Results 31 to 40 of about 2,150,777 (361)

Financial Fragility in the Current European crisis [PDF]

open access: yes, 2013
The paper argues that the European financial system in the years following the great financial crisis started in 2007 has become increasingly fragile. Minsky’s notion of fragility, on which it is based, is related to history, policy and institutions.
Tropeano, D.
core   +2 more sources

Nexus Between Equity Pricing Models and Equity Price Fragility: Empirical Insights From Pakistan

open access: yesFrontiers in Energy Research, 2022
Purpose: The study tests conventional and behavioral pricing multifactor impact on price fragility from the equity market of Pakistan.Methodology: The positivist approach is used to deduct study rationale via probability sampling.
Muhammad Khalid Anser   +7 more
doaj   +1 more source

Financial Fragility in the Covid-19 Crisis: The Case of Investment Funds in Corporate Bond Markets

open access: yesSocial Science Research Network, 2020
Using daily microdata, we document major outflows in corporate-bond funds during the COVID-19 crisis. Large outflows were sustained over weeks and most severe for funds with illiquid assets, vulnerable to fire sales, and exposed to sectors hurt by the ...
Antonio Falato   +2 more
semanticscholar   +1 more source

International banking and financial fragility: the role of regulation in Brazil and Mexico, 1967–1982

open access: yesFinancial History Review, 2021
The shortcomings and potential dangers of international financial flows for the health and stability of domestic banking systems in developing countries have been copiously discussed over the last decades.
S. Álvarez
semanticscholar   +1 more source

Bailouts and Financial Fragility [PDF]

open access: yesThe Review of Economic Studies, 2010
How does the belief that policymakers will bail out investors in the event of a crisis affect the allocation of resources and the stability of the financial system? I study this question in a model of financial intermediation with limited commitment. When a crisis occurs, the efficient policy response is to use public resources to augment the private ...
openaire   +4 more sources

Structural change and financial fragility in the Colombian business sector: A post Keynesian approach

open access: yesCuadernos de Economía, 2020
This paper aims to establish the theoretical and empirical link between structural change and financial fragility based on the theories of Thirllwall's Law and Minsky's financial instability.
Gonzalo Combita Mora
doaj   +1 more source

Financial Fragility Across Europe and the US: The Role of Portfolio Choices, Household Features and Economic-Institutional Setup

open access: yesSocial Science Research Network, 2020
This paper investigates households’ financial fragility in twelve European countries and in the US by employing the first wave of the Household Finance and Consumption Survey (HFCS) and the 2010 Survey of Consumer Finances (SCF), respectively ...
Marianna Brunetti   +2 more
semanticscholar   +1 more source

Economic burden and the effects of early versus delayed hospitalization on the treatment cost of patients with acute fragility hip fractures under the UPM-PGH Orthogeriatric Multidisciplinary Fracture Management Model and Fracture Liaison Service

open access: yesOsteoporosis and Sarcopenia, 2021
Objectives: Fragility hip fractures present not only as a significant cause of morbidity and mortality to the elderly population but also as an important source of financial burden due to staggering costs for treatment.
Kiko A. Cortez   +2 more
doaj   +1 more source

Economic Vulnerability and Financial Fragility [PDF]

open access: yesReview, 2013
Unfortunately, many families with the greatest exposure to the economic dislocations of the recent recession also had very risky balance sheets beforehand that were characterized by low levels of liquid assets, high portfolio concentrations in housing, and relatively high balance-sheet leverage.
Emmons, William R., Noeth, Bryan J.
openaire   +2 more sources

Multidimensional analysis of the banking sector stability in the Eurozone countries. Effects in the context of risk [PDF]

open access: yesPrzegląd Europejski, 2023
The aim of this article is to analyse the stability of the banking sector of the Eurozone countries in light of the turbulence in the contemporary global economy. This aim is achieved through the considering current changes and tendencies in the economy,
Jacek Pera
doaj   +1 more source

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