Financial stress indicators for small, open, highly euroized countries: the case of Croatia

Mirna Dumičić
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引用次数: 5

Abstract

The main objective of this paper is to construct high-frequency composite indicators of financial stress for Croatia that will enable the monitoring of the total level of financial stress and its components on the domestic financial market. Emphasis is put on the choice of variables appropriate for small, open, highly euroized economies characterised by bank-centric financial systems dominantly owned by foreign banks, shallow financial markets and dependence on foreign capital.
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开放、高度欧元化的小国的财政压力指标:克罗地亚的例子
本文的主要目的是为克罗地亚构建金融压力的高频复合指标,从而能够监测国内金融市场上的金融压力及其组成部分的总水平。重点是选择适合小型、开放、高度欧元化的经济体的变量,这些经济体的特点是,以银行为中心的金融体系主要由外国银行拥有,金融市场浅,依赖外国资本。
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15 weeks
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Addendum: In search of the egalitarian syndrome: cultural inertia in Croatia? List of articles published in “Financial Theory and Practice”, vol. 40, 2016 In search of the egalitarian syndrome: cultural inertia in Croatia? Accumulating approach to the life-cycle pension model: practical advantages The impact of population aging on public finance in the European Union
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