Showing 121 - 140 results of 196 for search '"financial crisis"', query time: 0.08s Refine Results
  1. 121

    Theoretical Dispute About the Relationship Between Interest and Growth Rates by Überblick

    Published 2020-08-01
    “…Abstract Since the outbreak of the economic and financial crisis, the prolonged phase of low interest rates has been increasingly controversial. …”
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  2. 122

    «Authoritarian Transition of Peripheral Countries of Interwar Europe: Politological Analysis» by E. G. Ponomareva

    Published 2009-12-01
    “…However, the main conclusion is: the complex economic, political and socio-cultural situation in the countries of Central and Eastern Europe, South-East Europe and the Baltic states aggravated by the consequences of globalization and world financial crisis is able to provoke recurrences of authoritarian transition.…”
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  3. 123

    Analysis of structure of a public debt of the countries of Latin America by F. A. Ahmed Abu Bakr

    Published 2013-04-01
    “…Finally, the author considers debt management options for local government policies weighing the implications of the ongoing global financial crisis and the scarcity of external credit resources…”
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  4. 124

    ARE POLISH BANKS STABLE? A SYSTEMIC RISK ANALYSIS by Piotr Misztal, Marcin Łupiński

    Published 2022-06-01
    “…The financial crisis that began in 2007 pointed out deficiencies in policy-makers’ responses to systemic risk. …”
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  5. 125

    BRICS 15 Years On: Challenges and Opportunities for Emerging Countries in the Shifting Global Institutional Landscape by Gabriel Rached, R.M. Rodrigues de Sá

    Published 2024-03-01
    “…Since the onset of the 2008 financial crisis, the concept of multipolarity has regained prominence, driven by the persistent demands of emerging economies for increased representation and involvement within multilateral institutions. …”
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  6. 126

    ARE POLISH BANKS STABLE? A SYSTEMIC RISK ANALYSIS by Piotr Misztal, Marcin Łupiński

    Published 2020-06-01
    “…The financial crisis that began in 2007 pointed out deficiencies in policy-makers’ responsesto systemic risk. …”
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    Article
  7. 127

    Multidimensional Scaling Analysis of the Dynamics of a Country Economy by J. A. Tenreiro Machado, Maria Eugénia Mata

    Published 2013-01-01
    “…Such features are major aspects of collective national achievement, to which can be associated the impact of international problems such as the World Wars, the Great Depression, or the current global financial crisis, as well as national events in the context of broad political blueprints for the Portuguese society in the rising globalization process.…”
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  8. 128

    Crises et transformations du modèle social-démocrate suédois by Jean-François Vidal

    Published 2010-12-01
    “…We conclude that the severe financial crisis of 1991-1992 that followed bank deregulation played a more significant role than did the erosion of the neo-corporatist collective bargaining system, the expansion of the welfare state, or the inadequacy of the specialization of the country’s exports. …”
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  9. 129

    Systemic Risk in the Interbank Market with Overlapping Portfolios by Shanshan Jiang, Hong Fan

    Published 2019-01-01
    “…The increasing frequency and scope of the financial crisis have attracted more attention in the research of the systemic risk of banking system. …”
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  10. 130

    Corporate Governance of Banks, The Key for Trust: A Bibliometric Analysis by Banu Sultanoğlu, Burcu Gurol, Gerçek Özparlak

    Published 2024-06-01
    “…The results show that the interest in corporate governance in banks increased, especially after the 2008 financial crisis, and the studies focused on the board structure-bank performance and board structure-risk appetite relations. …”
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  11. 131

    Zombie firms and resource allocation: research trends and developments during the spread of COVID-19 by Kotone Yamada, Yukio Minoura, Jouchi Nakajima, Tomoyuki Yagi

    Published 2025-12-01
    “…It mainly focuses on Japan after the collapse of its bubble economy, European countries after the global financial crisis and the sovereign debt crises, China under debt expansion, and developed countries during the spread of COVID-19. …”
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  12. 132

