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Year of publication
Subject
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Basel 486 Schweiz 250 Basler Akkord 48 Basel Accord 46 Switzerland 46 Kanton Basel 35 Credit risk 30 Kreditrisiko 26 Risk management 25 Bankrisiko 24 Bank risk 23 Regulation 18 Risikomanagement 18 Bankenregulierung 16 Geschichte 16 Theorie 16 Bank 15 Bank regulation 15 Theory 15 Welt 15 Bank lending 14 Kreditgeschäft 14 World 14 Zürich 13 Bankenaufsicht 12 Banking supervision 12 Stadtgeschichte 12 Wirtschaft 11 capital structure 11 Regulierung 10 Stadt 10 Deutschland 9 Financial crisis 9 Finanzkrise 9 Kapitalstruktur 9 Risk 9 Liquidity 8 Steuerbelastung 8 Wirtschaft der Landesteile 8 Wirtschaftsgeschichte 8
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Online availability
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Free 87 Undetermined 41 CC license 2
Type of publication
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Book / Working Paper 292 Article 185 Journal 17 Other 2
Type of publication (narrower categories)
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Article in journal 55 Aufsatz in Zeitschrift 55 Graue Literatur 48 Non-commercial literature 48 Hochschulschrift 42 Working Paper 22 Aufsatz im Buch 14 Book section 14 Dissertation u.a. Prüfungsschriften 14 Thesis 14 Arbeitspapier 13 Collection of articles of several authors 11 Sammelwerk 11 Statistik 10 Statistics 7 research-article 7 Amtsdruckschrift 6 Government document 6 Aufsatzsammlung 4 Bibliografie enthalten 4 Bibliography included 4 Festschrift 4 Konferenzschrift 4 No longer published / No longer aquired 4 Article 3 Case study 3 Conference proceedings 3 Fallstudie 3 Monografische Reihe 3 Biografie 2 Collection of articles written by one author 2 Research Report 2 Sammlung 2 Amtliche Publikation 1 Amtsblatt 1 Bildband 1 Conference paper 1 Country report 1 Fallstudiensammlung 1 Investitionsführer 1
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Language
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German 237 Undetermined 152 English 104 French 7 Dutch 1
Author
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Admati, Anat R. 11 Rosen, Josef 9 Frey, René L. 8 Hellwig, Martin 7 McAleer, Michael 7 Schmidheiny, Kurt 7 Bauer, Hans 6 DeMarzo, Peter M. 6 Gantenbein, Pascal 5 Ojo, Marianne 5 Ozdemir, Bogie 5 Pfleiderer, Paul 5 Weder, Rolf 5 Wunderle, Karl 5 Borner, Silvio 4 Chadha, Jagjit S. 4 Corrado, Luisa 4 Santos, Paulo Araújo 4 Amaral, Teodosio Pérez 3 Bonjour, Edgar 3 Bruhn, Manfred 3 Bücher, Karl 3 Cathcart, Lara 3 Hellwig, Martin F. 3 Jabbour, Ravel 3 Jiménez-Martín, Juan-Ángel 3 Kreis, Georg 3 Noam, Eli M. 3 Olivier, WALTHER 3 Roth, Paul 3 Rutzer, Christian 3 Staszkiewicz, Piotr W. 3 Stolz, Peter 3 Wartburg, Beat von 3 Zaby, Simon 3 Amaral, Teodosio Perez 2 Apelbaum, Johannes 2 Baig, Ahmed S. 2 Batiz-Zuk, Enrique 2 Bayraktar, Sema 2
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Institution
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Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 17 Basel-Stadt / Statistisches Amt 6 Universität Basel 6 Basel 4 Basler Handelskammer 3 Christoph Merian Verlag 3 Gewerbeverband Basel-Stadt 3 Luxembourg Institute of Socio-Economic Research (CEPS/INSTEAD) 3 Basel-Landschaft / Statistisches Amt 2 Basler Effektenbörse 2 Basler Volkswirtschaftsbund 2 Börsenkammer des Kantons Basel-Stadt 2 East Asian Bureau of Economic Research (EABER) 2 Max-Planck-Institut zur Erforschung von Gemeinschaftsgütern, Max-Planck-Gesellschaft 2 Regio Basiliensis 2 Schweizerischer Bankverein 2 Universitätsbibliothek Basel 2 Arbeitsgruppe Regio Brasiliensis 1 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 1 Basel / Gleichstellungsbüro 1 Basel-Landschaft 1 Basel-Stadt / Grosser Rat / Arbeitsbeschaffungskommission 1 Basel-Stadt / Rheinschiffahrtsdirektion 1 Basellandschaftliche Kantonalbank 1 Basler Bankenvereinigung / Arbeitsgruppe Finanzplatz 1 Basler Frauenvereins 1 Basler Gewerkschaftsbund 1 Basler Handels- und Industrie-Verein 