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 U.S. Bank Stocks and the Subprime Crisis
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Master's Thesis from the year 2009 in the subject Business economics - Banking, Stock Exchanges, Insurance, Accounting, grade: 1,00, Fachhochschule des bfi Wien GmbH, 40 entries in the bibliography, language: English, abstract: This paper examines if U.S. American banks that announced write-offs in their quarterly reports, due to the so-called subprime crisis, show abnormal returns in relation to the S&P 500 index in 4 different time periods. The basics and the history of event studies are mentioned and different methods to determine abnormal returns and how to test the significance of abnormal returns are explained. The event study of this paper is evaluated with the market adjusted returns model and Ordinary Least Squares market model. The estimated abnormal returns are then tested on significance with parametric and non-parametric tests. Besides that, this paper also gives a summary about the subprime crisis, the role of players, the sources, the complexity and the broadening of the crisis.

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