National Repository of Grey Literature 2 records found  Search took 0.00 seconds. 
Finanční akcelerátor v Evropě po finanční krizi
Baková, Klára
The diploma thesis is concerned with the mechanism of a financial accelerator. In particular, it examines the procyclicality of credit margins in Europe before the financial crisis and after the financial crisis, with additional allocation to small, medium and large-sized banks. The empirical analysis adopts panel regression model with fixed effects and provides empirical robust proof that such behavior is not occurring during the financial crisis and after the financial crisis in the European banking system.
What Central Banks Can Learn from It
Brázdik, František ; Hlaváček, Michal ; Maršál, Aleš
This survey gives insight into the ongoing research in financial frictions modeling. The recent financial turmoil has fueled interest in operationalizing financial frictions concepts and introducing them into tools for policy makers. The rapid growth of the literature on these issues is the motivation for our review of the presented approaches. The empirical facts that motivate the inclusion of financial frictions are surveyed.
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