1 Basler Regio-Forum 1 Baudirektion Basel-Landschaft für die RegierungenBasel-Stadt und Basel-Landschaft 1 CER-ETH Center of Economic Research, Department of Management, Technology and Economics (D-MTEC) 1 CIBA-Aktiengesellschaft Basel 1 CIBA-Geigy AG 1 Centro di Studi Internazionali Sull'Economia e la Sviluppo (CEIS), Facoltà di Economia 1 DANZAS AG <Basel> 1 Department of Economics and Finance, College of Business and Economics 1 Department of Economics, Fakulteit Ekonomiese en Bestuurswetenskappe 1 Deutschland <Bundesrepublik> / Bundesminister für Jugend, Familie, Frauen und Gesundheit 1 Eidgenössisches Luftamt 1 Facultad de Ciencias Económicas y Empresariales, Universidad Complutense de Madrid 1
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Published in...
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MPRA Paper 17 Schriften der Regio 12 Beiträge zur Geschichte der Naturwissenschaften und der Technik in Basel 11 Journal of Financial Regulation and Compliance 10 Wirtschaft und Verwaltung : Vierteljahreshefte hrsg. vom Statistischen Amt des Kantons Basel-Stadt 9 Regio-Wirtschaftsstudie Nordwestschweiz 7 Basler Beiträge zur Geschichtswissenschaft 6 Basler sozialökonomische Studien 6 Journal of risk management in financial institutions 6 Mitteilungen des Statistischen Amtes von Basel-Stadt 5 Swiss journal of economics and statistics 5 Vierteljahrschrift für Sozial- und Wirtschaftsgeschichte : VSWG 5 WWZ-Studien / Wirtschaftswissenschaftliches Zentrum, Universität Basel 5 Basler Beiträge zur Geographie 4 Jahrbücher für Nationalökonomie und Statistik 4 Preprints of the Max Planck Institute for Research on Collective Goods 4 Self rule, shared rule : federal solutions to the Middle East conflict 4 Archiv für soziale Gesetzgebung und Statistik : Zeitschr. zur Erforschung d. gesellschaftl. Zustände aller Länder 3 Basel : Denkschrift zur Erinnerung an die vor 2000 Jahren erfolgte Gründung der Colonia Raurica ; 44 v. Chr. - 1957 n. Chr 3 Beiträge zur schweizerischen Wirtschaftskunde 3 Der Monat in Wirtschaft und Finanz 3 Journal of financial regulation and compliance : an international journal 3 LISER Working Paper Series 3 PSL Quarterly Review 3 Perspektiven der Wirtschaftspolitik : Festschrift zum 65. Geburtstag von Prof. Dr. René L. Frey 3 Schriftenreihe der Basler Handelskammer 3 WWZ Studien 3 WWZ-Studien 3 BIS policy papers 2 Banca Impresa Società 2 Basler Stadt- und Regionalforschung 2 Basler Statistik 2 Basler Studien zur Rechtswissenschaft / B 2 HWWA discussion paper 2 IO : Management-Zeitschrift industrielle Organisation 2 Jahrbuch für Gesetzgebung, Verwaltung und Volkswirtschaft im Deutschen Reich 2 Journal of Risk and Financial Management 2 Journal of banking regulation 2 Journal of risk and financial management : JRFM 2 Revue économique et sociale : RES ; bulletin de la Société d'Etudes Economiques et Sociales 2
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Source
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ECONIS (ZBW) 373 RePEc 62 USB Cologne (EcoSocSci) 34 EconStor 14 Other ZBW resources 9 BASE 3 USB Cologne (business full texts) 1
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Showing 1 - 50 of 496
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Basel - die Schweizer Möbelstadt : zur Entwicklung des Nordwestschweizer Möbelhandwerks und –handels und des Nachfragemarktes für Möbel und Einrichtungen im 20. Jahrhundert
Pfister, Dieter - 2023
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014384646
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Analyse der 7. MaRisk-Novelle zum Umgang mit Klima- und Umweltrisiken : Schlussfolgerungen für mittelständische Banken im Licht der EZB-Anforderungen zur vollständigen E(SG)-Umsetzung
Böhm, Thomas - 2024
Einleitung -- Definitorische Grundlagen -- Theoretische Bestandsaufnahme – Darstellung und Vergleich der ESG-Erwartungshaltungen von EZB, EBA und BaFin -- Ansätze zum Umgang mittelständischer Banken mit den aufsichtlichen Erwartungshaltungen zu E(SG)-Risiken in der Banksteuerung --...
