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Banking system stability

by Philipp Hartmann

2005Banks and bankingRisk assessment
0.0
Open Library
Open Library

About this book

"This paper derives indicators of the severity and structure of banking system risk from asymptotic interdependencies between banks' equity prices. We use new tools available from multivariate extreme value theory to estimate individual banks' exposure to each other ("contagion risk") and to systematic risk. Moreover, by applying structural break tests to those measures we study whether capital markets indicate changes in the importance of systemic risk over time. Using data for the United States and the euro area, we can also compare banking system stability between the two largest economies in the world. Finally, for Europe we assess the relative importance of cross-border bank spillovers as compared to domestic bank spillovers. The results suggest, inter alia, that systemic risk in the US is higher than in the euro area, mainly as cross-border risks are still relatively mild in Europe. On both sides of the Atlantic systemic risk has increased during the 1990s"--National Bureau of Economic Research web site.

Themes & subjects

Banks and bankingRisk assessment
First published 2005

Setting

United StatesEurope

Author

Philipp Hartmann

First published

2005

Editions

2

Language

English

Publisher

European Central Bank

Where to buy

TR
Amazon Bookshop

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