Please use this identifier to cite or link to this item:
https://essuir.sumdu.edu.ua/handle/123456789/82714
Or use following links to share this resource in social networks:
Tweet
Recommend this item
Title | Financial Stability of the Banking Sector in European Countries: A Comparative Analysis |
Authors |
Sysoieva, Larysa Yuriivna
![]() |
ORCID |
http://orcid.org/0000-002-2254-7379 |
Keywords |
Banking sector Financial stability EU integration |
Type | Article |
Date of Issue | 2020 |
URI | https://essuir.sumdu.edu.ua/handle/123456789/82714 |
Publisher | Open Journals Systems |
License | Creative Commons Attribution 4.0 International License |
Citation | Sysoyeva L. (2020). Financial Stability of the Banking Sector in European Countries: A Comparative Analysis. Panoeconomicus, 67(4), 491-508. doi:10.2298/PAN170601021S |
Abstract |
The outburst of the financial crisis in 2008 raised a number of questions about financial stability and banking development, given that the crisis originated in advanced economies, where the financial sector had grown both very large and very complex. This study presents the results of research into ways of
ensuring financial stability in the banking sectors in European and EU associated
countries. The empirical analysis for EU member and associate countries is carried out for the period 2004-2014 and shows that significant heterogeneity in the member states’ descriptions of their banking sectors not only led to different levels of Z-score, but also to principally different factors influencing the stability of banking activities in EU countries and countries associated with the EU. |
Appears in Collections: |
Наукові видання (ННІ БіЕМ) |
Views

1

1

1

541

1

1

1

5469

2402

36441

134853

90
Downloads

1

1

1

1

2400

1

1

1

1

10912

1

27931

1
Files
File | Size | Format | Downloads |
---|---|---|---|
Sysoyeva_Financial_Stability_2020.pdf | 444.75 kB | Adobe PDF | 41253 |
Items in DSpace are protected by copyright, with all rights reserved, unless otherwise indicated.