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The name says it all : multigenerational social mobility in Basel (Switzerland), 1550–2019
Häner, Melanie; Schaltegger, Christoph A. - In: Journal of human resources : JHR 59 (2024) 3, pp. 711-742
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Predicting money laundering sanctions using machine learning algorithms and artificial neural networks
Lokanan, Mark E. - In: Applied economics letters 31 (2024) 12, pp. 1112-1118
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Modelling systemically important banks vis-à-vis the basel prudential guidelines
Salim, M. Zulkifli; Daly, Kevin James - In: Journal of Risk and Financial Management 14 (2021) 7, pp. 1-20
Our paper investigates Indonesia's systemically important banks (SIBs) using theoretical approaches-CoVaR, marginal expected shortfall (MES), and SRISK-to compare with the Basel guidelines as benchmark. We use Indonesian banks' market and supervisory data over the 2008-2019 period. The research...
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Month-end regularities in the overnight bank funding markets
Baig, Ahmed S.; Winters, Drew B. - In: Journal of Risk and Financial Management 14 (2021) 5, pp. 1-16
The money market rates in the United States exhibit various calendar patterns that are grounded in institutional and regulatory factors. In this paper, we document a new regularity in the overnight fed funds market. Specifically, we identify patterns of decreased volatility along with consistent...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012611761
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Modelling systemically important banks vis-à-vis the basel prudential guidelines
Salim, M. Zulkifli; Daly, Kevin James - In: Journal of risk and financial management : JRFM 14 (2021) 7, pp. 1-20
Our paper investigates Indonesia's systemically important banks (SIBs) using theoretical approaches-CoVaR, marginal expected shortfall (MES), and SRISK-to compare with the Basel guidelines as benchmark. We use Indonesian banks' market and supervisory data over the 2008-2019 period. The research...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012622472
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Month-end regularities in the overnight bank funding markets
Baig, Ahmed S.; Winters, Drew B. - In: Journal of risk and financial management : JRFM 14 (2021) 5, pp. 1-16
The money market rates in the United States exhibit various calendar patterns that are grounded in institutional and regulatory factors. In this paper, we document a new regularity in the overnight fed funds market. Specifically, we identify patterns of decreased volatility along with consistent...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012534508
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A coherent economic framework to model correlations between PD, LGD and EaD, and its applications in EaD modelling and IFRS-9
Miu, Peter; Ozdemir, Bogie - In: Journal of risk management in financial institutions 16 (2022/2023) 1, pp. 52-78
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A new world post COVID-19 : lessons for business, the finance industry and policy makers
Billio, Monica (ed.); Varotto, Simone (ed.) - 2020 - 1st edition
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Analysis of Granularity Adjustment for Regulatory Capital
Krali, Mario; Gurov, Andrey - In: Journal of Central Banking Theory and Practice 8 (2019) 3, pp. 111-132
The lack of portfolio granularity in terms of exposure has been shown to have important implications for the amount of a financial institution’s economic capital. Based on a numerical simulation model, we provide concrete examples of how granularity affects capital levels. We achieve this by...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012217923
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Analysis of granularity adjustment for regulatory capital
Krali, Mario; Gurov, Andrey - In: Journal of central banking theory and practice 8 (2019) 3, pp. 111-132
The lack of portfolio granularity in terms of exposure has been shown to have important implications for the amount of a financial institution's economic capital. Based on a numerical simulation model, we provide concrete examples of how granularity affects capital levels. We achieve this by...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012101497
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Macroprudential policy contribution to the post-COVID-19 pandemic economic recovery
Cociug, Victoria; Mistrean, Larisa - In: Managing risk and decision making in times of economic …, (pp. 1-16). 2022
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The fragmentation of international banking regulation
Jabbour, Ravel Sami - In: International journal of finance & economics : IJFE 27 (2022) 4, pp. 4451-4471
