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Empirical analysis of the causes and consequences of banking crises

Empirical analysis of the causes and consequences of banking crises

https://devfeature-collection.sl.nsw.gov.au/record/TN_cdi_proquest_miscellaneous_38081731

Empirical analysis of the causes and consequences of banking crises

About this item

Full title

Empirical analysis of the causes and consequences of banking crises

Journal title

National Institute economic review, 2005-04, Vol.192, p.68-83

Language

English

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Scope and Contents

Contents

A rapidly growing empirical literature is studying the causes and consequences of bank fragility in contemporary economies. The paper reviews the two basic methodologies adopted in cross-country empirical studies, the signals approach and the multivariate probability model, and their application to study the determinants of banking crises. The use...

Alternative Titles

Full title

Empirical analysis of the causes and consequences of banking crises

Authors, Artists and Contributors

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Primary Identifiers

Record Identifier

TN_cdi_proquest_miscellaneous_38081731

Permalink

https://devfeature-collection.sl.nsw.gov.au/record/TN_cdi_proquest_miscellaneous_38081731

Other Identifiers

ISSN

0027-9501

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