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Emerging economies 12 Schwellenländer 12 Risikomanagement 8 Risk management 8 Bank 5 Aktienmarkt 3 Financial crisis 3 Finanzkrise 3 Stock market 3 Welt 3 World 3 ARCH model 2 ARCH-Modell 2 Aktienindex 2 Bank lending 2 China 2 Credit risk 2 KMU 2 Kreditgeschäft 2 Kreditrisiko 2 Multinationales Unternehmen 2 SME 2 Stock index 2 Theorie 2 Theory 2 Transnational corporation 2 Volatility 2 Volatilität 2 Africa 1 Afrika 1 Asia 1 Asien 1 Bank risk 1 Bankrisiko 1 Basel Accord 1 Basler Akkord 1 Börsenhandel 1 Börsenkurs 1 Calendar effect 1 Canada 1
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Undetermined 23
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Article 23
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English 23
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Al Janabi, Mazin A. M. 1 Aldoseri, Mahfod 1 Anchor, John R. 1 Battaglia, Francesca 1 Benesova, Hana 1 Bissoondoyal-Bheenick, Emawtee 1 Borges, Maria Rosa 1 Bosetti, Luisa 1 Brooks, Robert 1 Burchi, Alberto 1 Clements, Sherwood 1 Cornejo, Edinson 1 Daly, Kevin 1 Davydov, Denis 1 Fiordelisi, Franco 1 Fujiwara, Kenya 1 Füss, Roland 1 Gennari, Francesca 1 Grira, Jocelyn 1 Gubareva, Mariya 1 Gupta, Mayank 1 Hanedar, Avni Önder 1 Hanedar, Elmas Yaldız 1 Hu, Haoshen 1 Inci, A. Can 1 Jinushi, Toshiki 1 Kaiser, Dieter G. 1 Labidi, Chiraz 1 Liu, Yajing 1 Martelli, Duccio 1 Matsuki, Takashi 1 Mátrai-Pitz, Mónika 1 Novotný, Jan 1 Parisi, Franco 1 Prokop, Jörg 1 Ricci, Ornella 1 Salvioni, Daniela M. 1 Schepp, Zoltán 1 Schindler, Felix 1 Sugimoto, Kimiko 1
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Risk management in emerging markets : issues, framework, and modeling 23
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ECONIS (ZBW) 23
Showing 1 - 10 of 23
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21 Before and after the Crisis: A Look at the SMEs in Emerging Economies
Hanedar, Elmas Yaldız; Hanedar, Avni Önder - In: Risk management in emerging markets : issues, …, (pp. 683-700). 2016
The aim of this chapter is to understand effects of the recent crisis on the financial constraints that small and medium size enterprises have experienced in emerging economies. Using the firm level survey data provided by the World Bank, a descriptive analysis is conducted by calculating the...
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13 Risk Management in a Transition Economy: The Chilean Case
Parisi, Franco; Clements, Sherwood; Cornejo, Edinson - In: Risk management in emerging markets : issues, …, (pp. 399-421). 2016
Over the last decade, the Chilean economy has experienced rapid growth, allowing per capita GDP to rise from $10,700 to $19,887. Additionally, the capital markets size increased over 16%. Given this, it is expected that Chile will be considered a developed country by 2020, according to the...
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20 Possible Unintended Consequences of Basel III on Emerging Markets and Developing Economies: Assessment of Stressed VaR and Effects on Banks’ Investment Decisions
Burchi, Alberto; Martelli, Duccio - In: Risk management in emerging markets : issues, …, (pp. 645-682). 2016
The recent 2008–2009 financial crisis has led international financial authorities to review the existing regulation; the Basel Committee on Banking Supervision has been thus induced to review the pillars of the Basel Accord (Basel II) in order to strengthen the risk coverage of capital...
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19 Market Concentration and Bank Competition in Emerging Asian Countries
Thi My Phan, Hanh; Daly, Kevin - In: Risk management in emerging markets : issues, …, (pp. 607-644). 2016
This study aims to investigate both market concentration and bank competition of banking across six emerging Asian countries (e.g., Bangladesh, Indonesia, India, Philippines, Malaysia, and Vietnam) over pre and post the 2008 global financial crisis. The conduct parameter approach following the...
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18 How International Standards Apply to Emerging Countries?
Grira, Jocelyn; Labidi, Chiraz - In: Risk management in emerging markets : issues, …, (pp. 587-605). 2016
This chapter discusses the regulatory challenges faced by financial institutions in emerging countries and it presents their specific features compared to financial institutions in developed countries. It offers a practical way of implementing regulatory changes while accounting for emerging...
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17 Dynamic Linkages between Hedge Funds and Traditional Financial Assets: Evidence from Emerging Markets
Füss, Roland; Kaiser, Dieter G.; Schindler, Felix - In: Risk management in emerging markets : issues, …, (pp. 543-583). 2016
This chapter aims to determine whether diversification benefits accrue from adding emerging market hedge funds (EMHFs) to an emerging market bond/equity portfolio, and subsequently whether the type of exposure hedge funds provide is justified by their fees. We use multivariate cointegration...
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16 Intraday Volatility Smiles, Day of the Week Effect, and Risk Management at Borsa Istanbul Stock Exchange
Inci, A. Can - In: Risk management in emerging markets : issues, …, (pp. 505-542). 2016
Intraday volatility characteristics throughout the trading week are examined at the emerging Borsa Istanbul (BIST) stock exchange. Using five-minute (and 15-minute) intervals, accentuated intraday volatility patterns at the microstructure level are examined during the stock market open and close...
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15 Foreign Currency Borrowing in Hungary: The Pricing Behavior of Banks
Schepp, Zoltán; Mátrai-Pitz, Mónika - In: Risk management in emerging markets : issues, …, (pp. 469-503). 2016
Over the last decade, foreign currency indebtedness in Hungary has become a systemic financial problem, and its crippling impact on the real economy has been aggravated by its significant constraints on economic policy. In international comparative terms, however, there are certain specific...
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14 Regional Integration and Risk Management of African Stock Markets
Matsuki, Takashi; Sugimoto, Kimiko; Yoshida, Yushi - In: Risk management in emerging markets : issues, …, (pp. 423-468). 2016
We examine how the degree of regional financial integration in African stock markets has evolved over the last eleven years. Despite increasing regional economic cooperation, the process of stock market integration has been slow. To facilitate growth via developed financial markets but keep...
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12 How Should Banks Support SMEs to Manage Funding Risks in China? The Role of Relationship Banking
Liu, Yajing; Fujiwara, Kenya; Jinushi, Toshiki; Yamori, … - In: Risk management in emerging markets : issues, …, (pp. 365-398). 2016
It is broadly recognized in China that funding risks due to a lack of sufficient financial support from banks are the most crucial constraints that prevent the growth of small and medium enterprises (SMEs). In developed economies, such as Japan and European countries, the relationship banking...
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