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How well do aggregate prudential ratios identify banking system problems?
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Cited by:
- Barth, James R. & Caprio, Gerard, Jr. & Levine,Ross Eric, 2012. "The evolution and impact of bank regulations," Policy Research Working Paper Series 6288, The World Bank.
- Theodora Sotiropoulou & Stefanos G. Giakoumatos & Dimitrios P. Petropoulos, 2019. "Financial development, financial stability and economic growth in European Union: a panel data approach," Advances in Management and Applied Economics, SCIENPRESS Ltd, vol. 9(3), pages 1-4.
- Creel, Jérôme & Hubert, Paul & Labondance, Fabien, 2015.
"Financial stability and economic performance,"
Economic Modelling, Elsevier, vol. 48(C), pages 25-40.
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2013. "Financial stability and economic performance," Working Papers hal-01064263, HAL.
- Jerome Creel & Paul Hubert & Fabien Labondance, 2014. "Financial Stability and Economic Performance," Working papers wpaper35, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project.
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2013. "Financial stability and economic performance," SciencePo Working papers Main hal-01064263, HAL.
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2013. "Financial stability and economic performance," Documents de Travail de l'OFCE 2013-24, Observatoire Francais des Conjonctures Economiques (OFCE).
- Mulindi, Hillary, 2021. "Cost-benefit analysis of bank regulation: Does size matter?," KBA Centre for Research on Financial Markets and Policy Working Paper Series 51, Kenya Bankers Association (KBA).
- Rachita Gulati & M. Kabir Hassan & Vincent Charles, 2024. "Developing a New Multidimensional Index of Bank Stability and Its Usage in the Design of Optimal Policy Interventions," Computational Economics, Springer;Society for Computational Economics, vol. 63(4), pages 1281-1325, April.
- GHITA-MITRESCU Silvia & DUHNEA Cristina, 2015. "An Overview On The Romanian Banking System Stability," Revista Economica, Lucian Blaga University of Sibiu, Faculty of Economic Sciences, vol. 67(1), pages 55-67, February.
- Keffala, Mohamed Rochdi, 2021. "“How using derivative instruments and purposes affects performance of Islamic banks? Evidence from CAMELS approach”," Global Finance Journal, Elsevier, vol. 50(C).
- repec:hal:spmain:info:hdl:2441/5euk7d0f8t81prfu1k2sspdcok is not listed on IDEAS
- repec:spo:wpmain:info:hdl:2441/4aoteiu16h99cpn1k5mh5eioj0 is not listed on IDEAS
- Buncic, Daniel & Melecky, Martin, 2013.
"Macroprudential stress testing of credit risk: A practical approach for policy makers,"
Journal of Financial Stability, Elsevier, vol. 9(3), pages 347-370.
- Buncic, Daniel & Melecky, Martin, 2011. "Macroprudential Stress Testing of Credit Risk: A Practical Approach for Policy Makers," Economics Working Paper Series 1139, University of St. Gallen, School of Economics and Political Science.
- Buncic, Daniel & Melecky, Martin, 2012. "Macroprudential stress testing of credit risk : a practical approach for policy makers," Policy Research Working Paper Series 5936, The World Bank.
- Buncic, Daniel & Martin, Melecky, 2011. "Macroprudential stress testing of credit risk: A practical approach for policy makers," MPRA Paper 33927, University Library of Munich, Germany.
- Ernaningsih, Indria & Smaoui, Houcem & Temimi, Akram, 2023. "The effect of capitalization on the competition-stability Nexus: Evidence from dual banking systems," Pacific-Basin Finance Journal, Elsevier, vol. 82(C).
- López, Tania & Winkler, Adalbert, 2019. "Does financial inclusion mitigate credit boom-bust cycles?," Journal of Financial Stability, Elsevier, vol. 43(C), pages 116-129.
- Woon Kan Yap & Siong Hock Law & Judhiana Abdul-Ghani, 2019. "Effects of Credit Market Freedom on Output Reallocation in China's Banking Sector Through the Intermediation of Cost X-inefficiency," Annals of Economics and Finance, Society for AEF, vol. 20(2), pages 691-720, November.
- Parrado-Martínez, Purificación & Gómez-Fernández-Aguado, Pilar & Partal-Ureña, Antonio, 2019. "Factors influencing the European bank’s probability of default: An application of SYMBOL methodology," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 61(C), pages 223-240.
- Martin Cihak & Sonia Munoz & Ryan Scuzzarella, 2012.
