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Title | The Stability of The Financial System: a Comparison of Developed and Less Developed Countries |
Authors |
Kaya, H.D.
|
ORCID | |
Keywords |
стабільність стабильность stability фінансова система финансовая система financial system рівень доходу уровень дохода income level |
Type | Article |
Date of Issue | 2021 |
URI | https://essuir.sumdu.edu.ua/handle/123456789/86042 |
Publisher | Sumy State University |
License | Creative Commons Attribution 4.0 International License |
Citation | Kaya, H.D. (2021). The Stability of The Financial System: a Comparison of Developed and Less Developed Countries. Financial Markets, Institutions and Risks, 5(2), 5-13. https://doi.org/10.21272/fmir.5(2).5-13.2021 |
Abstract |
In this study, we examine the relationship between the development level of a country and stability of its financial system. We look at seven measures of stability. These are Bank z-score, Bank non-performing loans to gross loans, Bank capital to total assets, Bank credit to bank deposits, Regulatory capital to risk-weighted assets, Liquid assets to deposits and short term funding, and Provisions to non-performing loans. First, we compare developed and less developed countries’ stability measures. Do developed countries have more stable financial systems than less developed countries or is the opposite true? |
Appears in Collections: |
Financial Markets, Institutions and Risks (FMIR) |
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Kaya_The_Impact.pdf | 451.6 kB | Adobe PDF | 1256559806 |
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