Systemic Loss: A Measure of Financial Stability (in English)
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Citations
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Cited by:
- Hassan Belkacem Ghassan & Abdelkrim Ahmed Guendouz, 2019.
"Panel modeling of z-score: evidence from Islamic and conventional Saudi banks,"
International Journal of Islamic and Middle Eastern Finance and Management, Emerald Group Publishing Limited, vol. 12(3), pages 448-468, July.
- Ghassan, Hassan B. & Guendouz, Abdelkarim, 2018. "Panel Modeling of Z-score: Evidence from Islamic and Conventional Saudi Banks," MPRA Paper 95239, University Library of Munich, Germany, revised 05 Jan 2019.
- Ghassan, Hassan B. & Guendouz, Abdelkarim, 2018. "Panel Modeling of Z-score: Evidence from Islamic and Conventional Saudi Banks," MPRA Paper 95900, University Library of Munich, Germany, revised 05 Jan 2019.
- Casu, Barbara & Clare, Andrew & Saleh, Nashwa, 2011. "Towards a new model for early warning signals for systemic financial fragility and near crises: an application to OECD countries," MPRA Paper 37043, University Library of Munich, Germany.
- Tsionas, Mike G., 2016. "Parameters measuring bank risk and their estimation," European Journal of Operational Research, Elsevier, vol. 250(1), pages 291-304.
- Saldías, Martín, 2013.
"Systemic risk analysis using forward-looking Distance-to-Default series,"
Journal of Financial Stability, Elsevier, vol. 9(4), pages 498-517.
- Martin Saldias Zambrana, 2010. "Systemic risk analysis using forward-looking distance-to-default series," Working Papers (Old Series) 1005, Federal Reserve Bank of Cleveland.
- Ghassan, Hassan B. & Taher, Farid B., 2013.
"Financial Stability of Islamic and Conventional Banks in Saudi Arabia: Evidence using Pooled and Panel Models,"
MPRA Paper
54472, University Library of Munich, Germany, revised Dec 2013.
- Ghassan, Hassan B. & Taher, Farid B., 2015. "Financial Stability of Islamic and Conventional Banks in Saudi Arabia: Evidence using Pooled and Panel Models," MPRA Paper 75460, University Library of Munich, Germany, revised Jan 2015.
- Abuzayed, Bana & Al-Fayoumi, Nedal & Molyneux, Phil, 2018. "Diversification and bank stability in the GCC," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 57(C), pages 17-43.
- Hassan Ghassan & Stefano Fachin & Abdelkarim Guendouz, 2013. "Financial Stability of Islamic and Conventional Banks in Saudi Arabia: a Time Series Analysis," DSS Empirical Economics and Econometrics Working Papers Series 2013/1, Centre for Empirical Economics and Econometrics, Department of Statistics, "Sapienza" University of Rome.
- Asghar Ali & Kevin Daly, 2010. "What Explain Credit Defaults? A Comparative Study," SBP Research Bulletin, State Bank of Pakistan, Research Department, vol. 6, pages 51-65.
- Noor-e-Saher & Mehran Herbert, 2010. "Response of Long-term Interest Rate to Fiscal Imbalance: Evidence from Pakistan," SBP Research Bulletin, State Bank of Pakistan, Research Department, vol. 6, pages 43-49.
- Ali, Asghar & Daly, Kevin, 2010. "Macroeconomic determinants of credit risk: Recent evidence from a cross country study," International Review of Financial Analysis, Elsevier, vol. 19(3), pages 165-171, June.
- Mr. Tigran Poghosyan & Mr. Martin Cihak, 2009. "Distress in European Banks: An Analysis Basedon a New Dataset," IMF Working Papers 2009/009, International Monetary Fund.
- Ghassan, Hassan B. & Krichene, Noureddine, 2017. "Financial Stability of Conventional and Islamic Banks: A Survey," MPRA Paper 82372, University Library of Munich, Germany.
- Klaus Schaeck & Martin Cihak & Andrea Maechler & Stephanie Stolz, 2011.
"Who Disciplines Bank Managers?,"
Review of Finance, European Finance Association, vol. 16(1), pages 197-243.
- Andrea M. Maechler & Mr. Klaus Schaeck & Mr. Martin Cihak & Stéphanie Marie Stolz, 2009. "Who Disciplines Bank Managers?," IMF Working Papers 2009/272, International Monetary Fund.
- Albulescu, Claudiu Tiberiu, 2010.
"Forecasting The Romanian Financial System Stability Using A Stochastic Simulation Model,"
Journal for Economic Forecasting, Institute for Economic Forecasting, vol. 0(1), pages 81-98, March.
- Claudiu Tiberiu Albulescu, 2009. "Forecasting Romanian Financial System Stability using a Stochastic Simulation Model," Working Papers 2009.4, International Network for Economic Research - INFER.
- Efthymios G. Tsionas, 2014. "On modeling banking risk," Working Papers 183, Bank of Greece.
- Mr. Martin Cihak & Ms. Petya Koeva Brooks, 2009. "From Subprime Loans to Subprime Growth? Evidence for the Euro Area," IMF Working Papers 2009/069, International Monetary Fund.
- Dalenda Khouaja & Salem Lotfi Boumediene, 2014. "Regulation and Bank Deficiency: Evidence from Europe," The International Journal of Business and Finance Research, The Institute for Business and Finance Research, vol. 8(5), pages 23-33.
- Saldías, Martín, 2013.
"Systemic risk analysis using forward-looking Distance-to-Default series,"
Journal of Financial Stability, Elsevier, vol. 9(4), pages 498-517.
- Martin Saldias Zambrana, 2010. "Systemic risk analysis using forward-looking distance-to-default series," Working Papers (Old Series) 1005, Federal Reserve Bank of Cleveland.
- Martín Saldías, 2012. "Systemic Risk Analysis using Forward-Looking Distance-to-Default Series," Working Papers w201216, Banco de Portugal, Economics and Research Department.
- Naceur, Sami Ben & Candelon, Bertrand & Lajaunie, Quentin, 2019.
"Taming financial development to reduce crises,"
Emerging Markets Review, Elsevier, vol. 40(C), pages 1-1.
- Sami Ben Naceur & Bertrand Candelon & Quentin Lajaunie, 2019. "Taming Financial Development to Reduce Crises," IMF Working Papers 2019/094, International Monetary Fund.
- Naceur, Sami Ben & Candelon, Bertrand & Lajaunie, Quentin, 2019. "Taming financial development to reduce crises," LIDAM Reprints LFIN 2019005, Université catholique de Louvain, Louvain Finance (LFIN).
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More about this item
Keywords
failures; financial sector; market-based indicators; soundness indicators;All these keywords.
JEL classification:
- G18 - Financial Economics - - General Financial Markets - - - Government Policy and Regulation
- G28 - Financial Economics - - Financial Institutions and Services - - - Government Policy and Regulation
- K20 - Law and Economics - - Regulation and Business Law - - - General
- L50 - Industrial Organization - - Regulation and Industrial Policy - - - General
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