"The Bright and the Dark Side of Cross-Border Banking Linkages,"
Czech Journal of Economics and Finance (Finance a uver), Charles University Prague, Faculty of Social Sciences, vol. 62(3), pages 200-225, July.
- Ms. Sònia Muñoz & Mr. Ryan Scuzzarella & Mr. Martin Cihak, 2011. "The Bright and the Dark Side of Cross-Border Banking Linkages," IMF Working Papers 2011/186, International Monetary Fund.
- Dobromił Serwa, 2013. "Measuring Non-Performing Loans During (and After) Credit Booms," Central European Journal of Economic Modelling and Econometrics, Central European Journal of Economic Modelling and Econometrics, vol. 5(3), pages 163-183, September.
- E. Philip Davis & Dilruba Karim, 2019. "Exploring short‐ and long‐run links from bank competition to risk," European Financial Management, European Financial Management Association, vol. 25(3), pages 462-488, June.
- Raphaël Cardot-Martin & Fabien Labondance & Catherine Refait-Alexandre, 2022.
"Capital ratios and banking crises in the European Union,"
International Economics, CEPII research center, issue 172, pages 389-402.
- Cardot-Martin, Raphaël & Labondance, Fabien & Refait-Alexandre, Catherine, 2022. "Capital ratios and banking crises in the European Union," International Economics, Elsevier, vol. 172(C), pages 389-402.
- Raphaël Cardot-Martin & Fabien Labondance & Catherine Refait-Alexandre, 2021. "Capital ratios and banking crises in the European Union," Working Papers hal-04543816, HAL.
- Raphaël Cardot-Martin & Fabien Labondance & Catherine Refait-Alexandre, 2021. "Capital ratios and banking crises in the European Union," Working Papers 2021-05, CRESE.
- Petr Jakubik & Bogdan Gabriel Moinescu, 2023. "What is the optimal capital ratio implying a stable European banking system?," International Finance, Wiley Blackwell, vol. 26(3), pages 324-343, December.
- Cihak, Martin & Demirguc-Kunt, Asli & Feyen, Erik & Levine, Ross, 2012. "Benchmarking financial systems around the world," Policy Research Working Paper Series 6175, The World Bank.
- Maria Kasselaki & Athanasios Tagkalakis, 2014.
"Financial soundness indicators and financial crisis episodes,"
Annals of Finance, Springer, vol. 10(4), pages 623-669, November.
- Maria Th. Kasselaki & Athanasios O. Tagkalakis, 2013. "Financial soundness indicators and financial crisis episodes," Working Papers 158, Bank of Greece.
- Adachi-Sato, Meg & Vithessonthi, Chaiporn, 2017. "Bank systemic risk and corporate investment: Evidence from the US," International Review of Financial Analysis, Elsevier, vol. 50(C), pages 151-163.
- Miss Gabriela Dobrescu & Iva Petrova & Nazim Belhocine & Mr. Emanuele Baldacci, 2011. "Assessing Fiscal Stress," IMF Working Papers 2011/100, International Monetary Fund.
- Levieuge, G. & Lucotte, Y. & Pradines-Jobet, F., 2019.
"Central banks’ preferences and banking sector vulnerability,"
Journal of Financial Stability, Elsevier, vol. 40(C), pages 110-131.
- Gregory Levieuge & Yannick Lucotte & Florian Pradines-Jobet, 2017. "Central banks preferences and banking sector vulnerability," Bank of Estonia Working Papers wp2017-3, Bank of Estonia, revised 25 May 2017.
- Jerome Creel & Paul Hubert & Fabien Labondance, 2015.
"The intertwining of financialisation and financial instability,"
Documents de Travail de l'OFCE
2015-14, Observatoire Francais des Conjonctures Economiques (OFCE).
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2015. "The Intertwining of financialisation and financial instability," Working Papers hal-01157936, HAL.
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2015. "The Intertwining of financialisation and financial instability," SciencePo Working papers Main hal-01157936, HAL.
- Tagkalakis, Athanasios, 2013.
"The effects of financial crisis on fiscal positions,"
European Journal of Political Economy, Elsevier, vol. 29(C), pages 197-213.
- Athanasios Tagkalakis, 2012. "The effects of financial crisis on fiscal positions," Working Papers 145, Bank of Greece.
- Matkovskyy, Roman & Bouraoui, Taoufik & Hammami, Helmi, 2016.
"Analysing the financial strength of Tunisia: An approach to estimate an index of financial safety,"
Research in International Business and Finance, Elsevier, vol. 38(C), pages 485-493.
