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Year of publication
Subject
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Bank management 1,663 Bankmanagement 1,495 Bank 508 Deutschland 485 Germany 473 Risk management 319 Risikomanagement 311 Theorie 304 Theory 304 bank management 183 Bank risk 163 Bankrisiko 163 banking 149 banking system 143 capital adequacy 133 banking supervision 131 Strategisches Management 127 Bankgeschäft 123 banking sector 123 Bank supervision 109 foreign exchange 109 Banking services 106 Bankenaufsicht 97 internal control 95 Banking supervision 93 consolidated supervision 90 deposit insurance 90 Bank regulation 89 Bankenregulierung 89 Credit risk 89 Finanzdienstleistung 89 Financial sector 87 Welt 87 World 85 Financial services 81 Electronic Banking 77 Electronic banking 77 USA 77 Strategic management 76 capital adequacy ratio 76
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Online availability
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Free 348 Undetermined 133 CC license 4
Type of publication
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Book / Working Paper 1,088 Article 732 Journal 35
Type of publication (narrower categories)
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Aufsatz im Buch 384 Book section 384 Article in journal 261 Aufsatz in Zeitschrift 261 Collection of articles of several authors 174 Sammelwerk 174 Graue Literatur 147 Non-commercial literature 147 Hochschulschrift 138 Thesis 128 Aufsatzsammlung 85 Lehrbuch 72 Textbook 67 Arbeitspapier 61 Working Paper 61 Konferenzschrift 55 Bibliografie enthalten 43 Bibliography included 43 Conference proceedings 38 Handbook 33 Handbuch 33 Case study 23 Fallstudie 23 Festschrift 22 Bibliografie 10 Glossar enthalten 10 Glossary included 10 Mehrbändiges Werk 7 Multi-volume publication 7 Amtsdruckschrift 6 Government document 6 Bibliographie 5 Collection of articles written by one author 4 Interview 4 Sammlung 4 Accompanied by computer file 2 Biografie 2 Company information 2 Elektronischer Datenträger als Beilage 2 Fallstudiensammlung 2
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Language
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German 844 English 699 Undetermined 262 Polish 20 Russian 19 French 16 Italian 14 Danish 3 Spanish 3 Dutch 1 Romanian 1 Serbian 1 Ukrainian 1 Chinese 1
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Author
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Rolfes, Bernd 22 Schierenbeck, Henner 21 Saunders, Anthony 17 Cornett, Marcia Millon 13 Kirmße, Stefan 12 Strahan, Philip E. 11 Berger, Allen N. 9 Riekeberg, Marcus 9 Bacher, Urban 8 Baxmann, Ulf G. 8 Bessis, Joël 8 Casu, Barbara 8 Demirgüç-Kunt, Asli 8 Tietmeyer, Hans 8 Wimmer, Konrad 8 Bartetzky, Peter 7 Bertay, Ata Can 7 Degryse, Hans 7 Horsch, Andreas 7 Huizinga, Harry 7 Molyneux, Philip 7 Ongena, Steven 7 Pfingsten, Andreas 7 Steffens, Udo 7 Utz, Erich R. 7 Wiedemann, Arnd 7 Ackermann, Josef 6 Beck, Andreas 6 Bernet, Beat 6 Brost, Heike 6 Büschgen, Hans E. 6 Christians, Uwe 6 Dahmen, Andreas 6 Gup, Benton E. 6 Lippmann, Ingo 6 Lister, Michael 6 Moormann, Jürgen 6 Priewasser, Erich 6 Reuse, Svend 6 Rose, Peter S. 6
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Institution
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International Monetary Fund (IMF) 158 International Monetary Fund 116 Federal Reserve Bank of Chicago 55 Federal Reserve Board (Board of Governors of the Federal Reserve System) 11 Federal Reserve Bank of New York 10 Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart> 5 Institut für Betriebswirtschaftslehre <Lüneburg> / Abteilung für Bank- und Finanzwirtschaft 5 Bangladesh Institute of Bank Management 4 Basel Committee on Banking Supervision 4 Basler Bankenvereinigung 4 Springer Fachmedien Wiesbaden 4 Fraunhofer-Institut für Arbeitswirtschaft und Organisation 3 Fritz Knapp Verlag 3 Steria Mummert Consulting AG 3 Walter de Gruyter GmbH & Co. KG 3 Bankakademie 2 Berlin Verlag Arno Spitz 2 Bundesverband Credit Management 2 Deutsche Bundesbank / Fachhochschule 2 European Association of University Teachers of Banking and Finance / Conference <201, Modena> 2 F.A.Z.