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  • Search: subject:"Capital Adequacy Requirements"
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Year of publication
Subject
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Basel II 9 capital adequacy requirements 9 Capital Adequacy Requirements 6 Probability of Default 6 business cycles 5 expectations-driven business cycles 5 Basler Akkord 4 Collateral 4 Loss Given Default 4 financial intermediation 4 BIS capital adequacy requirements 3 Bankrisiko 3 Basel Accord 3 Basel III 3 Kreditrisiko 3 autonomous agents 3 bank regulation 3 contagion 3 default rate 3 fire sales 3 leverage ratio 3 news shocks 3 simulation 3 small open economy 3 systemic stability 3 Agentenbasierte Modellierung 2 Ankündigungseffekt 2 Announcement effect 2 Ansteckungseffekt 2 Bank 2 Bank risk 2 Bankenkrise 2 Business cycle 2 Business cycle theory 2 Collateral Valuation 2 Credit Risk 2 Default Mode Models 2 Financial intermediation 2 Finanzintermediation 2 Kapitalstandards 2
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Online availability
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Free 19
Type of publication
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Book / Working Paper 19
Type of publication (narrower categories)
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Working Paper 8 Graue Literatur 4 Non-commercial literature 4 Arbeitspapier 3
Language
All
English 10 Undetermined 5 German 4
Author
All
Gürtler, Marc 6 Heithecker, Dirk 6 Gunn, Christopher M. 5 Johri, Alok 5 Lengwiler, Yvan 3 Jokivuolle, Esa 2 Kauko, Karlo 2 Maringer, Dietmar 2 Bolt, W. 1 Ding, Xiaodan 1 Groß, Marco 1 Krznar, Ivo 1 Laliotis, Dimitrios 1 Lipinsky, Fabian 1 Lukyantsau, Pavel 1 Maringer, Dietmar G. 1 Penikas, Henry 1 Tieman, A.F. 1 Titova, Yulia 1 Tressel, Thierry 1
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Institution
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Department Wirtschaftswissenschaften, Technische Universität Carolo-Wilhelmina zu Braunschweig 3 Department of Economics, McMaster University 2 Carleton University, Department of Economics 1 National Research University Higher School of Economics 1 Suomen Pankki 1 Wirtschaftswissenschaftliches Zentrum, Universität Basel 1 de Nederlandsche Bank 1
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Published in...
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Working Paper Series 3 Working Papers / Department Wirtschaftswissenschaften, Technische Universität Carolo-Wilhelmina zu Braunschweig 3 Department of Economics Working Papers / Department of Economics, McMaster University 2 Department of Economics working paper series / McMaster University, Department of Economics 2 Bank of Finland Discussion Papers 1 Carleton Economic Papers 1 Departmental paper 1 HSE Working papers 1 Research Discussion Papers / Suomen Pankki 1 WO Research Memoranda (discontinued) 1 WWZ Discussion Paper 1 WWZ working paper 1 Working papers / Wirtschaftswissenschaftliches Zentrum, Universität Basel 1
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Source
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RePEc 10 EconStor 5 ECONIS (ZBW) 4
Showing 1 - 10 of 19
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The global bank stress test
Ding, Xiaodan; Groß, Marco; Krznar, Ivo; Laliotis, … - 2022
Persistent link: https://www.econbiz.de/10013336031
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Financial news, banks and ausiness cycles
Gunn, Christopher M.; Johri, Alok - 2015
Persistent link: https://www.econbiz.de/10011376729
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Financial News, Banks and Business Cycles
Johri, Alok; Gunn, Christopher M. - Department of Economics, McMaster University - 2014
Can variations in the expected future return on a portfolio of sovereign bonds itself have real effects on a small open economy? We build a model where banks face a capital sufficiency requirement to demonstrate that news about a fall in the expected return on a portfolio of long bonds can lead...
Persistent link: https://www.econbiz.de/10010934774
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Financial news, banks and business cycles
Johri, Alok; Gunn, Christopher M. - 2014
Persistent link: https://www.econbiz.de/10010439845
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Fear of Sovereign Default, Banks, and Expectations-Driven Business Cycles
Gunn, Christopher M.; Johri, Alok - Carleton University, Department of Economics - 2013
What is the effect of the fear of future sovereign default on the economy of the defaulting country? The typical sovereign default model does not address this question. In this paper we wish to explore the possibility that changing expectations about future default themselves can lead to...
Persistent link: https://www.econbiz.de/10010931950
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Fear of Sovereign Default, Banks, and Expectations-driven Business Cycles
Gunn, Christopher M.; Johri, Alok - Department of Economics, McMaster University - 2013
What is the effect of the fear of future sovereign default on the economy of the defaulting country? The typical sovereign default model does not address this question. In this paper we wish to explore the possibility that changing expectations about future default themselves can lead to...
Persistent link: https://www.econbiz.de/10010671443
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Modeling Policy Response to Global Systemically Important Banks Regulation
Penikas, Henry; Titova, Yulia - National Research University Higher School of Economics - 2012
In this paper we elaborate a simple model that allows for the predicting of possible reactions from financial institutions to more stringent regulatory measures introduced by the Basel Committee on Banking Supervision (BCBS) in regard to global systemically important banks (G-SIBs). The context...
Persistent link: https://www.econbiz.de/10010720452
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Autonomously Interacting Banks
Lengwiler, Yvan; Maringer, Dietmar - 2011
The great financial turmoil that started 2007 has brought bank regulation back into the political debate. There is talk about imposing new regulations on banks and other financial intermediaries. Yet, we are not convinced that it is completely understood how the existing regulation affects...
Persistent link: https://www.econbiz.de/10011390660
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Autonomously interacting banks
Lengwiler, Yvan; Maringer, Dietmar G. - 2011
The great financial turmoil that started 2007 has brought bank regulation back into the political debate. There is talk about imposing new regulations on banks and other financial intermediaries. Yet, we are not convinced that it is completely understood how the existing regulation affects...
Persistent link: https://www.econbiz.de/10009305791
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Systematic credit cycle risk of financial collaterals: Modelling and evidence
Gürtler, Marc; Heithecker, Dirk - 2005
According to the new capital adequacy framework (Basel II) finally adopted by the Basel Committee in June 2004 the eligibility of collaterals, especially financial collaterals, is extended in comparison to the existing rules. However, financial assets are valued conservatively in the credit...
Persistent link: https://www.econbiz.de/10010307935
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