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Macroeconomic Default Modeling and Stress Testing (Paperback): International Journal of Central Banking Macroeconomic Default Modeling and Stress Testing (Paperback)
International Journal of Central Banking; Dietske Simons, Ferdinand Rowles
R388 R312 Discovery Miles 3 120 Save R76 (20%) Ships in 10 - 15 working days

This paper applies a macroeconomic-based model for estimating probabilities of default. The first part of the paper focuses on the relation between macroeconomic variables and the default behavior of Dutch firms. A convincing relationship with GDP growth and oil price and, to a lesser extent, the interest and exchange rate exists. The second part of the paper assesses the default behavior based on a stress scenario of two consecutive quarters of zero GDP growth as required by the Basel II framework. It can be concluded that a stress-test scenario covering two quarters of zero GDP growth does not influence the default rate significantly and thus does not seem to be very severe.

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