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post‑crisis period

THE EFFECTS OF 2008 CRISIS ON THE FINANCIAL SUSTAINABILITY IN EUROZONE: A COMPARISON OF PRE AND POST CRISIS PERIOD

THE EFFECTS OF 2008 CRISIS ON THE FINANCIAL SUSTAINABILITY IN EUROZONE: A COMPARISON OF PRE AND POST CRISIS PERIOD

... in period up the target year in order to reach the balanced budget by ...that period is much sounder, because the S4 indicator (balanced budget) imposed a stronger restriction than the S1 indicator ...

11

PECULIARITIES OF BANKRUPTCIES, RESTRUCTURING, MERGERS AND ACQUISITIONS IN LITHUANIA IN THE POST-CRISIS PERIOD

PECULIARITIES OF BANKRUPTCIES, RESTRUCTURING, MERGERS AND ACQUISITIONS IN LITHUANIA IN THE POST-CRISIS PERIOD

... the crisis and the number of start-ups is growing, they are facing challenges in the area of business and are looking for solutions in domestic and international ...

11

Access to Credit of SMEs in the Czech Republic During the Financial Crisis and in the Post-crisis Period

Access to Credit of SMEs in the Czech Republic During the Financial Crisis and in the Post-crisis Period

... we mean frictions which prevent a fi rm to realize all desired investments not only due to credit constraints but also due to the inability to issue equity or due to problems to issue new bonds (as suggested by Lamont et ...

6

Bankruptcy Profile of Foreign vs. Domestic Islamic Banks of Malaysia: A Post Crisis Period Analysis

Bankruptcy Profile of Foreign vs. Domestic Islamic Banks of Malaysia: A Post Crisis Period Analysis

... 2008. When the topple of gigantic world banks like the, Citigroup New York, Anglo Irish bank and Lehman Brother’s investment bank etc. swayed the momentum of the global financial system. Considering this nicety of ...

15

Fostering innovation in Russian companies in the post crisis period: Opportunities and constraints

Fostering innovation in Russian companies in the post crisis period: Opportunities and constraints

... Over the past five years, Russian innovative policy has developed significantly. The substantial role of innovations for economic growth was realized at the highest political level. Attitude to innovations has changed ...

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Conjunctural trends in the evolution of European and international trade legislation, during the post-crisis period

Conjunctural trends in the evolution of European and international trade legislation, during the post-crisis period

... jobs crisis and prevent escalation sovereign debt crisis and the fragility of the financial sector is most acute risk to the world economy now and in the future ...

6

Macroeconomic Variables, Firm Characteristics and Stock Returns during Good and Bad Times: Evidence from SEA

Macroeconomic Variables, Firm Characteristics and Stock Returns during Good and Bad Times: Evidence from SEA

... the crisis and post crisis period (sub-period B), the stock markets of all four countries are more reactive to the change in oil ...during crisis and post ...

24

The pre  and post crisis real exchange rate behavior in selected East Asian countries

The pre and post crisis real exchange rate behavior in selected East Asian countries

... the period into a pre-crisis and a post-crisis period by referring again to the Reinhart and Rogoff [12] (2002) chronologies of the exchange rate arrangements of the sample ...

21

Capital Mobility in Russia

Capital Mobility in Russia

... the post-crisis period from ...the period 1995-2013, two shifts were detected by the sequential test, and three shifts by the BIC and LWZ ...the post- crisis period, ...

19

Corporate Governance and Earnings Management Practices among Listed Firms: A Study on Post Stock Market Crisis Period in Bangladesh

Corporate Governance and Earnings Management Practices among Listed Firms: A Study on Post Stock Market Crisis Period in Bangladesh

... of crisis as it creates opportunistic incentive for managers to camouflage the true performance of the companies which is expected to decline during financial crisis period (Habib, Uddin Bhuiyan, ...

9

The role of sponsor and external management on the capital structure of Asian Pacific REITs: the case of Australia, Japan, and Singapore

The role of sponsor and external management on the capital structure of Asian Pacific REITs: the case of Australia, Japan, and Singapore

... financial crisis and that the existence of a sponsor becomes less effective at helping REITs to secure debt financing ...the post crisis ...financial crisis could have a negative effect on the ...

37

Analyzing and predicting cat bond premiums: a financial loss premium principle and extreme value modeling

Analyzing and predicting cat bond premiums: a financial loss premium principle and extreme value modeling

... financial crisis, and our estimates point to a correlation 50% higher than pre-crisis, an increase that we attribute to investors becoming increasingly risk ...the post-crisis period, ...

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Post crisis blues

Post crisis blues

... Third, the G20 needs to deal with issues about development financing. Access to finance remains a major challenge to developing economies despite international agreements supporting development financing. The ...

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The exchange rate managements in crisis experienced emerging market economies after the 1990s

The exchange rate managements in crisis experienced emerging market economies after the 1990s

... Our hypothesis is that the crisis-experienced countries, learning a lesson from the Asian crisis, have raised the flexibility of exchange rate management in the post-crisis period, in su[r] ...

30

Leverage Effect and Stochastic Volatility in the Agricultural Commodity Market under the CEV Model

Leverage Effect and Stochastic Volatility in the Agricultural Commodity Market under the CEV Model

... The wheat futures market is characterized more by driftless conditions than in the case of wheat futures prices. From the concept of calculating stochastic volatility models, there is a parameter σ, which is focused on ...

8

Foreign Capital Investment and Economic Crises in Turkey

Foreign Capital Investment and Economic Crises in Turkey

... Gulf crisis in 1991, Turkey’s economic crisis in 1994, Asian and Russian crises in 1998, and the Turkish financial crises in November 2000 and February ...financial crisis were $12 billion in 2008 ...

14

Insight of Indian sector indices for the post subprime crisis period: a vector error correction model approach

Insight of Indian sector indices for the post subprime crisis period: a vector error correction model approach

... . The three economies, China, Indonesia and India were the only exception of not showing negative GDP growth and remained resilient in the face of the intense global crisis and recession (Das DK, 2010, 2011). The ...

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DETERMINANTS OF THE PERFORMANCE OF NON–FINANCIAL FIRMS IN INDIA DURING THE PERIOD OF PRE AND POST GLOBAL FINANCIAL CRISIS

DETERMINANTS OF THE PERFORMANCE OF NON–FINANCIAL FIRMS IN INDIA DURING THE PERIOD OF PRE AND POST GLOBAL FINANCIAL CRISIS

... growth period, determinants of firm performance not only gain or lose significance but also they change in direction to impact the dependent variable during the period of global ...growth period, but ...

14

The Post Crisis Slump

The Post Crisis Slump

... The special issue also includes three papers that focus on fiscal policy issues. The financial crisis and the subsequent slump led to a sharp increase in public debt that threatens fiscal sustainability, in many ...

6

Surviving in the Land of Opportunity:  Outcomes of Post-Crisis Urban Redevelopment in the United States

Surviving in the Land of Opportunity: Outcomes of Post-Crisis Urban Redevelopment in the United States

... As neoliberal urban governance gains popularity, city leaders move toward a more mixed financial structure. This suffocates public safety net systems to poor people in urban communities, causing the state of urban ...

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