Assessing Major Country Exposures of U.S. Banks Using 0009a Data Reports: A Brexit Case Study
Posted: 19 Dec 2019
Date Written: 2019-11-05
Abstract
This note describes an underutilized data source on international exposures of U.S. commercial banks and bank holding companies. As an example of the type of analyses these data permit, the note characterizes how banks' exposures to potential Brexit-related risks have changed since the U.K. referendum in June 2016.
Suggested Citation: Suggested Citation
von Hafften, Alexander, Assessing Major Country Exposures of U.S. Banks Using 0009a Data Reports: A Brexit Case Study (2019-11-05). FEDS Notes No. 2019-11-05, Available at SSRN: https://ssrn.com/abstract=3493629 or http://dx.doi.org/10.17016/2380-7172.2469
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