The Euro-area Financial System: Structure, Integration, and Policy Initiatives

C-Tier
Journal: Oxford Review of Economic Policy
Year: 2003
Volume: 19
Issue: 1
Pages: 180-213

Score contribution per author:

0.335 = (α=2.01 / 3 authors) × 0.5x C-tier

α: calibrated so average coauthorship-adjusted count equals average raw count

Abstract

Four years after the introduction of the euro, this paper provides an overview of the current structure and integration of the euro-area financial systems and related policy initiatives. We first compare the euro-area financial structure with those of the United States and Japan. Using new and comprehensive financial account data, we also describe how the euro-area financial structure has evolved since 1995. We document the progress towards integration of the major euro-area financial segments, namely money markets, bond markets, equity markets, and banking. Finally, we discuss recent policy initiatives aimed at further improving European financial integration. Copyright 2003, Oxford University Press.

Technical Details

RePEc Handle
repec:oup:oxford:v:19:y:2003:i:1:p:180-213
Journal Field
General
Author Count
3
Added to Database
2026-01-25