From Banking to Sovereign Stress - Implications For Public Debt

From Banking to Sovereign Stress - Implications For Public Debt
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Volume/Issue: Volume 2014 Issue 092
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Banks and Banking , Public Finance , PP , banking crisis , banking recession , banking expansion , banking sector characteristic , banking sector risk , central bank , fiscal cost , fiscal policy , public funds , banking sector vulnerability , banking vulnerability , banking development , Commercial banks , Banking crises , Fiscal risks , Global

Summary

This paper explores how banking sector developments and characteristics influence the propagation of risks from the banking sector to sovereign debt, including how they affect the extent of fiscal costs of banking crises when those occur. It then proposes practices and policies for the fiscal authorities to help manage the risks and enhance crisis preparedness.