Skip to main content

Financial crises and bank funding: recent experience in the euro area

Type
Publication
Series
BIS Working Paper 406
Date Published
08 March 2013
Sources
Bank for International Settlements
JEL Classification

This paper provides an overview of bank funding trends in the euro area following the 2007-09 global financial crisis and the euro area crisis. It shows that funding has become segmented along national borders and that secured instruments are much more prevalent than previously. Rising debt retention by euro area banks has accompanied greater dependence on liquidity provided by the ECB.


The views expressed in this publication are those of the authors and do not necessarily reflect the views of the BIS or its member central banks.