How the COVID-19 pandemic affects bank risks and returns: evidence from EU members in central, eastern, and northern Europe
The purpose of this study was to examine banks' strategic adjustments to the challenges
brought about by the COVID-19 pandemic. It examines how deep and pressing the …
brought about by the COVID-19 pandemic. It examines how deep and pressing the …
Bank performance and financial stability during the COVID-19 pandemic: lessons from the MENA region
Purpose This study investigates the role of market concentration and efficiency in banking
system stability during the COVID-19 pandemic. We empirically test the hypothesis that …
system stability during the COVID-19 pandemic. We empirically test the hypothesis that …
Stock market stability on selected CEE and SEE markets: A quantile regression approach
T Škrinjarić - Post-Communist Economies, 2020 - Taylor & Francis
Financial market stability has been a hot topic in the last decade due to its importance for
both policymakers and international investors. However, formal testing of this phenomenon …
both policymakers and international investors. However, formal testing of this phenomenon …
Are interest rate changes comoving with financial cycle?
P Smaga - Acta Oeconomica, 2021 - akjournals.com
We explore to what extent official interest rate changes can potentially in a procyclical
manner impact different financial cycle indicators (credit/GDP, debt service ratio, house …
manner impact different financial cycle indicators (credit/GDP, debt service ratio, house …
Keep your friends close and your enemies closer–the case of monetary policy and financial imbalances
M Iwanicz-Drozdowska, Ł Kurowski - German Economic Review, 2021 - degruyter.com
The global financial crisis (GFC) has shown that monetary policy focused on a stable price
level may negatively affect the stability of the financial system. Therefore, achieving price …
level may negatively affect the stability of the financial system. Therefore, achieving price …
Stabilność i wyniki finansowe banków w krajach Europy graniczących z konfliktem militarnym w Ukrainie
Artykuł bada wpływ wojny w Ukrainie na kondycję finansową i stabilność banków w krajach
Europy Środkowo-Wschodniej bezpośrednio graniczących z krajami zaangażowanymi w …
Europy Środkowo-Wschodniej bezpośrednio graniczących z krajami zaangażowanymi w …
[HTML][HTML] Stability and Financial Performance of Banks in European Countries Bordering the Military Conflict in Ukraine
The paper examines the impact of the war in Ukraine on the financial condition and stability
of banks in Central and Eastern European nations directly bordering on the countries …
of banks in Central and Eastern European nations directly bordering on the countries …
Access to Credit and Growth of Firms.
M Brzozowski - Finance a Uver: Czech Journal of Economics …, 2019 - search.ebscohost.com
The aim of the paper is to analyze the employment and sales growth of companies in
transition countries of Eastern Europe and Central Asia that have obtained bank credit in the …
transition countries of Eastern Europe and Central Asia that have obtained bank credit in the …
Wpływ kwestii ESG na stabilność finansową banków notowanych na giełdach europejskich
Artykuł przedstawia wyniki badań dotyczących powiązań pomiędzy wskaźnikiem ESG, a
wybranymi wskaźnikami stabilności finansowej banków. Analizę empiryczną …
wybranymi wskaźnikami stabilności finansowej banków. Analizę empiryczną …
Foreign-owned banks and their impact on Kenya's financial stability
We examine the effect of foreign banks' presence on financial stability in Kenya. We
consider a two-fold outcome, that is, whether or not foreign-owned banks enhance financial …
consider a two-fold outcome, that is, whether or not foreign-owned banks enhance financial …