Expected duration: 1 day or less Hi, I am a university student undertaking a project on interbank lending and how shocks or default risk can propagate and amplify risks across the banking sector and economy as a whole. As I am a university student, my knowledge isn't too complex, however I am proficient in the use of excel and stata. I have tried other models, which have failed and have been statistically insignificant. Any help would be appreciated.
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