire +12 more sources
Designing a Model of Financial Fragility Evaluation of Companies Listed in the Iranian Stock Exchange [PDF]
Research Objective: Financial fragility is one of the most widely used terms in financial and accounting issues whose evaluation has become an important issue in organizations.
Bahman Kianirad +2 more
doaj +1 more source

