A Comprehensive Approach for Calculating Banking Sector Risks
We propose a comprehensive approach for the analysis of real economy and government sector risk transmission to the banking system and apply it in ten Euro-Area countries from 2005 to 2017. A flexible methodology is developed to model banks’ assets according to the risk-adjusted balance sheet of the...
Gorde:
| Egile Nagusiak: | , , |
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| Formatua: | Artigo |
| Hizkuntza: | Inglês |
| Argitaratua: |
MDPI AG
2020-11-01
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| Saila: | International Journal of Financial Studies |
| Gaiak: | |
| Sarrera elektronikoa: | https://www.mdpi.com/2227-7072/8/4/69 |
| Etiketak: |
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