-Institut für Management-, Markt- und Medieninformationen 2 Federal Reserve Bank of St. Louis 2 Goethe-Universität Frankfurt am Main / Institut für Kapitalmarktforschung 2 Handelshögskolan, Göteborgs Universitet 2 Hong Kong Institute of Bankers 2 IGI Global 2 Information Resources Management Association 2 Schmalenbach-Gesellschaft für Betriebswirtschaft / Arbeitskreis Strategieentwicklung und Controlling in Banken 2 South-East Asian Central Banks / Board of Governors 2 Technische Universität Bergakademie Freiberg 2 University of Stellenbosch. Faculty of Economic and Management Sciences. Dept. of Business Management. 2 Université Paris-Dauphine (Paris IX) 2 Wissenschaftliche Publikationen 2 Zentrum für Europäische Wirtschaftsforschung 2 Academia de Studii Economice a Moldovei 1 Akademia Ekonomiczna Imienia Oskara Langego we Wrocławiu 1 Akzente-Kommunikationsberatung <München> 1 American Bankers Association 1 Association Luxembourgeoise des Juristes de Banque 1 Associazione Tesorieri Istituzioni Creditizie 1
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Published in...
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IMF Staff Country Reports 111 Proceedings / Federal Reserve Bank of Chicago 50 Strategische Gesamtbanksteuerung 50 IMF Working Papers 40 Die Bank 36 SpringerLink / Bücher 29 Risiko-Manager 23 Gabler Edition Wissenschaft 13 Europäische Hochschulschriften / 5 11 Federal Reserve Bulletin 11 Kompendium bankbetrieblicher Anwendungsfelder 11 Wiley finance series 11 Bank-Archiv : Zeitschrift für das gesamte Bank- und Börsenwesen : journal of banking and financial research 9 Economic Policy Review 9 Handbuch Aufsichts- und Verwaltungsräte in Kreditinstituten : rechtlicher Rahmen, betriebswirtschaftliche Herausforderungen, Best Practices 9 Handbuch Treasury : ganzheitliche Risikosteuerung in Finanzinstituten 9 Palgrave Macmillan studies in banking and financial institutions 9 Praxis der Gesamtbanksteuerung : Methoden - Lösungen - Anforderungen der Aufsicht 9 Aktuelle Herausforderungen des Bankmanagements : Münsteraner Bankentage 2006 8 Multi- und Omnichannel-Management in Banken und Sparkassen : Wege in eine erfolgreiche Zukunft 8 The McGraw-Hill/Irwin series in finance, insurance, and real estate 8 Erfolgreicher Vertrieb braucht Führung : Konzepte, Praxisberichte und Lösungsansätze für Banken und Sparkassen 7 Herausforderung Bankmanagement : Entwicklungslinien und Steuerungsansätze ; Festschrift zum 60. Geburtstag von Henner Schierenbeck 7 Schriftenreihe des European Center for Financial Services 7 Schriftenreihe des Zentrums für Ertragsorientiertes Bankmanagement 7 Bankrisikomanagement : Mindestanforderungen, Instrumente und Strategien für Banken 6 Finance and Economics Discussion Series 6 Revue d'économie financière : revue trimestrielle de l'Association Europe finances régulations 6 Springer eBook Collection 6 Springer eBook Collection / Business and Economics 6 Staff Reports / Federal Reserve Bank of New York 6 Zeitschrift für das gesamte Kreditwesen : Pflichtblatt der Frankfurter Wertpapierbörse 6 Aktuelle Entwicklungen im Bankcontrolling: Rating, Gesamtbanksteuerung und Basel II 5 Arbeitspapiere des Instituts für Genossenschaftswesen der Westfälischen Wilhelms-Universität Münster 5 Bank-Praktiker : rechtssicher, revisionsfest, risikogerecht 5 Betrieb / Management, Strategie 5 Fedgazette 5 Gabler-Edition Wissenschaft 5 Handbuch ökonomisches Kapitel 5 Interne Kontrollsysteme in Banken und Sparkassen : Vorgaben und Erwartungen der Bankenaufsicht ; wesentliche Kontrollen in Fachbereichen ; IKS-Dokumentation ; Prüfung 5
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Source
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ECONIS (ZBW) 1,503 RePEc 326 USB Cologne (EcoSocSci) 20 BASE 3 ArchiDok 2 EconStor 1
Showing 1 - 50 of 1,855
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Leveraging digital transformation in risk management
Brogi, Marina; Lagasio, Valentina; Mercurio, Danilo; … - In: Risk management magazine 19 (2024) 1, pp. 50-69
This study analyses the evolving landscape of digital risk management within the banking sector. Based on responses from a diverse group of Italian banks, the research sheds light on key trends and strategic priorities in risk management. By soliciting insights from professionals and...
