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Journal Articles
Bad assets options and bank resolution in Europe: Lessons learned in and after the 2008 financial crisis
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Journal:
The Journal of Risk Finance
Journal of Risk Finance (2015) 16 (5): 486–497.
Published: 16 November 2015
...Karsten Paetzmann Purpose – This paper analyzes the new EU Bank Recovery and Resolution Directive (BRRD) to determine the level of guidance on instruments to wind-down bad asset portfolios of asset management vehicles. In the absence of such detailed guidance stipulated by the BRRD, the aim...