- Roman Matkovskyy & Taoufik Bouraoui & Helmi Hammami, 2016. "Analysing the financial strength of Tunisia: An approach to estimate an index of financial safety," Post-Print hal-02008005, HAL.
- repec:spo:wpmain:info:hdl:2441/7cesh5fts89ft984viovct5djb is not listed on IDEAS
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2021.
"The intertwining of credit and banking fragility,"
International Journal of Finance & Economics, John Wiley & Sons, Ltd., vol. 26(1), pages 459-475, January.
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2019. "The intertwining of credit and banking fragility," Post-Print hal-02894259, HAL.
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2019. "The intertwining of credit and banking fragility," SciencePo Working papers Main hal-02894259, HAL.
- Matkovskyy, Roman & Bouraoui, Taoufik & Hammami, Helmi, 2015. "Estimation and prediction of an Index of Financial Safety of Tunisia," MPRA Paper 74573, University Library of Munich, Germany, revised 2016.
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2015.
"Financial stability and economic performance in Europe,"
Post-Print
hal-03459729, HAL.
- Jérôme Creel & Paul Hubert & Fabien Labondance, 2015. "Financial stability and economic performance in Europe," SciencePo Working papers Main hal-03459729, HAL.
- Abad-González, Julio & Gutiérrez-López, Cristina, 2016. "Modelización de la solvencia bancaria en escenarios adversos: aplicación a los «PIIGS»," Revista de Contabilidad - Spanish Accounting Review, Elsevier, vol. 19(2), pages 227-238.
- Purificacion Parrado-Martinez & Antonio Parta Ureña & Pilar Gomez Fernandez-Aguado, 2014. "Usefulness of Financial Soundness Indicators for risk assessment: The case of EU member countries," Working Papers 14.01, Universidad Pablo de Olavide, Department of Financial Economics and Accounting (former Department of Business Administration).
- Adegboro, Opeyemi Oluwole & Orekoya, Samuel & Adekunle, Wasiu, 2019. "An Assessment of the Stability and Diversity of the Nigerian Financial Service Sector," MPRA Paper 100995, University Library of Munich, Germany.
- repec:hal:spmain:info:hdl:2441/4aoteiu16h99cpn1k5mh5eioj0 is not listed on IDEAS
- VanHoose, David, 2011.
"Systemic Risk and Macroprudential Bank Regulation: A Critical Appraisal,"
Journal of Financial Transformation, Capco Institute, vol. 33, pages 45-60.
- David VanHoose, 2011. "Systemic Risks and Macroprudential Bank Regulation: A Critical Appraisal," NFI Policy Briefs 2011-PB-04, Indiana State University, Scott College of Business, Networks Financial Institute.
- Sayyed Mahdi Ziaei, 2017. "Effects of Financial Soundness and Openness on Financial Development," Review of Pacific Basin Financial Markets and Policies (RPBFMP), World Scientific Publishing Co. Pte. Ltd., vol. 20(04), pages 1-14, December.
- repec:spo:wpmain:info:hdl:2441/f6h8764enu2lskk9p5296ie95 is not listed on IDEAS
- repec:spo:wpecon:info:hdl:2441/f6h8764enu2lskk9p5296ie95 is not listed on IDEAS
- Gerhardt, Maria & Vennet, Rudi Vander, 2017.
"Bank bailouts in Europe and bank performance,"
Finance Research Letters, Elsevier, vol. 22(C), pages 74-80.
- Maria Gerhardt & Rudi Vander Vennet, 2016. "Bank Bailouts In Europe And Bank Performance," Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium 16/921, Ghent University, Faculty of Economics and Business Administration.
- Okoli, Chukwudi Francis & Ifurueze, Meshack S & Nweze, Augustine U., 2020. "Liquidity and Performance of Deposits Money Banks in Nigeria," International Journal of Research and Innovation in Social Science, International Journal of Research and Innovation in Social Science (IJRISS), vol. 4(10), pages 212-222, October.
- Fung, Derrick W.H. & Lee, Wing Yan & Yeh, Jason J.H. & Yuen, Fei Lung, 2020. "Friend or foe: The divergent effects of FinTech on financial stability," Emerging Markets Review, Elsevier, vol. 45(C).
- Vasiliki Makri, 2016. "Towards an Investigation of Credit Risk Determinants in Eurozone Countries," Journal of Accounting and Management Information Systems, Faculty of Accounting and Management Information Systems, The Bucharest University of Economic Studies, vol. 15(1), pages 27-57, March.
