Results 31 to 40 of about 2,186,963 (333)
Economic Vulnerability and Financial Fragility [PDF]
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.
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Nexus Between Equity Pricing Models and Equity Price Fragility: Empirical Insights From Pakistan
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 and the Fiscal Multiplier [PDF]
AbstractWe show that undercapitalized banks with large holdings of government bonds subject to sovereign default risk lead to a new crowding‐out channel: deficit‐financed fiscal stimuli lead to higher bond yields, triggering capital losses for the banks. Banks then cut back loans, which reduces fiscal multipliers.
van Wijnbergen, S., van der Kwaak, C.
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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
The Political Economy of Financial Fragility [PDF]
Financial liberalization under weak regulation is often followed by financial crises. We argue that this may be the deliberate outcome of lobbying interests capturing the reform process. Liberalization may be designed to provide fragile financial access to new entrants by limiting investor protection, resulting in financial deepening rather than ...
Feijen, Erik, Perotti, Enrico
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Towards a measure of financial fragility [PDF]
The paper proposes a measure of financial fragility that is based on economic welfare in a general equilibrium model calibrated against UK data. The model comprises a household sector, three active heterogeneous banks, a central bank/regulator, incomplete markets, and endogenous default.
Oriol Aspachs +3 more
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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 in the COVID-19 Crisis: The Case of Investment Funds in Corporate Bond Markets
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
A model to analyse financial fragility [PDF]
Our purpose in this paper is to produce a tractable model which illuminates problems relating to individual bank behaviour and risk-taking, to possible contagious interrelationships between banks, and to the appropriate design of prudential requirements and incentives to limit ‘excessive’ risk-taking.
Charles A.E. Goodhart +2 more
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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

