The Macroeconomic Effects of Shocks to Large Banks' Capital

被引:12
|
作者
Mesonnier, Jean-Stephane [1 ]
Stevanovic, Dalibor [2 ,3 ,4 ]
机构
[1] Banque France, F-75001 Paris, France
[2] CIRANO, UQAM, 405 Rue St Catherine Est, Montreal, PQ H2L 2C4, Canada
[3] CIRPEE, 405 Rue St Catherine Est, Montreal, PQ H2L 2C4, Canada
[4] ESG UQAM, 405 Rue St Catherine Est, Montreal, PQ H2L 2C4, Canada
关键词
MONETARY-POLICY; BUSINESS-CYCLE; CREDIT CRUNCH; MARKETS; SPREADS; MODEL;
D O I
10.1111/obes.12162
中图分类号
F [经济];
学科分类号
02 ;
摘要
We propose a simple approach to quantifying the macroeconomic effects of shocks to large banks' leverage. We first estimate a standard dynamic model of leverage targeting at the bank level and use it to derive an aggregate measure of the economic capital buffer of large US bank holding corporations. We then evaluate the response of key macro variables to a shock to this aggregate bank capital buffer using standard monetary VAR models. We find that shocks to the capital of large US banks explain a substantial share of the variance of credit to firms and real activity.
引用
收藏
页码:546 / 569
页数:24
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