Stress tests have recently become one of the usual procedures to assess the resilience of the EU banking systems against economic distress. Their results have also influenced and conditioned the last European banking sector restructuring and recapitalization process.The aim of this paper is to predict the core tier1 ratio assessed by the 2011 European stress tests by means of a multilevel regression model. Financial ratios, sovereign debt exposures and macroeconomic indicators are considered as explanatory variables. The sample consists of the financial institutions from the so-called PIIGS countries (Portugal, Italy, Ireland, Greece and Spain). The results show that a CAMEL model has good predictive capability when country and scenario dum...
Credit and market risks are crucial for financial institutions. In this paper we present the model u...
[Esp] La última crisis financiera puso de manifiesto la necesidad de regular el sistema financiero e...
Mestrado em Economia Monetária e FinanceiraO presente trabalho estuda as causas das crises bancárias...
ResumenEn los últimos años se han realizado diversas pruebas de estrés a la banca europea con el fin...
En los últimos años se han realizado diversas pruebas de estrés a la banca europea con el fin de eva...
244 p.El objeto de estudio de la presente Tesis Doctoral es el análisis de la solvencia de las entid...
The Greek sovereign debt crisis exposed the weaknesses of the financial system in relation to the co...
The Spanish financial system faces a new situation defined by a financial crisis and higher capital ...
Treball Final de Grau en Finances i Comptabilitat. Codi: FC1049. Curs: 2015/2016Owing to the financi...
This study performs a stress testing exercise on the Italian banking system in view of the 2007 fina...
Mestrado em FinançasO presente estudo analisa as melhores variáveis para prever uma crise bancária n...
The aim of this paper is to present an estimated model for banking classification applying multivari...
The latest economic and financial crisis has shown how quickly vulnerabilities on the financial side...
Abstract—Stress Tests are conducted by national supervisors as well as by the European Banking Auth...
Este TFM tiene como principal objetivo recoger el análisis sobre la solvencia de las principales en...
Credit and market risks are crucial for financial institutions. In this paper we present the model u...
[Esp] La última crisis financiera puso de manifiesto la necesidad de regular el sistema financiero e...
Mestrado em Economia Monetária e FinanceiraO presente trabalho estuda as causas das crises bancárias...
ResumenEn los últimos años se han realizado diversas pruebas de estrés a la banca europea con el fin...
En los últimos años se han realizado diversas pruebas de estrés a la banca europea con el fin de eva...
244 p.El objeto de estudio de la presente Tesis Doctoral es el análisis de la solvencia de las entid...
The Greek sovereign debt crisis exposed the weaknesses of the financial system in relation to the co...
The Spanish financial system faces a new situation defined by a financial crisis and higher capital ...
Treball Final de Grau en Finances i Comptabilitat. Codi: FC1049. Curs: 2015/2016Owing to the financi...
This study performs a stress testing exercise on the Italian banking system in view of the 2007 fina...
Mestrado em FinançasO presente estudo analisa as melhores variáveis para prever uma crise bancária n...
The aim of this paper is to present an estimated model for banking classification applying multivari...
The latest economic and financial crisis has shown how quickly vulnerabilities on the financial side...
Abstract—Stress Tests are conducted by national supervisors as well as by the European Banking Auth...
Este TFM tiene como principal objetivo recoger el análisis sobre la solvencia de las principales en...
Credit and market risks are crucial for financial institutions. In this paper we present the model u...
[Esp] La última crisis financiera puso de manifiesto la necesidad de regular el sistema financiero e...
Mestrado em Economia Monetária e FinanceiraO presente trabalho estuda as causas das crises bancárias...