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The impact of risk management on banks' profitability : a South African perspective
Razermera, Tsitohaina; Brijlal, Pradeep; Jwara, Nomthandazo - In: International journal of economics and financial issues … 14 (2024) 4, pp. 56-65
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European banks' business models as a driver of strategic planning : one size fits all
Palmieri, Egidio; Geretto, Enrico Fioravante; Polato, … - In: Journal of financial regulation and compliance 31 (2023) 1, pp. 16-39
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Influence of Capital on Firm Value Through Enterprise Risk Management in Banking
Kartikasari, Dewi; Ahyani, Fatchan; ., Zulfikar - 2023
This study aims to prove and analyze empirically how capital affects firm value and interaction that happened between capital and corporate risk management affects firm value. The hypothesis of this study relates to the effect of capital on firm value at banking companies in Indonesia, and the...
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Artificial intelligence : new data and new models in credit risk management
Locatelli, Rossella; Pepe, Giovanni; Salis, Fabio; … - In: Risk management magazine 18 (2023) 3, pp. 4-15
During the last decade, the increase in computational capacity, the consolidation of new data processing methodologies and the availability of access to new information concerning both individuals and organizations, aided by the widespread internet usage, has increased the development and...
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Fundamentals of Correspondent Banking : How Do Cross-Border Payments and Settlements work?
Clavero, Borja - 2023
Even though in their role as facilitators of cross-border payments they are critical for the modern world economy, correspondent banking relationships are poorly understood in terms of the actual balance sheet mechanics of how these payments are settled. A cursory search for the terms ‘nostro...
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Regulating and managing banks in India : an economic perspective
Samantaraya, Amaresh - 2025
A comprehensive coursebook that combines the study of three key aspects of banking: the role of banks in an economy, the need for banking regulations and regular bank management practices. The book begins with explanations of the basics of functions of banks and emphasises the paramount...
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A proposed methodology for literature review on operational risk management in banks
Jiravichai, Ajjima; Ruthī Phanomyong - In: Risks : open access journal 10 (2022) 5, pp. 1-18
The purpose of this paper is to propose a methodology that enables researchers to identify relevant search terms when conducting a literature review. This methodology requires an analysis of existing literature review articles on the topic under study to form keywords. The objective of this...
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The E.U. strategy on diversity management in the banking sector
Paoloni, Paola; Arduini, Simona - 2024
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Sustainable Finance : Auswirkungen von Klimawandel und weiteren ESG-Faktoren auf die Banksteuerung
Bopp, Robert E.; Weber, Max - 2024 - 2., aktualisierte und erweiterte Auflage
Welche Regelwerke existieren und wie spielen sie zusammen? Welche Anforderungen ergeben sich für die Finanzinstitute heute und was ist für die nächsten Jahre geplant? Das Buch gibt einen Überblick über die mit dem Klimawandel verbundenen regulatorischen, politischen und gesellschaftlichen...
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MaRisk-Interpretationshilfen
Dietz, Thomas; Duda, Markus; Fischer, Annika - 2024 - 6. Auflage
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Recent developments in financial management and economics
Derbali, Abdelkader Mohamed Sghaier (ed.) - 2024
"Financial Management & Economics (FME) is a discipline that has evolved with the changing dynamics of the world over the years. A lot of things affect the business landscape in different ways. These changes have both short-term and long-term impacts and will form the foundation for major...
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Compliance and financial crime risk in banks : a practitioners guide
Velez, Sophia Beckett - 2024 - First edition
US and global banking regulators have enforced compliance laws to minimise money laundering, terrorist funding, human trafficking, fraudulent banking activities, and bad mortgage loans that expose banks to significant risks and losses. However, many banks have complained of over-regulation....
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Climate change risk management in banks : the next paradigm
Ramakrishna, Saloni P. - 2024
Banks, like other businesses, endeavor to drive revenue and growth, while deftly managing the risks. Dubbed the next "frontier" in risk management for financial services, climate related risks are the newest and potentially the most challenging set of risks that banks are encountering. On the...
