Λογότυπο αποθετηρίου
 

Financial crises, credit booms and sovereign problems

Μικρογραφία εικόνας

Ημερομηνία

Συγγραφείς

Tsiagklanis, Panagiotis-Spyros

Τίτλος Εφημερίδας

Περιοδικό ISSN

Τίτλος τόμου

Εκδότης

Επιβλέπων

Διαθέσιμο από

Περίληψη

In this dissertation I review the literature on the major types of financial crises –currency crises, debt crises, sudden stops and banking crises- and I highlight how money and credit are associated with financial crises episodes from a historical perspective. Next, I discuss the interaction of private and public sector, focusing on why they should not be studied separately and I summarize the main facts and lessons from the literature. Moreover, I present a VAR model in order to test whether there is a causal relationship between bond spreads and lending spreads, in the case of Eurozone.

Περιγραφή

Λέξεις-κλειδιά

Financial crises, Credit booms, Sovereign problems, Public sector, Private sector, Value at Risk (VaR), Eurozone

Παραπομπή

Άδεια Creative Commons