Please use this identifier to cite or link to this item: https://hdl.handle.net/10419/212156 
Year of Publication: 
2009
Series/Report no.: 
Bank of Finland Research Discussion Papers No. 35/2009
Publisher: 
Bank of Finland, Helsinki
Abstract: 
In this article we provide a summary of empirical results obtained in several economics and operations research papers that attempt to explain, predict, or suggest remedies for financial crises or banking defaults, as well as outlines of the methodologies used. We analyze financial and economic circumstances associated with the US subprime mortgage crisis and the global financial turmoil that has led to severe crises in many countries. The intent of the article is to promote future empirical research that might help to prevent bank failures and financial crises.
Persistent Identifier of the first edition: 
ISBN: 
978-952-462-565-4
Document Type: 
Working Paper

Files in This Item:
File
Size





Items in EconStor are protected by copyright, with all rights reserved, unless otherwise indicated.