The effects of macroprudential policies on credit growth
AM Andrieş, F Melnic, N Sprincean - The European Journal of …, 2022 - Taylor & Francis
In this paper, we assess the effectiveness of macroprudential policies in controlling short-
and long-term credit growth. Using a sample of 414 banks located in 61 countries, we …
and long-term credit growth. Using a sample of 414 banks located in 61 countries, we …
The Impact of IFRS 9 on the Link Between Lending and the Capital Ratio in Publicly Traded Banks in Poland
P Bojar, MA Olszak - Journal of Banking and Financial Economics, 2022 - ceeol.com
This paper aims to determine the role of the expected credit loss approach as defined in
IFRS 9in the effects of capital ratio on loans growth in publicly traded banks in Poland. To …
IFRS 9in the effects of capital ratio on loans growth in publicly traded banks in Poland. To …
Резервный буфер капитала как инструмент макропруденциальной политики
ГГ Господарчук - Финансы: теория и практика, 2019 - cyberleninka.ru
Анализ основных положений Базеля III показывает, что в рамках
макропруденциальной политики задача повышения финансовой устойчивости …
макропруденциальной политики задача повышения финансовой устойчивости …
[PDF][PDF] THE EFFECTS OF MACROPRUDENTIAL POLICIES ON THE PERFORMANCE OF CONVENTIONAL BANKS IN INDONESIA
A resilient banking system in Indonesia is essential to withstand economic fluctuations that
have significantly impacted Indonesia, especially during financial crises. To address these …
have significantly impacted Indonesia, especially during financial crises. To address these …
[图书][B] Macroprudential Policies and Capital Controls Over Financial Cycles
M Arakelyan, A Gersl, MM Schindler - 2023 - books.google.com
In this paper we assess the effectiveness of macroprudential policies and capital controls in
supporting financial stability. We construct a large and granular dataset on prudential and …
supporting financial stability. We construct a large and granular dataset on prudential and …
Исследование взаимосвязи бизнес-моделей банков и стабильности экономического развития
ГГ Господарчук, АВ Аистов… - Финансы: теория и …, 2023 - financetp.fa.ru
Аннотация В зависимости от выбранной бизнес-модели банки могут быть как
амортизаторами, так и катализаторами кризиса. В связи с этим анализ взаимосвязи …
амортизаторами, так и катализаторами кризиса. В связи с этим анализ взаимосвязи …
[PDF][PDF] Procyclicality of Bank Growth and Competitive Environment: Cross-country Evidence
M Olszak, I Kowalska - Central European Journal of Economic …, 2023 - journals.pan.pl
This paper attempts to find out what is the role of competitive environment in shaping the
sensitivity of growth in banking to the business cycle. To answer this question, we apply a …
sensitivity of growth in banking to the business cycle. To answer this question, we apply a …
The impact of macroprudential policy instruments on financial stability in Southern Europe
E Lorenčič, M Festić - Naše gospodarstvo/Our economy, 2022 - sciendo.com
This paper is a contribution to the body of research examining the impact of macroprudential
policy instruments on financial stability. The following hypothesis was tested (H1) …
policy instruments on financial stability. The following hypothesis was tested (H1) …
ФИНАНСОВАЯ СТАБИЛЬНОСТЬ НА ФИНАНСОВЫХ РЫНКАХ: ИДЕНТИФИКАЦИЯ ЛИДЕРСТВА И ИСТОЧНИКОВ ГЕНЕРАЦИИ РИСКОВ
МА АБРАМОВА, ДГ АЛЕКСЕЕВА, НА АМОСОВА… - 2025 - elibrary.ru
Подготовлена на кафедре банковского дела и монетарного регулирования
Финансового факультета Финансового университета при Правительстве Российской …
Финансового факультета Финансового университета при Правительстве Российской …
[PDF][PDF] Efektifitas Kebijakan Makroprudensial dalam Mengatasi Credit Boom, Asset Bubbles dan Prosiklikalitas Modal: Analisis Meta
NP Kusuma - journal.unpar.ac.id