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Pre-and-post crisis

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

... debt crisis in European countries draws attention to the relationship between single monetary authority and several fiscal authorities where each independent state leads its own fiscal policy (Central Bank of ...

11

Business Models in European Banking: A pre-and post-crisis screening. CEPS Paperbacks. September 2011

Business Models in European Banking: A pre-and post-crisis screening. CEPS Paperbacks. September 2011

... To provide an overview of the evaluation of the different banking models in the discussion that follows, several key points can be highlighted. First, the results show that the performance and risk attributes vary ...

112

Economic growth and capital flow in European countries in pre and post crisis periods

Economic growth and capital flow in European countries in pre and post crisis periods

... Membership in the EU requires the full liberalization of capital flows. The new members of the EU are eventually required to abolish all barriers to the free flow of capital. On the current day the EU has 28 member ...

25

Productivity trends in the Thai manufacturing sector: the pre  and post crisis evidence relating to the 1997 economic crisis

Productivity trends in the Thai manufacturing sector: the pre and post crisis evidence relating to the 1997 economic crisis

... The economic impact of the 1997 crisis affected Thailand very broadly and deeply, though the impacts have been uneven between different sectors. The Thai economy experienced severe adjustments in many ways; the ...

340

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 pre-crisis and post-crisis periods in selected East Asian countries by verifying its long-run stability through unit root tests, and investigates the interaction among the component ...

21

Cash Holdings of Listed Companies in the Eurozone: Evidence Pre- and Post-Crisis

Cash Holdings of Listed Companies in the Eurozone: Evidence Pre- and Post-Crisis

... financial crisis which took place in Turkey in the early 2000s using a sample of listed Turkish companies between 1998 and 2002 (before and after the financial crisis); results document that more ...

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Pre  and post crisis dynamics of financial globalisation for financial development in Africa

Pre and post crisis dynamics of financial globalisation for financial development in Africa

... the pre-crisis and post-crisis ...2007-2008 crisis period in both sub-samples so that the pre- and post-crisis effects are ...the crisis period in both sub ...

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Pre and post crisis analysis of stock price and exchange rate: Evidence from Malaysia

Pre and post crisis analysis of stock price and exchange rate: Evidence from Malaysia

... Since the series are of the same order, we proceed to test the existence of cointegrating relations among the REER and SP using the Johansen cointegration test. The results are reported in Table 2. The results indicate ...

7

Interrelations among cross currency basis swap spreads: Pre and post crisis analysis

Interrelations among cross currency basis swap spreads: Pre and post crisis analysis

... the pre-crisis period worsens the (šøš‘ˆš‘…/š‘ˆš‘†š·) š‘” in the post crisis ...the crisis has since changed the vibe of the overall long-run relationship, and a long run strategy which worked ...

40

Asian Financial Integration during the Pre  and Post crisis Periods

Asian Financial Integration during the Pre and Post crisis Periods

... This study attempts to empirically assess the financial integration of ASEAN+3 by examining their exchange rates movements. Both the multilateral and bilateral relationship between the individual ASEAN+3 exchange rates ...

17

Cointegration Analysis of BIST 30 Index and MSCI Emerging Markets Index: Pre and Post Global Financial Crisis

Cointegration Analysis of BIST 30 Index and MSCI Emerging Markets Index: Pre and Post Global Financial Crisis

... financial crisis between Borsa Istanbul and emerging markets, the sample period is divided into two sub-periods : pre and post ...the pre-crisis period. However, the results for the ...

14

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

... the post-crisis period, while the other sample countries have moved towards managed floating one or de facto crawling band around US ...The post-crisis managements of Indonesia and Korea, ...

30

Remapping Secured Neighbourhoods in Conflict Prone Nigeria: The Jos Example

Remapping Secured Neighbourhoods in Conflict Prone Nigeria: The Jos Example

... The genesis of insecurity in Jos is its resource endowment and as crossroad between the north and the south. It was home to minerals such as tin and columbite which not only attracted prospectors from within but also ...

11

The Impact of Macroeconomic Variables on JCI’s Stock Return Volatility in Pre and Post Global Economic Crisis

The Impact of Macroeconomic Variables on JCI’s Stock Return Volatility in Pre and Post Global Economic Crisis

... Source : Bank of Indonesia and the Indonesia Stock Exchange Additionally, when interest rates rise, the cost of production will increase and prices will be more expensive so that consumers may be put off their purchases ...

8

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

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

... Several other studies switch their focuses from the U.S. REIT market and examine capital structure decisions in other listed real estate companies. Ooi (1999b) find that asset structure (i.e., proportion of non-monetary ...

37

Errors in Clinical Biochemistry Laboratory

Errors in Clinical Biochemistry Laboratory

... and post-analytical contributes to ...that pre analytical variables have a major contribution in the quality of the report ...that pre-analytical errors predominated in the laboratory, ranging from ...

6

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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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

... Total numbers of observations for panel 1 are 7234 and for panel 2 are 6343. Mean and median of ROA in first period are the same and it is 0.12. During second period mean and median of ROA decrease to 0.11. Mean of PBR ...

14

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

... An explanation put forward by GĀØ urtler et al. (2016) regarding such changes in CAT bond pre- mium models is that investors now mistrust the expected loss calculated by catastrophe modeling companies. Generally, ...

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