The global financial crisis and banking sector resilience

Author:

Maxfield Sylvia,Magaldi de Sousa Mariana

Publisher

Springer Science and Business Media LLC

Subject

Economics and Econometrics,Finance

Reference51 articles.

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2. Nidhiprabha, B. (2011) The global financial crisis and resilience of the Thai banking sector. Asian Development Review 28 (2): 110–132.

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4. Ranganath, N.S. and Rao, G.T. (2010) Global and economic recession: Impact on banking sector in India. International Journal of Business Economics and Management Research 1 (2): 119–127, Abdel-Baki, M. (2011) The efficacy of the Egyptian bank reform plan in mitigating the impact of the global financial crisis. Economic Change and Restructuring 44(3): 221–241; Ratnovski, L. and Huang, R. (2009). Why Are Canadian Banks More Resilient? IMF Working Paper WP/09/152. International Monetary Fund; Hasan, M. and Dridi, B. (2011) The effects of the global crisis on Islamic and conventional banks: A comparative study. Journal of International Commerce, Economics and Policy 2(2): 163–200.

5. Rose, A.K. and Spiegel, M.M. (2012) Cross-country causes and consequences of the 2008 crisis: Early warning. Japan and the World Economy 24 (1): 1–16, Giannone, D., Lenza, M. and Reichlin, L. (2011) Market freedom and the global recession. IMF Economic Review 59(1): 111–135; Frenkel, J.A. and Saravelos, G. (2010) Are Leading Indicators of Financial Crises Useful for Assessing Country Vulnerability? NBER Working Paper No. 16,047; Blanchard, O., Faruqee, H. and Das, M. (2010) The initial impact of the crisis on emerging market countries Brookings Papers on Economic Activity. http://ssrn.com/abstract=1629865 SSRN; Obstfeld, M. and Rogoff, K. S. (2009) Global Imbalances and the Financial Crisis: Products of Common Causes. CEPR Discussion Paper DP7606. http://papers.ssrn.com/sol3/papers.cfm?abstract_id=1533211 .

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