| Author (Corporate) | European Commission: DG Economic and Financial Affairs |
|---|---|
| Series Title | ECFIN Economic Brief |
| Series Details | No.15, February 2012 |
| Publication Date | February 2012 |
| ISSN | 1831-4473 |
| EC | KC-AY-11-015-EN-N |
| Content Type | Journal | Series | Blog |
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This policy brief analyzes whether the exposure to the CEE10 region is a risk for parent banks. Simultaneously, risks for the CEE10 countries implied by the strong presence of foreign-owned banks as well as possible feedback loops are discussed. Ongoing financial market turbulences within the euro area are likely to have a negative impact on the CEE10 region as a whole, which should, nevertheless, vary considerably across countries. Likely spill-overs into the real economy will affect the entire CEE10 region, as it was the case in 2008-09. However, the impact on banking sector performance should again vary considerably. |
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| Source Link | Link to Main Source http://ec.europa.eu/economy_finance/publications/economic_briefs/2012/eb15_en.htm |
| Countries / Regions | Central Europe, Europe |