French Banks Amid the Global Financial Crisis

Yin Xiao
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引用次数: 61

Abstract

This paper runs the gamut of qualitative and quantitative analyses to examine the performance of French banks during 2006-2008 and the financial support measures taken by the French government. French banks were not immune but proved relatively resilient to the global financial crisis reflecting their business and supervision features. An event study of the impact of government measures on CDS, debt, and equity markets points to the reduction of credit risk and financing cost as well as the redistribution of resources. With the crisis still unfolding, uncertainties remain and challenges lie ahead, calling for continued vigilance and enhanced risk management.
全球金融危机中的法国银行
本文运用定性和定量分析的方法,考察了2006-2008年法国银行的表现以及法国政府采取的金融支持措施。法国的银行也未能幸免,但事实证明,它们对全球金融危机的抵御能力相对较强,这反映了它们的业务和监管特点。一项关于政府措施对CDS、债务和股票市场影响的事件研究指出,这些措施降低了信贷风险和融资成本,并重新分配了资源。危机仍在发展,不确定性和挑战依然存在,需要继续提高警惕,加强风险管理。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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