Banks and sovereign debt in the euro area: a comparative analysis of the 2010s debt crisis and the Covid-19 pandemic

Covotto, Grazia (A.A. 2024/2025) Banks and sovereign debt in the euro area: a comparative analysis of the 2010s debt crisis and the Covid-19 pandemic. Tesi di Laurea in European political economy in times of crises, Luiss Guido Carli, relatore Marco Simoni, pp. 72. [Master's Degree Thesis]

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Abstract/Index

Evolution of the sovereign-bank nexus between the sovereign debt crisis and the covid-19 crisis. Sovereign-bank nexus: an overview. Channels of risk transmission. Banks’ exposure to sovereign debt. Why did Europe not experience a second sovereign debt crisis in 2020? Three hypotheses to answer this question. Hypothesis 1: institutional reforms and structural change. Hypothesis 2: policy learning and shifts in policymakers’ attitudes. Hypothesis 3: market perceptions and the nature of the shock. Research methodology: a mixed-method approach. Testing the three hypotheses.

References

Bibliografia: pp. 63-72.

Thesis Type: Master's Degree Thesis
Institution: Luiss Guido Carli
Degree Program: Master's Degree Programs > Corso di Laurea magistrale in Policies and Governance in Europe, lingua inglese (LM-62)
Chair: European political economy in times of crises
Thesis Supervisor: Simoni, Marco
Thesis Co-Supervisor: De Romanis, Veronica
Academic Year: 2024/2025
Session: Autumn
Deposited by: Alessandro Perfetti
Date Deposited: 29 Jan 2026 15:42
Last Modified: 29 Jan 2026 15:42
URI: https://tesi.luiss.it/id/eprint/44724

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