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SubscribeDecember 1, 2006
Subject: Banking, Financial institutions, Financial integration, Financial markets, Financial sector policy and analysis, Insurance companies, National accounts, Personal income, Stock markets, Systemic risk
Keywords: asset return covariance, banks DDs, Economic integration, Europe, Financial integration, Financial stability, Insurance companies, Personal income, risk interdependency, risk profile, risk-adjusted asset, Stock markets, Systemic risk, variance equation, WP
Pages:
28
Volume:
2006
DOI:
Issue:
296
Series:
Working Paper No. 2006/296
Stock No:
WPIEA2006296
ISBN:
9781451865561
ISSN:
1018-5941