Tag: Banking & Financial Regulation
Climate Change Risk and Financial Stability: Implications for European Banking Institutions
How climate risk and green energy affect bank stability in Europe

Bank lending creates deposits: Out of thin air, or because of double-entry accounting? A historical re-examination
How forgotten economic theories explain how bank lending creates deposits

Negative interest rates and bank credit risk-taking
How negative interest rates change bank lending caution

AI-Enabled Network-Level Credit Risk Navigator (NCRN): Risk Propagation Paths for Systemic Vulnerability in Digital Lending Platforms
Early detection of systemic risks in lending networks through graph analysis

Insights into the sovereign-bank nexus: Can inflation and money supply affect the doom loop?
How public debt and monetary expansion interact to affect bank stability

The negative externalities of fund holdings: A network analysis of systemic risk contagion
How mutual fund networks amplify financial system risk in China

Comparative Analysis of Stablecoin Architectural Features in Fragmented Regulatory Environments
How different stablecoin designs adapt to fragmented global regulatory systems

Bank Diversification, Performance, and Monetary Policy: A PRISMA 2020-Based Systematic Review and Bibliometric Analysis
How bank diversification affects profitability across different economic conditions












