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Corporate Financial Structure and Financial Stability
Abstract Drawing on a unique dataset of flow-of funds and balance sheet data, this paper analyzes the impact of financial crises on aggregate corporate financing and expenditure in a range of countries. Investment and inventory contractions are the main contributors to lower GDP growth after crises, with a much greater effect in emerging market ...
Mark R. Stone, E. P. Davis
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Government guarantees and financial stability [PDF]
zbMATH Open Web Interface contents unavailable due to conflicting licenses.
Franklin Allen +3 more
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Exchange Rate Stability and Financial Stability [PDF]
Historical evidence reveals no monocausal explanation for banking crises, including one which would emphasize the maintenance of a currency peg. To some extent this follows from the standard textbook wisdom: whether fixed or flexible exchange rates are preferable depends on the source of disturbances.
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Financial Stability Report 2021 : vulnerabilities and risks
The annual Financial Stability Report communicates Norges Bank assessments of the financial stability outlook. The Report discusses cyclical and structural developments at banks and other financial institutions and in financial markets and the Norwegian ...
core
Real-time data for estimating a forward-looking interest rate rule of the ECB
The purpose of the data presented in this article is to use it in ex post estimations of interest rate decisions by the European Central Bank (ECB), as it is done by Bletzinger and Wieland (2017) [1]. The data is of quarterly frequency from 1999 Q1 until
Tilman Bletzinger, Volker Wieland
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Are parametric models still useful to measure the market risk of bank securities holdings?
This paper estimates the daily market risk of Italian bank securities portfolios under different model assumptions, using granular data on all banks and exposures from 2008 to 2023.
Michele Leonardo Bianchi +2 more
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In article are presented the existing principles of identification of systemically important financial institution in Russia and abroad and suggested variants of improving the evidence of systemic importance.
M. A. Zhurba
doaj
Financial Stability Under Climate Stress: Empirical Evidence from Namibia
Climate change has emerged as one of the defining risks in recent years. These risks are associated with economic losses and, ultimately, the stability of the financial system.
Jaungura Kaune +2 more
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We quantify the effect of macroprudential policy in mitigating domestic and foreign shocks to a small open commodity based economy estimated on Chilean data.
J-F. Martínez +2 more
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Septin 9 polybasic domains couple phosphoinositide‐rich membrane binding to centrosome positioning, Golgi organization, and microtubule acetylation to control epithelial polarity. Their loss disrupts this axis, causing centrosome mispositioning, Golgi fragmentation, reduced microtubule acetylation, and polarity inversion via upregulation of the ...
Ting ting Cai +4 more
wiley +1 more source

