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Published on Wednesday, December 19, 2018 | Updated on Wednesday, June 21, 2023

Document number 18/16

Sovereign risk in the euro zone and its treatment in banking regulation

Summary

The crisis has brought with it a notable increase in public debt in the countries affected, especially intense in the peripheral countries of the euro zone. The Greek crisis has fuelled a debate on the treatment of debt holdings in banking regulation and its consideration as a risk-free asset.

Geographies

Authors

Santiago Fernández de Lis BBVA Regulation - Head of Regulation
Pilar Soler BBVA Regulation - Regulation Manager

Documents and files

Report (PDF)

Articulo-revista-economistas_Riesgo-soberano_WP_i.pdf

English - December 19, 2018

Report (PDF)

Riesgo-soberano.pdf

Spanish - December 19, 2018

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