Diversification of banks' International portfolios: evidence and policy lessons
Buch, C. M. & Neugebauer, K.
(2009).
Diversification of banks' International portfolios: evidence and policy lessons.
Zeitschrift Für Wirtschaftspolitik,
58(3), 355-370.
Over the past decades, banks have significantly increased their cross-border asset positions. The ongoing crisis on international financial markets has raised the question whether this increase in cross-border activities has allowed banks to diversify risks and to what extent it has increased banks' exposure to systemic risks. In this contribution, we review the existing empirical evidence.
| Item Type | Article |
|---|---|
| Copyright holders | © 2009 Lucius & Lucius |
| Departments | LSE > Research Centres > Financial Markets Group > Systemic Risk Centre |
| Date Deposited | 10 Jun 2014 |
| URI | https://researchonline.lse.ac.uk/id/eprint/57022 |