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341
Application of systemic risk measurement methods: A systematic review and meta-analysis using a network approach
Published 2018-10-01Subjects: “…systemic risk measurement| network approach| meta-analysis| financial stability| quantitative methods| applications| mathematical| innovation…”
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342
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Correlation Between Systemic Risk Factors and Diabetic Retinopathy in Patients with Diabetes Mellitus at Cicendo National Eye Hospital
Published 2018-08-01“…Identification and management of particular systemic risk factors as early as possible during the course of DM might lower incidence of further progression and severity of DR. …”
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344
Modeling the Connection between Bank Systemic Risk and Balance-Sheet Liquidity Proxies through Random Forest Regressions
Published 2020-08-01Subjects: “…systemic risk…”
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345
Temperature difference and systemic risk: Evidence from LASSO-VAR-DY based on China's pan-financial market.
Published 2024-01-01“…The results of the study show that (ⅰ) There is a significant difference among the systemic risk of financial sectors such as banking, insurance, and securities in the financial market pan-financial market scenario and the systemic risk when the financial market pan-financial market is not taken into account;(ⅱ) Higher temperature significantly exacerbates systemic financial risk, while colder temperature significantly mitigates systemic risk, but both have an asymmetric effect on systemic risk, and there is sectoral heterogeneity.(ⅲ) From the dynamic evolutionary characteristics, there are significant differences in the response of systemic financial risk to positive and negative temperature shocks;(iv) The results of the systemic risk variance decomposition indicate that the temperature change contributes more to the variance of systemic risk in the banking and securities sectors in pan-financial market;(ⅴ) The contagion source of financial systemic risk shows an obvious path of leaping and changing characteristics, and the contagion source of systemic risk (source of impact) shows the evolution law of "bank → real estate → new energy → temperature difference," which means that the temperature difference has become the contagion source of systemic financial risk. …”
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346
Unpacking systemic, cascading, and compound risks: A case based analysis of Asia Pacific
Published 2023-04-01Subjects: Get full text
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347
Investigating the Financial Risk Spillover in Banks Accepted in Tehran Stock Exchange Market through MGARCH Approach
Published 2021-05-01Subjects: “…systemic risk…”
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348
Effectiveness of macroprudential policies in Central and Eastern European countries
Published 2018-03-01Subjects: “…macroprudential policy; financial stability; credit growth; systemic risk; CEE countries…”
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349
Impact of commodities and global stock prices on the idiosyncratic risk of Bitcoin during the COVID-19 pandemic
Published 2021-11-01Subjects: Get full text
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350
Restrukturyzacja i uporządkowana likwidacja – jako nowe instrumenty zarządzania ryzykiem systemowym w sektorze ubezpieczeń
Published 2015-10-01Subjects: Get full text
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351
How Urban Expansion Triggers Spatio-Temporal Differentiation of Systemic Risk in Suburban Rural Areas: A Case Study of Tianjin, China
Published 2022-10-01Subjects: Get full text
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352
Risk Measures and Contagion Matrix: an Application of CoVaR for the Brazilian Financial Market
Published 2012-12-01Subjects: Get full text
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353
Editorial: Conflicts and Compromises Between Food Safety Policies and Environmental Sustainability
Published 2021-11-01Subjects: Get full text
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354
DETERMINATION OF SIFIs (SYSTEMATICALLY IMPORTANT FINANCIAL INSTITUTIONS) AMONG INDONESIAN BANKS USING NETWORK ANALYSIS APPROACH
Published 2017-07-01Subjects: Get full text
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355
Systemically Important Banks – Risk Transfer in the Euro Area
Published 2023-12-01Subjects: Get full text
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356
The relationship between central bank independence and systemic fragility: global evidence
Published 2022-12-01Subjects: Get full text
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357
Development of a methodology for assessing systemically important Ukrainian banks and a Z-score
Published 2020-07-01Subjects: Get full text
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358
Conceptual dimensions regarding the financial contagion and the correlation with the stock market in Romania
Published 2020-03-01Subjects: Get full text
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359
The US banking system: Does the size of the institution matter to its economic-financial situation?
Published 2022-01-01Subjects: Get full text
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360
MEASURING FINANCIAL SYSTEMIC STRESS IN ROMANIA: A COMPOSITE INDICATOR APPROACH
Published 2016-09-01Subjects: Get full text
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