- Mario Pecaric & Josip Viskovic, 2013. "The effects of prudential policy measures on financial stability in post-transition countries," Zbornik radova Ekonomskog fakulteta u Rijeci/Proceedings of Rijeka Faculty of Economics, University of Rijeka, Faculty of Economics and Business, vol. 31(1), pages 9-34.
- repec:spo:wpmain:info:hdl:2441/5euk7d0f8t81prfu1k2sspdcok is not listed on IDEAS
- Hamdaoui, Mekki & Maktouf, Samir, 2020. "Financial reforms and banking system vulnerability: The role of regulatory frameworks," Structural Change and Economic Dynamics, Elsevier, vol. 52(C), pages 184-205.
- Ms. Natasha X Che & Yoko Shinagawa, 2014. "Financial Soundness Indicators and the Characteristics of Financial Cycles," IMF Working Papers 2014/014, International Monetary Fund.
- Cristina Pereira Pedro & Joaquim J. S. Ramalho & Jacinto Vidigal Silva, 2018. "The main determinants of banking crises in OECD countries," Review of World Economics (Weltwirtschaftliches Archiv), Springer;Institut für Weltwirtschaft (Kiel Institute for the World Economy), vol. 154(1), pages 203-227, February.
- Adachi-Sato, Meg & Vithessonthi, Chaiporn, 2021. "Bank risk-taking and corporate investment: Evidence from the Global Financial Crisis of 2007–2009," Global Finance Journal, Elsevier, vol. 49(C).
- Okoli, Chukwudi Francis & Ifurueze, Meshack S & Nweze, Augustine U., 2020. "Non-Performing Loans and Performance of Deposits Money Banks in Nigeria," International Journal of Research and Innovation in Social Science, International Journal of Research and Innovation in Social Science (IJRISS), vol. 4(10), pages 201-211, October.
- repec:hal:wpspec:info:hdl:2441/f6h8764enu2lskk9p5296ie95 is not listed on IDEAS
- Ali, Amjad, 2022.
"Foreign Debt, Financial Stability, Exchange Rate Volatility and Economic Growth in South Asian Countries,"
MPRA Paper
116328, University Library of Munich, Germany, revised 2022.
- Ali, Amjad, 2022. "Foreign Debt, Financial Stability, Exchange Rate Volatility and Economic Growth in South Asian Countries," MPRA Paper 116099, University Library of Munich, Germany.
- Tagkalakis, Athanasios O., 2014.
"Financial stability indicators and public debt developments,"
The Quarterly Review of Economics and Finance, Elsevier, vol. 54(2), pages 158-179.
- Athanasios O. Tagkalakis, 2014. "Financial stability indicators and public debt developments," Working Papers 179, Bank of Greece.
- Paola Bongini & Małgorzata Iwanicz-Drozdowska & Paweł Smaga & Bartosz Witkowski, 2018. "In search of a measure of banking sector distress: empirical study of CESEE banking sectors," Risk Management, Palgrave Macmillan, vol. 20(3), pages 242-257, August.
- Mohamed Rochdi Keffala, 2018. "Analyzing the effect of derivatives on the financial soundness of commercial banks in Italy: An approach based on the CAMELS framework," Review of Financial Economics, John Wiley & Sons, vol. 36(3), pages 267-283, July.
- repec:hal:spmain:info:hdl:2441/f6h8764enu2lskk9p5296ie95 is not listed on IDEAS
- Boďa, Martin & Zimková, Emília, 2021. "Overcoming the loan-to-deposit ratio by a financial intermediation measure — A perspective instrument of financial stability policy," Journal of Policy Modeling, Elsevier, vol. 43(5), pages 1051-1069.
- Celia Álvarez‐Botas & Víctor M. González, 2021. "Institutions, banking structure and the cost of debt: new international evidence," Accounting and Finance, Accounting and Finance Association of Australia and New Zealand, vol. 61(1), pages 265-303, March.
- Osoro, Jared & Josea, Kiplangat, 2020. "Market power and intermediation efficiency in Kenya: Blind spots and empirical clarity," KBA Centre for Research on Financial Markets and Policy Working Paper Series 39, Kenya Bankers Association (KBA).
- Bojinov, Bojidar, 2014. "Improving the rating system for remote monitoring of commercial banks in Bulgaria (PERLA)," MPRA Paper 56035, University Library of Munich, Germany.
- repec:hal:spmain:info:hdl:2441/7cesh5fts89ft984viovct5djb is not listed on IDEAS