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Ein Netz von Schulden : Schuldbeziehungen und Gerichtsnutzung im spätmittelalterlichen Basel
Hitz, Benjamin - 2022
Der Alltag in einer spätmittelalterlichen Stadt wie Basel war von Schulden geprägt: Kleinkredite und Borgkäufe hielten die Wirtschaft in Schwung, Rentenkäufe ermöglichten langfristige Geldanlagen. Schuldverhältnisse verbanden Menschen aus der Stadt, aus dem Umland und auch aus größerer...
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Does the value-at-risk legal framework lead to inaccurate and procyclical risk estimations? : empirical evidence from the eu countries
Vasileiou, Evangelos; Theodoros, Syriopoulos; … - In: The journal of prediction markets 16 (2022) 1, pp. 95-121
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Globally mobile intellectual capital : narratives of corporate executives & families on the move
Zaidi, Shabih - 2022
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Bank leverage, welfare, and regulation
Admati, Anat R.; Hellwig, Martin - 2018
We take issue with claims that the funding mix of banks, which makes them fragile and crisisprone, is efficient because it reflects special liquidity benefits of bank debt. Even aside from neglecting the systemic damage to the economy that banks' distress and default cause, such claims are...
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Bank leverage, welfare, and regulation
Admati, Anat R.; Hellwig, Martin - 2018
We take issue with claims that the funding mix of banks, which makes them fragile and crisis-prone, is efficient because it reflects special liquidity benefits of bank debt. Even aside from neglecting the systemic damage to the economy that banks' distress and default cause, such claims are...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011925841
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Bank leverage, welfare, and regulation
Admati, Anat R.; Hellwig, Martin - 2018 - Revised January 14, 2019
We take issue with claims that the funding mix of banks, which makes them fragile and crisisprone, is efficient because it reflects special liquidity benefits of bank debt. Even aside from neglecting the systemic damage to the economy that banks' distress and default cause, such claims are...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011977827
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Bank leverage, welfare, and regulation
Admati, Anat R.; Hellwig, Martin - 2018 - Revised November 19, 2018
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Kommunaler und kollektiver Widerstand gegen fiskalische Abschöpfung in der alten Eidgenossenschaft (Schweiz vor 1800)
Schläppi, Daniel - In: Jahrbuch für Wirtschaftsgeschichte 62 (2021) 2, pp. 333-368
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Operational risk management : analysis of challenges faced by banks in India
Jadwani, Barkha; Parkhi, Shilpa - In: International journal of integrated supply management : … 14 (2021) 2, pp. 183-196
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Evolution of risk management from risk compliance to strategic risk management Part II : the changing paradigm for the risk executive and Boards of the Canadian banking and insurance sectors
Ozdemir, Bogie - In: Journal of risk management in financial institutions 14 (2020/2021) 3, pp. 268-286
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A prudent loss given default estimation for mortgages. II
Ozdemir, Bogie; Huang, Emma - In: The journal of risk model validation 15 (2021) 4, pp. 1-27
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The ECB's in-comprehensive SSM-ent : the higher they go, the harder they fall
Jabbour, Ravel Sami; Sridharan, Nithya - In: The European journal of finance 26 (2020) 15, pp. 1506-1528
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The determinant of capital adequacy ratio : empirical evidence from Vietnamese banks (a panel data analysis)
Pham Thi Xuan Thoa; Nguyen-ngoc-Anh; Nguyen Khac Minh - In: Afro-Asian Journal of Finance and Accounting : AAJFA 10 (2020) 1, pp. 60-70
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A study of non-performing asset management as a strategic approach to ensure sustainability among the public sector banks in India
Ray, Saptarshi - In: IIMS journal of management science 11 (2020) 1, pp. 16-34
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Riesgo operativo en el sector salud en Colombia
Franco-Arbeláez, Luis Ceferino; Franco-Ceballos, Luis … - Volkswirtschaftliche Fakultät, … - 2015
In this research, based on the guidelines of the Basel agreements and its relationships with the health sector according to the respective resolutions of the Ministry of Social Protection of Colombia, the operational risk in the social security in Colombia is quantified in the context of...