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Leveraging artificial intelligence for enhanced risk management in banking : a systematic literature review
Dewasiri, Narayanage Jayantha; Dharmarathna, Dunusinghe G. - In: Artificial intelligence enabled management : an …, (pp. 197-213). 2024
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Are international banks different? : evidence on bank performance and strategy
Bertay, Ata Can; Demirgüç-Kunt, Asli; Huizinga, Harry - In: Journal of financial services research 66 (2024) 2, pp. 101-142
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The economics of banking
Matthews, Kent; Thompson, John L.; Zhang, Tiantian - 2024 - Fourth edition
"The Economics of Banking (4th Edition) addresses the need for a user-friendly and mathematically accessible textbook that describes and explains the behavior of banks by examining trends and operations in banking within a microeconomic framework. It provides a sound theoretical basis for...
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Climate change risk management in banks : the next paradigm
Ramakrishna, Saloni P. - 2024
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Op weg naar een duurzame balans : integratie van duurzaamheidsrisico's in de kernprocessen van de financiële sector
As, Rosa van; Dijk, Justin; Jagt, Loes van der; Piljic, … - 2021
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Development of tools and mechanisms for the integration of ESG factors into the EU banking prudential framework and into banks' business strategies and investment policies : final study
BlackRock, Inc. / Financial Markets Advisory; … - 2021
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British banks and their Aesop's fables organizational memories of the governance and management of financial crisis
Barnes, Victoria; Newton, Lucy A. - In: Remembering and learning from financial crises, (pp. 184-206). 2021
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Geldinstitute : GI ; Fachzeitschrift für IT-Entscheider und Manager
München : av-news GmbH; -2010: Bad Wörishofen : Holzmann; … - [1.]1970-[25.]1994,3 ; Jg. 25, Nummer 4/5 (1994)-Jg. …
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Money machine : a trailblazing American venture in China
Shan, Weijian - 2023
"Private equity deal making is often shrouded in secrecy. But one legendary dealmaker is happy to explain how a failing Chinese financial institution was transformed into a profitable one, without a single dollar of government support. During the Great Financial Crisis (GFC) of 2008, banks...
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Development and public banks
Griffith-Jones, Stephany (ed.); Marodon, Régis (ed.);  … - 2023
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Geldinstitute : GI ; eBanking, IT-Lösungen und Banktechnik
Bad Wörishofen : Holzmann; München : GBI - Nachgewiesen 2000-2023 ; damit Erscheinen eingestellt
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Analysis of bank performance and the risks assumed
Ioan, Viorica; Lazarescu, Ioana; Fortea, Costinela - In: Analele Universitătii Dunărea de Jos Galaţi 26 (2020) 1, pp. 121-127
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Scottish National Investment Bank : proposal to set missions for the Scottish National Investment Bank
Schottland / Government - 2020
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Risk managers in banks
Efing, Matthias; Kampkötter, Patrick - 2020
How do banks remunerate risk managers and what are the implications for risk-taking? Studying 127 German banks during the years 2003 to 2007, we show that risk managers' remuneration is positively aligned with performance-linked pay in front offices (FOs). When bonuses in FOs increase by one...
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Banking and finance
Bin Haron, Razali (ed.) - 2020
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Are international banks different? : evidence on bank performance and strategy
Bertay, Ata Can; Demirgüç-Kunt, Asli; Huizinga, Harry - 2019 - This draft: July 2018
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Are International Banks Different? Evidence on Bank Performance and Strategy
Bertay, Ata Can - 2019
This paper provides evidence on how bank performance and strategies vary with the degree of bank internationalization, using data for 113 countries over 2000-15. Over this period, bank internationalization is associated with lower valuations and lower returns on equity. However, developing...
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Future of finance : review on the outlook for the UK financial system : what it means for the Bank of England
Van Steenis, Huw - 2019
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SEACEN financial stability journal : insights and thought leadership on financial stability
South-East Asian Central Banks / Board of Governors - Kuala Lumpur, Malaysia : Research and Training Centre - Volume 1 (2013)-volume 8 (June 2017) ; [Neue Folge], …
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The Status of People Risk Management in UK Banks
Mabwe, Kumbirai - 2022
Against the background of a succession of financial mishaps in the banking industry, all deeply rooted in the behaviour of individual employees, this article examines the place of ‘people risk’ in the context of operational risk management in UK banks. Informed by an examination of the...
