Research on the changes of US Bank Foreign claims during Financial Crisis

被引:0
|
作者
Zhang, Yalan [1 ]
Li, Jing [1 ]
Song, Lujun [1 ]
机构
[1] Shanxi Univ Finance & Econ, Dept Finance, Taiyuan, Shanxi, Peoples R China
关键词
Financial crisis; foreign claims; Country risk;
D O I
暂无
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
Foreign claims of a country's financial institutions can display these following information : 1. The market share which a country have in the international financial market; 2. the distribution of foreign financial assets in worldwide; 3. the potential risks which the country's financial institution will take from foreign claims. After the financial crisis of 2008, how dose it affect the three parts? Whether foreign claims of the US financial institutions will be changed or not? What information can be got from the issue of foreign claims? These are the starting point as well as the questions which need to be answered in this paper. Data analysis shows that: 1. The U.S. banks foreign claims share in the world have been restored; 2. The U.S foreign claims down to a minimum share during the most serious crisis time; 3. The developed countries are mainly the region of the state's foreign claims, and the foreign claims of the emerging economies increase simultaneously with the risk guarantee.
引用
收藏
页码:240 / 243
页数:4
相关论文
共 50 条
  • [21] The research on the Korean bank governance reform after the financial crisis
    Chen, Jingping
    ISCRAM CHINA 2007: PROCEEDINGS OF THE SECOND INTERNATIONAL WORKSHOP ON INFORMATION SYSTEMS FOR CRISIS RESPONSE AND MANAGEMENT, 2007, : 265 - 270
  • [22] Foreign reserve management during the global financial crisis
    Dominguez, Kathryn M. E.
    JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 2012, 31 (08) : 2017 - 2037
  • [23] Foreign trade of Poland during the global financial crisis
    Mitrega-Niestroj, Krystyna
    FINANCIAL MANAGEMENT OF FIRMS AND FINANCIAL INSTITUTIONS, 2011, : 279 - 288
  • [24] Foreign bank diversification and efficiency prior to and during the financial crisis: Does one business model fit all?
    Curi, Claudia
    Lozano-Vivas, Ana
    Zelenyuk, Valentin
    JOURNAL OF BANKING & FINANCE, 2015, 61 : S22 - S35
  • [25] Post-Crisis Changes in US Bank Prudential Regulation
    Wall, Larry D.
    PREPARING FOR THE NEXT FINANCIAL CRISIS: POLICIES, TOOLS AND MODELS, 2017, : 37 - 53
  • [26] A residential mortgage bank lending channel during the financial crisis
    Tahsin S.
    Yeager T.J.
    Journal of Economics and Finance, 2019, 43 (4) : 631 - 656
  • [27] Bank market power and lending during the global financial crisis
    Cubillas, Elena
    Suarez, Nuria
    JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 2018, 89 : 1 - 22
  • [28] Price Clustering in Bank Stocks During the Global Financial Crisis
    Lobao, Julio
    Pacheco, Luis
    Alves, Luis
    SCIENTIFIC ANNALS OF ECONOMICS AND BUSINESS, 2019, 66 (04) : 465 - 486
  • [29] Bank Earnings Management and Tail Risk during the Financial Crisis
    Cohen, Lee J.
    Cornett, Marcia Millon
    Marcus, Alan J.
    Tehranian, Hassan
    JOURNAL OF MONEY CREDIT AND BANKING, 2014, 46 (01) : 171 - 197
  • [30] Determinants of bank profitability before, during, and after the financial crisis
    Adelopo, Ismail
    Lloydking, Robert
    Tauringana, Venancio
    INTERNATIONAL JOURNAL OF MANAGERIAL FINANCE, 2018, 14 (04) : 378 - 398