نتایج جستجو برای: us 2008 financial crisis
تعداد نتایج: 674444 فیلتر نتایج به سال:
The 2008 global financial crisis prompted a tectonic shift in the Spanish model, which was based on debt-driven homeownership society. In aftermath of crash, restructuring real estate and market through intervention government has been privileged object urban analysis, with scholars researching role Management Company for Assets Arising from Bank Reorganization (SAREB) investment trusts (REITs)...
BACKGROUND Spain's financial crisis has been characterized by an increase in unemployment. This increase could have produced an increase in deaths of women due to intimate partner-related femicides (IPF). This study aims to determine whether the increase in unemployment among both sexes in different regions in Spain is related to an increase in the rates of IPF during the current financial cris...
Purpose – The purpose of this paper is to analyse regulatory reform in the wake of the financial crisis of 2007-2008. Design/methodology/approach – The paper proposes a framework for regulatory reform that begins with the observation that financial manias and panics cannot be legislated away, and may be an unavoidable aspect of modern capitalism. Findings – Financial crises are unavoidable when...
As you are aware, the year 2008 has started off with the continuation of some of the challenges that resulted in significant disturbances in world financial markets: the impact of the sub prime market turmoil which originated in the US is still spreading across Europe and other financial markets; the Northern Rock crisis in the U.K. has raised serious regulatory issues; and the large frauds in ...
The ASEAN Free Trade Agreement (AFTA) was set up in 1993 and has already shown significant effects by 2010. This study empirically investigates the effect of trade creation on intra-ASEAN trade for the period of 1986 to 2010. Using the gravity model, we find that major determinants of bilateral trade in ASEAN are GDP, population, relative endowment, distance and common border. A dummy variable ...
The current financial crisis: a brief reminder. As is well known, one of the main causes of the 2008 financial crisis is the fact that banks underestimated the risk of investing in high-risk mortgages. According to the news reports, this underestimation was caused by the banks “mixing” mortgages into complex financial instruments, which somehow lowered the estimated risks. The mixing means, cru...
Access to finance appears to be among the most severe obstacles of the private firms’ growth particularly in developing and less developed countries. Using the micro data over 1,500 enterprises, our study aims to understand the determinants of firm-level access to external finance before and after the global financial crisis 2008-09, and how in general the crisis affected the financing obstacle...
The crisis of 2007–2008 was a crisis of collateral. Since then, financial market participants – particularly in the euro area and the United States – have shown an increased appetite for secured lending. In short-term bank funding markets, there has been a pronounced shift towards repurchase arrangements. And covered bonds have gained in popularity in long-term funding markets. The cyclical fli...
The subject of the paper is role fair value, as one accounting measurement attributes (measurement basis) assets and liabilities in statement financial position, conditions crisis, based on experience with global crisis which appeared 2008 US sector, later spilled over into real sector that country, well as, to a greater or lesser extent, rest world. has stimulated discussions scientific profes...
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