Essays about: "the impact of global financial crisis on banks"
Showing result 1 - 5 of 10 essays containing the words the impact of global financial crisis on banks.
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1. The Role of Uncertainty in the Scandinavian Banking Sector
University essay from Linköpings universitet/NationalekonomiAbstract : In this thesis we analyse the impact of uncertainty shocks in the Scandinavian banking sector. We apply the spillover approach developed by Diebold and Yilmaz (2009; 2012; 2014), followed by network analysis. Furthermore, the dynamics of uncertainty shocks are examined by applying a quantile regression approach. READ MORE
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2. Developments in Systemic Risk since the Global Financial Crisis: Assessment of Eurozone and US Systemically Important Banks based on Marginal Expected Shortfall
University essay from Lunds universitet/Nationalekonomiska institutionenAbstract : Present essay investigates if the systemic riskiness of Eurozone and US systemically important banks decreased subsequently to the Global Financial Crisis of 2007/2008. For each of these institutions, time series of the analytical systemic risk measure MES are estimated based on public information. READ MORE
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3. THE IMPACT OF LIQUIDITY ON PROFITABILITY : An explanatory study of the banking sector between 2008 and 2017
University essay from Umeå universitet/FöretagsekonomiAbstract : The 2007/08 global financial crisis led to significant changes in the financial world especially the banking sector. It led to regulators and governments tightening regulations in banking sector in order to mitigate the aftermath effects of the global crisis as well as prevent a repeat of the mistakes that initially led to the kick-off of the crisis. READ MORE
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4. Financial stability of Islamic and conventional banks
University essay from Lunds universitet/Nationalekonomiska institutionenAbstract : This paper examines the stability of Islamic banks and conventional banks during and after the recent global crisis by determining the impact of the crisis on the banks’ stability. This was accomplished by measuring the z-score (the stability measure) for both types, with 96 observations of 12 banks in 4 countries where both types of banks have significant market share. READ MORE
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5. Currency Basis Swap Valuation : Theory & Practise
University essay from Umeå universitet/Institutionen för matematik och matematisk statistikAbstract : Banks finance their operations in several ways, by shareholders equity, receiving deposits from customers and by borrowing from investors and other financial institutions. One widely used approach is to issue a bond. Bonds issued on the foreign capital markets is a way to increase the financing options and mitigate risk exposure. READ MORE