Bank Debt in Europe

Bank Debt in Europe

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The crisis in Europe has underscored the vulnerability of European bank funding models compared to international peers. This paper studies the drivers behind this fragility and examines the future of bank funding, primarily wholesale, in Europe. We argue that cyclical and structural factors have altered the structure, cost, and composition of funding for European banks. The paper discusses the consequences of shifting funding patterns and investor preferences and presents possible policy options and bank actions to enhance European bank funding modelsa€™ robustness.Glionna, J ., and others, 2012 a, a€œThe Implications of a 0% Recovery, a€ Barclays, February 2. ... 2012 c, a€œThe European Deposit Insurance Challenge, a€ Barclays, May 22. ... JP Morgan Chase Europe Credit Research, January 7. ... 2008, a€œThe Dark Side of Bank Wholesale Funding, a€ Federal Reserve Bank of Philadelphia and IMF Working Paper 09/3, November (Washington: International Monetary Fund).

Title:Bank Debt in Europe
Author: Mrs. Vanessa Le Lesle
Publisher:International Monetary Fund - 2012-12-20

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