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Banks in the global integrated monetary and fiscal model
Andrle, Michal; Kumhof, Michael; Laxton, Douglas; Muir, Dirk - 2015
The Global Integrated Monetary and Fiscal model (GIMF) is a multi-region DSGE model developed by the Economic Modeling Division of the IMF for policy and scenario analysis. This paper compares two versions of GIMF, GIMF with a conventional financial accelerator, where bank balance sheets do not...
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Cross-border cooperation and urban change in the Trinational Agglomeration Basel : Potential and limitations
Fernández Marín, Silvia - In: Archnet-IJAR: International Journal of Architectural … 13 (2019) 3, pp. 540-556
Purpose The geographic space of the old Trinational Agglomeration Basel is a complex area where municipalities (and urban systems) belonging to three different countries meet, and part of a paradigmatic scenario where former and recent cross-border cooperation structures and practices are...
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Effect of asset quality on growth productivity and profitability of State Bank of India (SBI) : a case study
Mohapatra, Evelina - In: GITAM journal of management : a quarterly publication … 17 (2019) 4, pp. 22-36
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Capital regulatory requirements for Islamic banks in the UAE : a comparative analysis
Onagun, Abdussalam Ismail - In: Islamic finance, risk-sharing and macroeconomic stability, (pp. 81-94). 2019
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Credit risk in the Turkish banking sector : a study on 1990-2017 period
Topak, Mehmet Sabri - In: Current issues in finance, economy and politics : …, (pp. 157-170). 2019
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Effectiveness of financial risk management framework : an analysis of the Mauritian banking sector
Sookye, Lilesh; Mohamudally-Boolaky, Alessha - In: Inventi impact: microfinance & banking (2019) 4, pp. 206-224
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The disparity in PD and LGD estimates within the IRB framework and prospects for future improvement
Stupariu, Patricia; Ruiz, Juan Rafael; Vilariño, Angel - In: Journal of banking regulation 20 (2019) 4, pp. 341-347
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Vom Gewerf zum Ungeld : das Hoch- und Spätmittelalter in Basel aus dem Blickwinkel der Steuern
Brüstlein Komai, Manuela - Steuerverwaltung des Kantons Basel-Stadt - 2019
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Напрями узгодження стандартів фінансової звітності банків із сучасними концепціями управління кредитним ризиком
Voloshyn, Ihor - Volkswirtschaftliche Fakultät, … - 2014
This paper examines ways of overcoming inconsistencies between IFRS and modern concepts of credit risk management, namely, expected loss model and risk-adjusted loan pricing. Also, it is considered an issue of acceptable levels of concentration risk in bank credit portfolio.
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The effectiveness of countercyclical capital requirements and contingent convertible capital: a dual approach to macroeconomic stability
Hollander, Hylton - Department of Economics, Fakulteit Ekonomiese en … - 2014
This paper studies the effectiveness of countercyclical capital requirements and contingent convertible capital (CoCos) in limiting financial instability, and its associated influence on the real economy. To do this, I augment both features into a standard real business cycle framework with an...