    Ten Years After the 2008 Crisis: Has Risk Aversion Won? by Eliana Marcia Martins Fittipaldi Torga, Carolina Magda da Silva Roma, Paula Magda Roma, Bruno Pérez Ferreira

    Published 2023-01-01
    “…The aim of this paper is to investigate the performance of low-volatility portfolio strategies representing risk aversion after the 2008 global financial crisis. Five investment portfolios were built by taking into consideration the weight distribution criteria defined by the inverse of the standard deviation of assets, the natural logarithm and exponential of these values, as well as the minimum variance and tangent portfolios, based on the S&P 500 futures index, dollar futures index, US government long-term bond (10-year Treasury Bond) and gold futures. …”
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  13. 133

    Urban redevelopment, governance and vulnerability: thirty years of ‘regeneration’ in Dublin by Niamh Moore-Cherry

    Published 2020-12-01
    “…Since the global financial crisis, neoliberal governmentalities have been more deeply embedded in place through new institutions and the formation of a new growth machine that has produced new vulnerabilities. …”
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  14. 134

    Evolution of the G20 and its role in modern conditions by O. B. Anikin, M. V. Mineeva

    Published 2025-01-01
    “…The prerequisite for the G20 creation was the Asian financial crisis of the second half of the 1990s, after which it was decided to hold the G20 forum with the participation of finance ministers and central bank governors of countries to discuss and make decisions on global economic and financial issues. …”
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  15. 135

    Reurbanization and Spatially Polarized Land Markets – An Analysis of Urban Land-Value Changes in North Rhine-Westphalia, Germany, 2012–2024 by Stefan Siedentop, Maximilian Schartmann

    Published 2025-02-01
    “…While some scholars point to the scarcity of developable land due to regulatory restrictions, others see the “financialization” of housing markets in the wake of the financial crisis and the massive influx of liquid capital into land and housing markets as the decisive driver. …”
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  16. 136

    Le renouvellement de la pensée économique durant la crise des années 1930. Le découplage théorie économique / politique économique by Jean-François Ponsot, Michel Rocca

    Published 2013-06-01
    “…The article is related to the evolution of the economic thought when it is confronted with a severe economic and financial crisis. The article studies the special case of the crisis of the 1930s. …”
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  17. 137

    Application of Big Data Unbalanced Classification Algorithm in Credit Risk Analysis of Insurance Companies by Xian Wu, Huan Liu

    Published 2022-01-01
    “…The 2008 global financial crisis triggered by subprime mortgage crisis in the United States and the ongoing European debt crisis have urged governments and academics to pay high attention to financial industry risk supervision. …”
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  18. 138

    Decoding systemic risks across commodities and emerging market stock markets by Fahmi Ghallabi, Ahmed Ghorbel, Sitara Karim

    Published 2025-01-01
    “…Using the Asymmetric Dynamic Conditional Correlation–Conditional Value-at-Risk (ADCC-CoVaR) model and a bootstrapped Kolmogorov–Smirnov (KS) test, we analyze the period from December 30, 2005, to February 28, 2024, examining correlations, downside and upside risk spillovers, and highlighting the effects of major events such as the global financial crisis of 2008, the COVID-19 pandemic, and the Russia-Ukraine war. …”
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  19. 139

    Transparency of the Federal Reserve, a Force of Stability or Volatility in Financial Markets Post 2008 and Prior to COVID-19? by Carolyne C. Soper, Monika K. Sywak

    Published 2024-12-01
    “…The purpose of this article is to analyze how the Central Bank of the United States, the Federal Reserve’s decision to provide greater transparency after the Financial Crisis of 2008 impacted the volatility in financial markets. …”
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  20. 140

    Measuring Contagion of Subprime Crisis Based on MVMQ-CAViaR Method by Wuyi Ye, Kebing Luo, Shaofu Du

    Published 2014-01-01
    “…In this paper, we investigate whether the global financial crisis originating from American subprime crisis spreads to China, Japan, UK, France, and Germany. …”
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