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Bailout policies, bank competition and bank risk-taking in crisis periods
(2016)
This paper analyzes the impact of government bailout policies on the risk of the banking sector in OECD countries between 2005 and 2013. We use the 2007-2008 financial crisis as an exogenous source of change in bailout ...
Do bailouts make banks “too interconnected to fail”?: the effects of TARP on the interbank market and bank risk-taking
(2018-05-09)
I investigate how the Troubled Asset Relief Program (TARP) affected the stressed interbank money market trading during the recent financial crisis via a difference-in-difference (DiD) design. I find that the TARP capital ...
Políticas de salvamento e risco bancário em período de crise
(2016-06-01)
This dissertation analyzes the impact of government bailout policies on the risk of the banking sector in OECD countries between 2005 and 2013. First, in line with the moral hazard hypothesis, I verify that financial ...
Fiscal implications of Mexico´s 1994 banking crisis and bailout
(Centro de Investigación y Docencia Económicas, 2011)
The Destiny of the First Two Greek “Rescue” Packages: A Survey
(Routledge Journals, Taylor & Francis Ltd, 2019-04-29)
This article analyzes the financial assistance provided to Greece in the first two rescue packages granted by the Troika (European Union, European Central Bank, and IMF). By drawing on official data and documentation, this ...
Lessons we learned from the global financial crisis: a minskian interpretation of the causes, the fed's bail-out, and the future
(2011)
This paper will begin with a quick overview of the causes of the Global Financial Crisis (GFC) that began in 2007. There were many contributing factors but among the most important were rising inequality and stagnant incomes ...
El camino hacia la unión bancaria europea : un análisis del Fondo Único de Resolución (SRF)
(Universidad de San Andrés. Departamento de Economía, 2015)
La crisis europea que comenzó en 2007 demostró que era necesario avanzar hacia una integración bancaria profunda, que incluyera la centralización tanto de la supervisión como de los procesos de resolución de los bancos. ...
Fiscal implications of Mexico's 1994 banking crisis and bailout
(Centro de Investigación y Docencia Económicas, División de Administración Pública, 2022)