دانلود مقاله ISI انگلیسی شماره 80281
ترجمه فارسی عنوان مقاله

ریسک سیستماتیک اقیانوس اطلس

عنوان انگلیسی
Transatlantic systemic risk
کد مقاله سال انتشار تعداد صفحات مقاله انگلیسی
80281 2013 15 صفحه PDF
منبع

Publisher : Elsevier - Science Direct (الزویر - ساینس دایرکت)

Journal : Journal of Banking & Finance, Volume 37, Issue 11, November 2013, Pages 4241–4255

ترجمه کلمات کلیدی
ریسک سیستماتیک؛ بخش بانکی؛ بخش واقعی؛ مقررات؛ عضو رابط
کلمات کلیدی انگلیسی
G01; G15; G18; G21; G28Systemic risk; Banking sector; Real sectors; Regulation; Copula
پیش نمایش مقاله
پیش نمایش مقاله  ریسک سیستماتیک اقیانوس اطلس

چکیده انگلیسی

In this paper we study systemic risk for the US and Europe. We show that banks’ exposures to common risk factors are crucial for systemic risk. We come to this conclusion by first showing that relations between US and European banks are smaller than within each region. We then show that European banks react more strongly to the onset of the financial crisis than US banks. Regarding the consequences of systemic risk, we show that dependence between the banking sector and a wide range of real sectors is limited. Our results imply that regulators and supervisors should address international bank dependencies arising from common risk factors, while recessions in real sectors due to bank defaults should be a secondary concern.