Essays about: "Banking Crisis"
Showing result 11 - 15 of 146 essays containing the words Banking Crisis.
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11. The Corona Crisis as Ultimate Stress Test- Market Reaction to EBA´s 2020 Stress Test Postponement
University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomiAbstract : In response to the COVID-19 outbreak, the European Banking Authority (EBA) decided to postpone its biennial 2020 stress test to 2021. The supervisory exercise was supposed to answer whether banks have sufficient capital to withstand the impact of a global economic recession. READ MORE
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12. Prosperity and security? : a study of resilience in Handelsbanken
University essay from SLU/Dept. of EconomicsAbstract : This thesis identifies the factors that make the Swedish bank Handelsbanken resilient. Throughout the financial crises in recent memory, Handelsbanken has remained strong and managed to avoid bailouts from the Swedish government. READ MORE
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13. A Quantitative Evaluation of Systemic Risk in the European Banking Sector
University essay from Göteborgs universitet/Graduate SchoolAbstract : This paper proposes a cross-section analysis of systemic risk in the European banking sector. The absence of a general definition of systemic risk makes it difficult to use a single, practically relevant model. READ MORE
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14. A Study Evaluating the Liquidity Risk for Non-Maturity Deposits at a Swedish Niche Bank
University essay from KTH/Matematisk statistikAbstract : Since the 2008 financial crisis, the interest for the subject area of modelling non-maturity deposits has been growing quickly. The area has been widely analysed from the perspective of a traditional bank where customers foremost have transactional and salary deposits. However, in recent year the Swedish banking sector has become more digitized. READ MORE
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15. Interest Risk Factors and Stock Returns of US Banks: The Effects of Size and Financial Crisis
University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomiAbstract : We find that the effects of interest risk factors on US banks' stock returns are affected by banks' size, measured by market equity values, and income structures, measured by the ratios of interest income and interest expense. The effects of interest risk factors have changed after 2008 financial crisis. READ MORE