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Systemic Financial Risk

Edited by Alexander Karminsky () and Mikhail Stolbov

in Springer Books from Springer

Date: 2024
ISBN: 978-3-031-54809-3
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Chapters in this book:

Ch Chapter 1 Adapted Approaches to Measuring Financial Development
Konstantin Krinichansky
Ch Chapter 10 Macroprudential Policy: Tools and Evaluation of the Effectiveness of Measures for Systemic Risks Management
Ekaterina Seryakova
Ch Chapter 11 Financial Resolution of Banks in Distress: International Evidence
Nataliya Kovaleva and Oksana Petrova
Ch Chapter 12 Digital Systemic Financial Risks in the Russian Banking Sector
Sergey Dubinin
Ch Chapter 2 Green Finance: Trends, Risks and Regulation
Svetlana Pertseva and Anna Vityazeva
Ch Chapter 3 Dynamic BRICS Stock Market Linkages as a Channel of Systemic Risk Transmission: Evidence from the Asymmetric Connectedness Approach
Onur Polat
Ch Chapter 4 Household Income and Financial Stability of the Banking Sector: Data from Russia
Olga Miroshnichenko, Maria Vyshkovskaia and Valeriy Gamukin
Ch Chapter 5 The Impact of ESG Rating on Companies’ Resilience to Systemic Risks
Alexandra Egorova and Herman Petrov-Nerling
Ch Chapter 6 New Ways of Measuring Catastrophic Risk
Vigen Minasyan
Ch Chapter 7 Measuring Market Liquidity and Liquidity Mismatches Across Sectors
Artur Akhmetov, Anna Burova, Natalia Makhankova and Alexey Ponomarenko
Ch Chapter 8 The Impact of Macroeconomic Factors on Capital Adequacy of the Russian Banking Sector in the Context of Countercyclical Banking Regulation
Olga Miroshnichenko and Maria Vyshkovskaia
Ch Chapter 9 Assessing the Probability of Default During the COVID-19 Pandemic: The Case of Airlines
Elizaveta Markovskaya and Elena Smolina

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Persistent link: https://EconPapers.repec.org/RePEc:spr:sprbok:978-3-031-54809-3

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DOI: 10.1007/978-3-031-54809-3

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