From Systemic Banking Crises to Fiscal Costs: Risk Factors
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- Maria Shchepeleva & Mikhail Stolbov & Laurent Weill, 2022. "Has the Global Financial Crisis increased wealth inequality?," International Economics, CEPII research center, issue 169, pages 148-160.
- Pienkowski Alex, 2017. "Debt Limits and the Structure of Public Debt," Journal of Globalization and Development, De Gruyter, vol. 8(2), pages 1-16, December.
- Rustam Sultanov & Umidjon Duskobilov, 2021. "Bank Risk Profile and Horizons in Financing Investment Projects: A Case Study of Selected Banks in Uzbekistan," International Journal of Management Science and Business Administration, Inovatus Services Ltd., vol. 7(5), pages 38-42, July.
- Schuknecht, Ludger, 2019.
"Fiscal-financial vulnerabilities,"
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62, Leibniz Institute for Financial Research SAFE.
- Ludger Schuknecht, 2019. "Fiscal-Financial Vulnerabilities," CESifo Working Paper Series 7776, CESifo.
- Igor V. Belyakov, 2017. "Monitoring and Analysis of Contingent Budget Liabilities to Financial System," Finansovyj žhurnal — Financial Journal, Financial Research Institute, Moscow 125375, Russia, issue 4, pages 71-84, August.
- Vojtěch Siuda & Milan Szabo, 2021. "Measuring Sovereign Credit Risk of the EU countries," Journal of Central Banking Theory and Practice, Central bank of Montenegro, vol. 10(3), pages 169-192.
- Zuzana Fungáčová & Eeva Kerola & Laurent Weill, 2022.
"Does Experience of Banking Crises Affect Trust in Banks?,"
Journal of Financial Services Research, Springer;Western Finance Association, vol. 62(1), pages 61-90, October.
- Fungáčová, Zuzana & Kerola, Eeva & Weill, Laurent, 2019. "Does experience of banking crises affect trust in banks?," BOFIT Discussion Papers 21/2019, Bank of Finland Institute for Emerging Economies (BOFIT).
- Jan Kakes & Rob Nijskens, 2018. "Size of the banking sector: implications for financial stability," DNB Occasional Studies 1606, Netherlands Central Bank, Research Department.
- Patricia Palhau Mora, 2018. "The “Too Big to Fail” Subsidy in Canada: Some Estimates," Staff Working Papers 18-9, Bank of Canada.
- Ms. Elva Bova & Marta Ruiz-Arranz & Mr. Frederik G Toscani & H. Elif Ture, 2016. "The Fiscal Costs of Contingent Liabilities: A New Dataset," IMF Working Papers 2016/014, International Monetary Fund.
- repec:zbw:bofitp:2019_021 is not listed on IDEAS
- Mr. Serkan Arslanalp & Yin Liao, 2015. "Contingent Liabilities from Banks: How to Track Them?," IMF Working Papers 2015/255, International Monetary Fund.
- Zuzana Fungáčová & Eeva Kerola & Laurent Weill, 2022.
"Does Experience of Banking Crises Affect Trust in Banks?,"
Journal of Financial Services Research, Springer;Western Finance Association, vol. 62(1), pages 61-90, October.
- Fungáčová, Zuzana & Kerola, Eeva & Weill, Laurent, 2019. "Does experience of banking crises affect trust in banks?," BOFIT Discussion Papers 21/2019, Bank of Finland, Institute for Economies in Transition.
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Keywords
WP; fiscal cost; banking crisis; cost; direct cost; financial crisis; fiscal costs; contingent liabilities; resolution cost; banking sector characteristic; cost recovery; standard deviation; Banking crises; Commercial banks; Systemic crises; Global;All these keywords.
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