The Riskiness of Credit Origins and Downside Risks to Economic Activity

The Riskiness of Credit Origins and Downside Risks to Economic Activity
Author: Claudio Raddatz
Publisher: International Monetary Fund
Total Pages: 53
Release: 2024-03-29
Genre: Business & Economics
ISBN:

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We construct a country-level indicator capturing the extent to which aggregate bank credit growth originates from banks with a relatively riskier profile, which we label the Riskiness of Credit Origins (RCO). Using bank-level data from 42 countries over more than two decades, we document that RCO variations over time are a feature of the credit cycle. RCO also robustly predicts downside risks to GDP growth even after controlling for aggregate bank credit growth and financial conditions, among other determinants. RCO’s explanatory power comes from its relationship with asset quality, investor and banking sector sentiment, as well as future banking sector resilience. Our findings underscore the importance of bank heterogeneity for theories of the credit cycle and financial stability policy.


The Riskiness of Credit Origins and Downside Risks to Economic Activity
Language: en
Pages: 53
Authors: Claudio Raddatz
Categories: Business & Economics
Type: BOOK - Published: 2024-03-29 - Publisher: International Monetary Fund

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We construct a country-level indicator capturing the extent to which aggregate bank credit growth originates from banks with a relatively riskier profile, which
The Riskiness of Credit Allocation and Financial Stability
Language: en
Pages: 39
Authors: Mr.Luis Brandao-Marques
Categories: Business & Economics
Type: BOOK - Published: 2019-09-27 - Publisher: International Monetary Fund

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We explore empirically how the time-varying allocation of credit across firms with heterogeneous credit quality matters for financial stability outcomes. Using
Global Financial Stability Report, April 2018
Language: en
Pages: 152
Authors: International Monetary Fund. Monetary and Capital Markets Department
Categories: Business & Economics
Type: BOOK - Published: 2018-04-18 - Publisher: International Monetary Fund

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The April 2018 Global Financial Stability Report (GFSR) finds that short-term risks to financial stability have increased somewhat since the previous GFSR. Medi
Growth at Risk: Concept and Application in IMF Country Surveillance
Language: en
Pages: 39
Authors: Mr.Ananthakrishnan Prasad
Categories: Business & Economics
Type: BOOK - Published: 2019-02-21 - Publisher: International Monetary Fund

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The growth-at-risk (GaR) framework links current macrofinancial conditions to the distribution of future growth. Its main strength is its ability to assess the
Global Financial Stability Report, October 2017
Language: en
Pages: 139
Authors: International Monetary Fund. Monetary and Financial Systems Dept.
Categories: Business & Economics
Type: BOOK - Published: 2017-10-11 - Publisher: International Monetary Fund

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The October 2017 Global Financial Stability Report finds that the global financial system continues to strengthen in response to extraordinary policy support, r