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首页> 外文期刊>Journal of banking & finance >Explaining Bank Distress In Eastern European Transition Economies
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Explaining Bank Distress In Eastern European Transition Economies

机译:解释东欧转型经济体的银行困境

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摘要

This paper considers the joint role of macroeconomic, structural and bank-specific factors in explaining the occurrence of banking problems in the nineteen Eastern European transition countries over the last decade. With data at the individual bank level we show, using a discrete time survival model, that all three factors interact in their impact and have a rich dynamic profile, which underlines the highly volatile cycles challenging the stability of banks in this region. A fragile funding basis accompanied by high exposure to market risk in an environment of reforms and macroeconomic disturbances is the typical precursor of bank distress.
机译:本文考虑了宏观经济,结构和银行特定因素在解释过去十年来十九个东欧转型国家中银行业问题的发生中的共同作用。利用单个银行级别的数据,我们显示出,使用离散时间生存模型,所有这三个因素在其影响中相互作用并且具有丰富的动态特征,这突显了该地区银行稳定性所面临的高度波动的周期。在改革和宏观经济动荡的环境中,脆弱的资金基础以及高度的市场风险是造成银行困境的典型先兆。

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