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Bank Losses, Monetary Policy and Financial Stability-Evidence on the Interplay from Panel Data

Bank Losses, Monetary Policy and Financial Stability-Evidence on the Interplay from Panel Data »

Source: Bank Losses, Monetary Policy and Financial Stability-Evidence on the Interplay from Panel Data

Volume/Issue: 2008/232

Series: IMF Working Papers

Author(s): Lea Zicchino , and Erlend Nier

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 September 2008

ISBN: 9781451870909

Keywords: Loan supply, banking, banking crises, bank capital,

We assess the extent to which loan losses affect banks’ provision of credit to companies and households and examine how feedback from losses to a reduction in credit is affected by the monetary policy stance...

Monitoring Banking Sector Fragility

Monitoring Banking Sector Fragility »

Source: Monitoring Banking Sector Fragility : A Multivariate Logit Approach

Volume/Issue: 1999/147

Series: IMF Working Papers

Author(s): Enrica Detragiache , and Asli Demirgüç-Kunt

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 October 1999

ISBN: 9781451856712

Keywords: Banking crises, bank fragility, monitoring, probability, banking, probabilities, banking crisis

This paper explores how a multivariate logit empirical model of banking crisis probabilities can be used to monitor banking sector fragility. The proposed approach relies on readily available data, and the fragilit...

Systemic Financial Crises, Balance Sheets, and Model Uncertainity

Systemic Financial Crises, Balance Sheets, and Model Uncertainity »

Source: Systemic Financial Crises, Balance Sheets, and Model Uncertainity

Volume/Issue: 2001/162

Series: IMF Working Papers

Author(s): Melvyn Weeks , and Mark Stone

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 October 2001

ISBN: 9781451857870

Keywords: currency crisis, bank crisis, financial crises, crisis probability, banking, contagion, bank crises, Model Evaluation and Selection, International Lending and Debt Problems,

This paper empirically examines the probability and intensity of financial crises during the 1990s with a view to informing crisis prevention and mitigation policies. The econometric analysis uses a decision-theore...

Large-Scale Post-Crisis Corporate Sector Restructuring

Large-Scale Post-Crisis Corporate Sector Restructuring »

Source: Large-Scale Post-Crisis Corporate Sector Restructuring

Volume/Issue: 2000/7

Series: IMF Policy Discussion Papers

Author(s): Mark Stone

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 July 2000

ISBN: 9781451971538

Keywords: Corporate sector, Financial crisis, Financial crises, Corporate restructuring, Financial restructuring, restructuring, recapitalization, debt restructuring, bank restructuring

This paper summarizes the objectives, tasks, and modalities of large-scale, post-crisis corporate restructuring based on nine recent episodes with a view to organizing the policy choices and drawing some general co...

Inside the Crisis

Inside the Crisis »

Source: Inside the Crisis : An Empirical Analysis of Banking Systems in Distress

Volume/Issue: 2000/156

Series: IMF Working Papers

Author(s): Poonam Gupta , Asli Demirgüç-Kunt , and Enrica Detragiache

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 August 2000

ISBN: 9781451857399

Keywords: Banking crises, bank runs, credit crunch, banking, deposit insurance, banking crisis

Using aggregate and bank level data for several countries, the paper studies what happens to the banking system in the aftermath of a banking crisis. Contemporary crises are not accompanied by declines in aggregate...

Bank Capital and Lending: An Extended Framework and Evidence of Nonlinearity

Bank Capital and Lending: An Extended Framework and Evidence of Nonlinearity »

Source: Bank Capital and Lending: An Extended Framework and Evidence of Nonlinearity

Volume/Issue: 2017/252

Series: IMF Working Papers

Author(s): Mario Catalan , Alexander Hoffmaister , and Cicilia Anggadewi Harun

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 16 November 2017

ISBN: 9781484325995

Keywords: Financial crises, Indonesia, Asia and Pacific, Bank capital; Bank lending; Financial shocks; Transmission mechanisms, Bank capital, Bank lending, Financial shocks, Transmission mechanisms, Government Policy and Regulation, Financial Markets and the Macroeconomy

This paper studies the transmission of bank capital shocks to loan supply in Indonesia. A series of theoretically founded dynamic panel data models are estimated and find nonlinear effects of capital on loan growth...

Offshore Banking

Offshore Banking »

Source: Offshore Banking : An Analysis of Micro- and Macro-Prudential Issues

Volume/Issue: 1999/5

Series: IMF Working Papers

Author(s): Luca Errico , and Alberto Musalem Borrero

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 January 1999

ISBN: 9781451842166

Keywords: Offshore Banking, Cross-Border Capital Flows, Banking Problems, Financial Crises, Prudential Regulations, Banking Supervision, banking, offshore banks, consolidated supervision, supervisory authorities

The paper takes a closer look at offshore banking—a pervasive practice that has played a role in recent crises. Offshore banking is an increasingly attractive alternative to the sometimes heavily regulated f...

Bank Losses, Monetary Policy and Financial Stability-Evidence on the Interplay from Panel Data

Bank Losses, Monetary Policy and Financial Stability-Evidence on the Interplay from Panel Data »

Volume/Issue: 2008/232

Series: IMF Working Papers

Author(s): Lea Zicchino , and Erlend Nier

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 September 2008

DOI: http://dx.doi.org/10.5089/9781451870909.001

ISBN: 9781451870909

Keywords: Loan supply, banking, banking crises, bank capital,

We assess the extent to which loan losses affect banks’ provision of credit to companies and households and examine how feedback from losses to a reduction in credit is affected by the monetary policy stance...

Monitoring Banking Sector Fragility
			: A Multivariate Logit Approach

Monitoring Banking Sector Fragility : A Multivariate Logit Approach »

Volume/Issue: 1999/147

Series: IMF Working Papers

Author(s): Enrica Detragiache , and Asli Demirgüç-Kunt

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 October 1999

DOI: http://dx.doi.org/10.5089/9781451856712.001

ISBN: 9781451856712

Keywords: Banking crises, bank fragility, monitoring, probability, banking, probabilities, banking crisis

This paper explores how a multivariate logit empirical model of banking crisis probabilities can be used to monitor banking sector fragility. The proposed approach relies on readily available data, and the fragilit...

Systemic Financial Crises, Balance Sheets, and Model Uncertainity

Systemic Financial Crises, Balance Sheets, and Model Uncertainity »

Volume/Issue: 2001/162

Series: IMF Working Papers

Author(s): Melvyn Weeks , and Mark Stone

Publisher: INTERNATIONAL MONETARY FUND

Publication Date: 01 October 2001

DOI: http://dx.doi.org/10.5089/9781451857870.001

ISBN: 9781451857870

Keywords: currency crisis, bank crisis, financial crises, crisis probability, banking, contagion, bank crises, Model Evaluation and Selection, International Lending and Debt Problems,

This paper empirically examines the probability and intensity of financial crises during the 1990s with a view to informing crisis prevention and mitigation policies. The econometric analysis uses a decision-theore...