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Journal of Financial Stability|June 6, 2025
A note on regulatory responses to COVID-19 pandemic: Balancing banks' solvency and contribution to recoveryMohammad Bitar, Amine TaraziJournal of Financial Stability|June 6, 2025
Debt rollover risk, credit default swap spread and stock returns: Evidence from the COVID-19 crisisYa Liu, Buhui Qiu, Teng WangJournal of Financial Stability|June 6, 2025
Portfolio diversification during the COVID-19 pandemic: Do vaccinations matter?Son Duy Pham, Thao Thac Thanh Nguyen, Hung Xuan Do, et al.Journal of Financial Stability|June 6, 2025
Banking research in the time of COVID-19Allen N Berger, Asli Demirgüç-KuntJournal of Financial Stability|August 15, 2024
Accounting for climate transition risk in banks' capital requirementsLucia Alessi, Erica Francesca Di Girolamo, Andrea Pagano, et al.Journal of Financial Stability|June 6, 2025
COVID-19 as a stress test: Assessing the bank regulatory frameworkElizabeth Duncan, Akos Horvath, Diana Iercosan, et al.Journal of Financial Stability|June 6, 2025
Financing firms in hibernation during the COVID-19 pandemicTatiana Didier, Federico Huneeus, Mauricio Larrain, et al.Pageof 1