Arbeitspapier

Leading indicators of systemic banking crises: Finland in a panel of EU countries

This paper investigates leading indicators of systemic banking crises in a panel of 11 EU countries, with a particular focus on Finland. We use quarterly data from 1980Q1 to 2013Q2, in order to create a large number of macro-financial indicators, as well as their various transformations. We make use of univariate signal extraction and multivariate logit analysis to assess what factors lead the occurrence of a crisis and with what horizon the indicators lead a crisis. We find that loans-to-deposits and house price growth are the best leading indicators. Growth rates and trend deviations of loan stock variables also yield useful signals of impending crises. While the optimal lead horizon is three years, indicators generally perform well with lead times ranging from one to four years. We also tap into unique long time-series of the Finnish economy to perform historical explorations into macro-financial vulnerabilities.

ISBN
978-952-6699-85-1
Sprache
Englisch

Erschienen in
Series: Bank of Finland Research Discussion Papers ; No. 14/2014

Klassifikation
Wirtschaft
Financial Markets and the Macroeconomy
International Finance: General
Financial Crises
International Financial Markets
Index Numbers and Aggregation; Leading indicators

Ereignis
Geistige Schöpfung
(wer)
Lainà, Patrizio
Nyholm, Juho
Sarlin, Peter
Ereignis
Veröffentlichung
(wer)
Bank of Finland
(wo)
Helsinki
(wann)
2014

Handle
Letzte Aktualisierung
10.03.2025, 11:45 MEZ

Datenpartner

Dieses Objekt wird bereitgestellt von:
ZBW - Deutsche Zentralbibliothek für Wirtschaftswissenschaften - Leibniz-Informationszentrum Wirtschaft. Bei Fragen zum Objekt wenden Sie sich bitte an den Datenpartner.

Objekttyp

  • Arbeitspapier

Beteiligte

  • Lainà, Patrizio
  • Nyholm, Juho
  • Sarlin, Peter
  • Bank of Finland

Entstanden

  • 2014

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