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El riesgo soberano en la Eurozona y su tratamiento en la regulación bancaria

Santiago Fernández de Lis and Pilar Soler

No 18/16, Working Papers from BBVA Bank, Economic Research Department

Abstract: La crisis ha traído consigo un notable aumento de la deuda pública en los países afectados, especialmente intensa en los países periféricos de la Eurozona. La crisis griega ha alimentado un debate sobre el tratamiento de las tenencias de deuda en la regulación bancaria y su consideración como activo sin riesgo.

Keywords: Documento de Trabajo; Economía Global; Regulación financiera; Global; Europa; España (search for similar items in EconPapers)
Date: 2018-12
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