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GFC-Robust Risk Management under the Basel Accord using Extreme Value Methodologies
Jimenez-Martin, Juan-Angel; McAleer, Michael; Amaral, … - 2013
In this paper we provide further evidence on the suitability of the median of the point VaR forecasts of a set of models as a GFC-robust strategy by using an additional set of new extreme value forecasting models and by extending the sample period for comparison. These extreme value models...
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Fallacies, irrelevant facts, and myths in the discussion of capital regulation: Why bank equity is not socially expensive
Admati, Anat R.; DeMarzo, Peter M.; Hellwig, Martin; … - 2013
We examine the pervasive view that 'equity is expensive' which leads to claims that high capital requirements are costly for society and would affect credit markets adversely. We find that arguments made to support this view are fallacious, irrelevant to the policy debate by confusing private...
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Relational policy spaces in border regions
Sabine, DÖRRY; Olivier, WALTHER - Luxembourg Institute of Socio-Economic Research … - 2013
In European border regions, policy networks steer processes of politico-economic integration and de-bordering. Policy networks integrate actors belonging to different decisional levels and countries. Actors tend to coordinate actions and communications in policy networks to formulate common...
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GFC-Robust Risk Management under the Basel Accord using Extreme Value Methodologies
Jimenez-Martin, Juan-Angel; McAleer, Michael; Amaral, … - Tinbergen Instituut - 2013
See the publication in <I>Mathematics and Computers in Simulation (MATCOM)</I> (2013). Volume 94(C), pages 223-237.<P> In this paper we provide further evidence on the suitability of the median of the point VaR forecasts of a set of models as a GFC-robust strategy by using an additional set of new extreme...</p></i>
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Shipping Market Financing: Special Features and the Impact of Basel III
Sambracos, Evangelos; Maniati, Marina - Volkswirtschaftliche Fakultät, … - 2013
Shipping sector constitutes a sector with special characteristics that considerably differentiate it from the other sub-sectors of international transport. The maximisation of benefits for each one of the special market characteristics form a highly dynamic environment, with high risk of loss of...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011112142
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Fallacies, Irrelevant Facts, and Myths in the Discussion of Capital Regulation: Why Bank Equity is Not Socially Expensive
Admati, Anat R.; DeMarzo, Peter M.; Hellwig, Martin F.; … - Max-Planck-Institut zur Erforschung von … - 2013
We examine the pervasive view that “equity is expensive,” which leads to claims that high capital requirements are costly for society and would affect credit markets adversely. We find that arguments made to support this view are fallacious, irrelevant to the policy debate by confusing...
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Implementation of Modern Concepts of Control and Internal Audit in the Banking System
Loredana, Ciurlãu; Alexandru, Cãruntu Genu - In: Ovidius University Annals, Economic Sciences Series XIII (2013) 1, pp. 1166-1169
The interest in internal control and its continuous nature is the consequence of the causes which led to the recording of significant losses by some banks. Therefore, an effective internal control system is a critical component of the management of the banks, which can support the achievement of...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10010679567
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Demystifying Risk Management – Business & Growth Implications
KONDAMUDI, Bhavana Raj; SINDHU, Dr. - In: Economics and Applied Informatics (2013) 1, pp. 13-20
There is a misplaced notion that Risk Management and Business Development are at cross-roads, which is based on the premise that the Business Managers tend to compromise in certain areas of Risk Management in the interest of the business growth. But, in the larger interests of the Risk...
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GFC-robust risk management under the Basel accord using extreme value methodologies
Jiménez-Martín, Juan-Ángel; McAleer, Michael; Pérez … - 2013
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10009765824
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Fallacies, irrelevant facts, and myths in the discussion of capital regulation : why bank equity is not socially expensive
Admati, Anat R.; DeMarzo, Peter M.; Hellwig, Martin; … - 2013
We examine the pervasive view that "equity is expensive" which leads to claims that high capital requirements are costly for society and would affect credit markets adversely. We find that arguments made to support this view are fallacious, irrelevant to the policy debate by confusing private...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10010203632
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Evolution of risk management from risk compliance to strategic risk management : from Basel I to Basel II, III and IFRS 9
Ozdemir, Bogie - In: Journal of risk management in financial institutions 11 (2017/2018) 1, pp. 76-85
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10011861024
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