کد مقاله کد نشریه سال انتشار مقاله انگلیسی نسخه تمام متن
5088966 1478331 2014 48 صفحه PDF دانلود رایگان
عنوان انگلیسی مقاله ISI
Macro-financial determinants of the great financial crisis: Implications for financial regulation
ترجمه فارسی عنوان
تعیین کننده های مالی کلان مالی بحران مالی بزرگ: پیامدهای تنظیم مقررات مالی
موضوعات مرتبط
علوم انسانی و اجتماعی اقتصاد، اقتصادسنجی و امور مالی اقتصاد و اقتصادسنجی
چکیده انگلیسی
We provide a cross-country and cross-bank analysis of the financial determinants of the Great Financial Crisis using data on 83 countries from the period 1998 to 2006. First, our cross-country results show that the probability of suffering the crisis in 2008 was larger for countries having higher levels of credit deposit ratio whereas it was lower for countries characterized by higher levels of: (i) net interest margin, (ii) concentration in the banking sector, (iii) restrictions to bank activities, (iv) private monitoring. The bank-level analysis reinforces these results and shows that the latter factors are also key determinants across banks, thus explaining the probability of bank crisis. Our findings contribute to extend the analytical toolkit available for macro and micro-prudential regulation.
ناشر
Database: Elsevier - ScienceDirect (ساینس دایرکت)
Journal: Journal of Banking & Finance - Volume 44, July 2014, Pages 114-129
نویسندگان
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