Sector concentration in loan portfolios and economic capital
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Citations
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Cited by:
- Pierpaolo Grippa & Lucyna Gornicka, 2016. "Measuring Concentration Risk - A Partial Portfolio Approach," IMF Working Papers 2016/158, International Monetary Fund.
- Mikhail Voropaev, 2010. "Analytical Framework for Credit Portfolios," Papers 1007.5433, arXiv.org.
- Mager, Ferdinand & Schmieder, Christian, 2008. "Stress testing of real credit portfolios," Discussion Paper Series 2: Banking and Financial Studies 2008,17, Deutsche Bundesbank.
- Lyons, Paul & Nevin, Ciarán & Shaw, Frances, 2019. "Real-estate concentration in the Irish banking system," Financial Stability Notes 4/FS/19, Central Bank of Ireland.
- Natalia Nehrebecka, 2018. "Sectoral risk assessment with particular emphasis on export enterprises in Poland," Zbornik radova Ekonomskog fakulteta u Rijeci/Proceedings of Rijeka Faculty of Economics, University of Rijeka, Faculty of Economics and Business, vol. 36(2), pages 677-700.
- Natalia Nehrebecka, 2018. "Sectoral risk assessment: evidence from Poland," IFC Bulletins chapters, in: Bank for International Settlements (ed.), External sector statistics: current issues and new challenges, volume 48, Bank for International Settlements.
- Sokolov, Yuri, 2009. "Interaction between market and credit risk: Focus on the endogeneity of aggregate risk," MPRA Paper 18245, University Library of Munich, Germany.
- Klaus Düllmann & Nancy Masschelein, 2007. "A Tractable Model to Measure Sector Concentration Risk in Credit Portfolios," Journal of Financial Services Research, Springer;Western Finance Association, vol. 32(1), pages 55-79, October.
- Mikhail Voropaev, 2009. "Analytical Framework for Credit Portfolios. Part I: Systematic Risk," Papers 0911.0223, arXiv.org, revised Jul 2011.
- Nikola Tarashev & Haibin Zhu, 2008. "Specification and Calibration Errors in Measures of Portfolio Credit Risk: The Case of the ASRF Model," International Journal of Central Banking, International Journal of Central Banking, vol. 4(2), pages 129-173, June.
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More about this item
Keywords
sector concentration risk; economic capital;JEL classification:
- G21 - Financial Economics - - Financial Institutions and Services - - - Banks; Other Depository Institutions; Micro Finance Institutions; Mortgages
- G18 - Financial Economics - - General Financial Markets - - - Government Policy and Regulation
- C1 - Mathematical and Quantitative Methods - - Econometric and Statistical Methods and Methodology: General
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