In addition, several institutional factors such as flexible exchange rates, higher financial development and inclusion are found to mitigate this impact. Finally, the tradeoff between financial inclusion and stability nuances downside risks to growth....
Azimli (2020) focuses on theGoogle Search Index for Coronavirus (GSIC) and the risk-return dependence structure.Topcu and Gulal (2020) document the negative impact of the pandemic on emerging stockmarkets. Gharib et al. (2020) reveal the bilateral contagion effect of bubbles in oil and gold...
Impact of bank ownership and region. . . Central state-owned banks are at higher risk because their dominant and it affects the default probability as a whole. Regional state-owned banks in central region negatively associated with PD. Ahn, Muhajir, SIX Macrofinancial Determinants of Default ...
The economic impact of the pandemic in the form of a global recession due to social distancing measures, losses of revenue and income for households, businesses, and the public sector, increased public spending to manage the health impacts, contain the pandemic, and protect vulnerable businesses, ...
What Is the Impact of Large-Scale Asset Purchases and Private Banks’ Balance Sheets? Nombulelo Gumata, Eliphas Ndou Pages 211-233 Is the Interest Rate Corridor an Effective Instrument to Dampen the Accumulation of Excess Reserves and the Inter-bank Rate Volatility?
To the best of our knowledge, a comprehensive analysis of the role of CBs in addressing transition costs toward a greener economy and an assessment of the impact of the transition on price stability are still missing. Likewise, an analysis of the macroeconomic performance of non-neutral asset pu...
In addition, it presents a survey of other possible instruments that have been proposed in recent years (e.g. E-bonds and eurobonds), in order to provide an assessment of how EU macro-financial stability assistance could evolve in the future and what could be its impact on EU public ...
However, in our setting, whether a price puzzle emerges depends also on the impact of monetary policy on the exchange rate. Second, in response to capital inflows driven by external financial shocks, whether monetary policy should be contractionary or expansionary in order to restore the economy’...
panellists will reflect on the performance of the European high yield market in 2023, emerging market practice trends, ESG developments, and the impact of the macro-economic landscape and geopolitical events. ESG FS Club European high yield market time: 2023-07-05 15:00:12 views: 46073 Contac...
and other borrowers Foreign-currency-denominated loans and the impact of the presence of foreign banks on banking system risk CCA models, financial stability indicators and links to macro models Summary Appendix 10A CCA model for banks and borrowers with foreign-currency-denominated debt and lending ...