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Active Risk Management and Banking Stability
C.F. Silva Buston
Research Group: Economics
Economics
Research output
:
Working paper
›
Discussion paper
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Other research output
1815
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Dive into the research topics of 'Active Risk Management and Banking Stability'. Together they form a unique fingerprint.
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Keyphrases
Risk Management
100%
Banking Stability
100%
Risky Behavior
100%
Balance Sheet
40%
Selling
20%
Shock
20%
Future Risk
20%
High Risk
20%
Risk-taking Incentives
20%
Risk-taking
20%
Insolvency
20%
Economic Conditions
20%
Buying
20%
Opposing Effects
20%
Bank Holding Companies
20%
US Banks
20%
Bank Regulation
20%
Credit Protection
20%
Credit Supply
20%
Insolvent
20%
Portfolio Risk
20%
Net Impacts
20%
Balance Sheet Risk
20%
Economics, Econometrics and Finance
Risk Management
100%
Financial Statement
40%
Macroeconomic Performance
20%
Balance Sheet
20%
Bank Regulation
20%
Supply of Credit
20%
Credit
20%