Título : |
Competition and risk in the banking sector after the global financial crisis : international evidence |
Tipo de documento: |
documento electrónico |
Autores: |
Román Castaño Castro, Autor ; María González Guitart, Autor ; Kevin Francisco Alonso Matalobos, Autor ; Nuria Suárez Suárez, Director de tesi |
Fecha de publicación: |
2018 |
Número de páginas: |
77 p. |
Il.: |
gráf., tablas |
Nota general: |
Máster Universitario en Instituciones y Mercados Financieros |
Idioma : |
Inglés (eng) |
Materias: |
Crisis financiera Reforma bancaria Riesgo bancario
|
Palabras clave: |
Global Financial Crisis; Bank Market Concentration; Competition; Risk |
Clasificación: |
336.71 Bancos. Sistema bancario |
Resumen: |
This work approaches an analysis on the relationships between bank market structures, competition and risk. The empirical development of this study relies on an Ordinary Least Squares (OLS) methodology run over a sample of 22 countries and, on a subsample of the European countries that were mostly affected by the crisis: Portugal, Ireland, Italy, Greece and Spain. Our findings may suggest that concentration, competition and risk strike as surprising as many results obtained are not what many regulators and supervisors could expect. In order to avoid the worse of the crisis’ effect on the banking sector, governments took different approaches. Most of them attained restructuring and recapitalization process in different orders and ways. Furthermore, the crisis unfold a scenario were the banking sector shown itself as weak and with systematically risky. |
Link: |
https://biblioteca.cunef.edu/gestion/catalogo/index.php?lvl=notice_display&id=45182 |
Competition and risk in the banking sector after the global financial crisis : international evidence [documento electrónico] / Román Castaño Castro, Autor ; María González Guitart, Autor ; Kevin Francisco Alonso Matalobos, Autor ; Nuria Suárez Suárez, Director de tesi . - 2018 . - 77 p. : gráf., tablas. Máster Universitario en Instituciones y Mercados Financieros Idioma : Inglés ( eng)
Materias: |
Crisis financiera Reforma bancaria Riesgo bancario
|
Palabras clave: |
Global Financial Crisis; Bank Market Concentration; Competition; Risk |
Clasificación: |
336.71 Bancos. Sistema bancario |
Resumen: |
This work approaches an analysis on the relationships between bank market structures, competition and risk. The empirical development of this study relies on an Ordinary Least Squares (OLS) methodology run over a sample of 22 countries and, on a subsample of the European countries that were mostly affected by the crisis: Portugal, Ireland, Italy, Greece and Spain. Our findings may suggest that concentration, competition and risk strike as surprising as many results obtained are not what many regulators and supervisors could expect. In order to avoid the worse of the crisis’ effect on the banking sector, governments took different approaches. Most of them attained restructuring and recapitalization process in different orders and ways. Furthermore, the crisis unfold a scenario were the banking sector shown itself as weak and with systematically risky. |
Link: |
https://biblioteca.cunef.edu/gestion/catalogo/index.php?lvl=notice_display&id=45182 |
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