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Grundlagen des Bankmanagements, der Geschäftspolitik und wichtiger Bankgeschäfte
Bacher, Urban - 2022 - 6. vollständig überarbeitete und erweiterte Auflage
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Introduction to banking
Casu, Barbara; Girardone, Claudia; Molyneux, Philip - 2022 - Third edition
"The aim of this textbook is to provide a comprehensive introduction to theoretical and applied issues relating to the global banking industry. Despite the fears of Henry Ford, we do not think reading this book will cause a revolution but we do hope it will at least provide you with an enjoyable...
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Operational risk management in banks and idiosyncratic loss theory : a leadership perspective
Velez, Sophia Beckett - 2022
A systemic risk event that leads to significant losses in banks that are significant financial institutions can expose them to insolvency, significant volatility and impose serious negative impact on a country's economy, as witnessed during the 2008 financial crash. The viral spread of...
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Probability of default estimation as a credit risk parameter : Markov chain approach applied in real data
Ouranos, Vasileios; Livada, Alexandra - In: The New digital era : other emerging risks and opportunities, (pp. 151-176). 2022
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Risk-taking and risk management by banks
Stulz, René M. - In: Journal of applied corporate finance : JACF 34 (2022) 1, pp. 95-105
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Optimal regulation of banking system' s advanced credit risk management by unified computational representation of business pro- cesses across the entire banking system
Alrabiah, Abdulrahman - In: Cogent Economics & Finance 6 (2018) 1, pp. 1-23
The impetus for this paper came after the financial crisis of 2007-2008, its global consequences and specifically how incomplete information "information asymmetry" between local banks and regulators extremely affected the banking sector. Financial institutions and regulators are-from a...
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For Richer, for Poorer : Bankers' Liability and Risk-Taking in New England, 1867-1880
Koudijs, Peter - 2018
We study whether banks are riskier if managers have less liability. We focus on New England between 1867 and 1880 and consider the introduction of marital property laws that limited liability for newly wedded bankers. We find that banks with managers who married after a legal change had more...
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For richer, for poorer : bankers' liability and risk-taking in New England, 1867-1880
Koudijs, Peter; Salisbury, Laura; Sran, Gurpal - 2018
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For Richer, for Poorer : Bankers' Liability and Risk-taking in New England, 1867-1880
Koudijs, Peter - 2018
We study whether banks are riskier if managers have less liability. We focus on New England between 1867 and 1880 and consider the introduction of marital property laws that limited liability for newly wedded bankers. We find that banks with managers who married after a legal change had more...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012480651
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Theory and practice of capital estimation methods : an application in bank management
Posnaya, E. A.; Kaznova, M. I.; Shapiro, I. E.; … - In: European research studies 21 (2018) 2, pp. 497-505
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Optimal regulation of banking system' s advanced credit risk management by unified computational representation of business pro- cesses across the entire banking system
Alrabiah, Abdulrahman - In: Cogent economics & finance 6 (2018) 1, pp. 1-23
The impetus for this paper came after the financial crisis of 2007-2008, its global consequences and specifically how incomplete information "information asymmetry" between local banks and regulators extremely affected the banking sector. Financial institutions and regulators are-from a...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012023070
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Are International Banks Different? Evidence on Bank Performance and Strategy
Bertay, Ata Can - 2018
This paper provides evidence on how bank performance and strategies vary with the degree of bank internationalization, using data for 113 countries over 2000-15. The paper investigates whether international banks headquartered in developing countries behave and perform differently from those...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012931534
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Corporate Governance in Indian Banks Post Subprime Crisis
Kanojia, Sunaina - 2018
This paper attempts to unearth quality of corporate governance practices of Indian Banking sector and highlight whether the corporate governance practices of listed public and private sector banks are symmetric post subprime crisis. The study examines that whether the key corporate governance...
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Will a bank's new technology help or hurt morale?
Schlesinger, Leonard A. - In: Harvard business review : HBR 99 (2021) 4, pp. 144-149
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Integrierte Banksteuerung : internes Controlling, externe Bilanzierung und aufsichtsrechtliche Limitierung des Zinsänderungsrisikos
Wiedemann, Arnd; Hille, Vanessa; Wiechers, Sebastian - 2021 - 1. Auflage
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Bank asset liability management best practice : yesterday, today and tomorrow
Bardaeva, Polina - 2021
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