Geopolitical Risk in Banks
The Russia-Ukraine conflict has increased geopolitical risk premiums in European banks' debt and equity markets, especially for banks with significant credit exposures to Russia.
Featured in No. 91 on 2 Apr 2025 · 2 days after release
- Released
- 31 Mar 2025
- First featured
- No. 91 · 2 Apr 2025
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- SSRN 5198995
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