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How to Capture Macro-Financial Spillover Effects in Stress Tests?

by Mr.Christian Schmieder , Mr.Ferhan Salman , Mr.Heiko Hesse

๐Ÿ“– The Scoop

One of the challenges of financial stability analysis and bank stress testing is how to establish scenarios with meaningful macro-financial linkages, i.e., taking into account spillover effects and other forms of contagion. We come up with an approach to simulate the potential impact of spillover effects based on the โ€œtraditionalโ€ design of macro-economic stress tests. Specifically, we examine spillover effects observed during the financial crisis and simulate their impact on banksโ€™ liquidity and capital positions. The outcome suggests that spillover effects have a highly non-linear impact on bank soundness, both in terms of liquidity and solvency.

Genre: Business & Economics / Finance / General (fancy, right?)

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