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  • Search: subject:"Financial Risk and Risk Management"
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Year of publication
Subject
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financial risk and risk management 7 government policy and regulation 4 Financial risk 3 Financial risk and risk management 3 Finanzrisiko 3 Risikomanagement 3 Risk management 3 Bank 2 Central bank policies 2 Credit risk 2 Kreditrisiko 2 Latin America 2 bank risk management 2 banks and depository institutions 2 capital and ownership structure 2 climate change 2 countercyclical capital buffers 2 distance to default 2 emerging markets 2 information and market efficiency 2 natural disasters 2 Air pollution 1 Bank regulation 1 Bank risk 1 Bankenaufsicht 1 Bankenliquidität 1 Bankenregulierung 1 Banking regulation 1 Bankrisiko 1 Banks 1 Banques 1 Brasilien 1 Business Taxes and Subsidies 1 Capital and Ownership Structure 1 Central bank 1 Climate change 1 Comptabilité environnementale 1 Deutschland 1 Disaster 1 Eigenkapitalvorschriften 1
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Online availability
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Free 11 CC license 1
Type of publication
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Book / Working Paper 6 Article 5
Type of publication (narrower categories)
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Article in journal 3 Aufsatz in Zeitschrift 3 Article 2 Working Paper 2 Thesis 1
Language
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English 8 German 1 Portuguese 1 Undetermined 1
Author
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Baselga-Pascual, Laura 2 Breitenfellner, Andreas 2 Martínez-Malvar, Mariña 2 Pointner, Wolfgang 2 Schmielewski, Frank 2 Schuberth, Helene 2 Filho, Edison Benedito da Silva 1 Giraud, Pierre-Noël 1 Krombach, Arne 1 Møen, Jarle 1 Rim, Jongseok 1 Rose, Antoine 1 Schindler, Dirk 1 Schjelderup, Guttorm 1
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Institution
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Institutt for foretaksøkonomi, Norges Handelshøyskole (NHH) 1 Université Paris-Dauphine (Paris IX) 1
Published in...
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Vierteljahrshefte zur Wirtschaftsforschung 2 Working Paper Series in Economics 2 Discussion Papers / Institutt for foretaksøkonomi, Norges Handelshøyskole (NHH) 1 Economics Thesis from University Paris Dauphine 1 Journal of international financial markets, institutions & money 1 Risks 1 Risks : open access journal 1 Texto para Discussão 1
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Source
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EconStor 4 ECONIS (ZBW) 3 RePEc 3 BASE 1
Showing 1 - 10 of 11
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Comparative dynamics of housing finance : a cross-country analysis
Rim, Jongseok - In: Journal of international financial markets, … 94 (2024), pp. 1-21
Persistent link: https://www.econbiz.de/10015063165
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Bank risk determinants in Latin America
Martínez-Malvar, Mariña; Baselga-Pascual, Laura - In: Risks 8 (2020) 3, pp. 1-21
Systemic Banking crises are a recurrent phenomenon that affects society, and there is a need for a better understanding of the risk factors to support prudential regulation and reduce unnecessary risk intake in the financial system. This paper examines the main bank risk determinants in Latin...
Persistent link: https://www.econbiz.de/10013200627
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Bank risk determinants in Latin America
Martínez-Malvar, Mariña; Baselga-Pascual, Laura - In: Risks : open access journal 8 (2020) 3/94, pp. 1-21
Systemic Banking crises are a recurrent phenomenon that affects society, and there is a need for a better understanding of the risk factors to support prudential regulation and reduce unnecessary risk intake in the financial system. This paper examines the main bank risk determinants in Latin...
Persistent link: https://www.econbiz.de/10012293308
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The Potential Contribution of Central Banks to Green Finance
Breitenfellner, Andreas; Pointner, Wolfgang; Schuberth, … - In: Vierteljahrshefte zur Wirtschaftsforschung 88 (2019) 2, pp. 55-71
Central banks and financial supervisors approach ‘green finance’ mostly to preserve macroeconomic and financial stability according to their mandates. Obviously, climate change poses severe risks to households, firms and their financial intermediaries. These risks tend to be correlated and...
Persistent link: https://www.econbiz.de/10012297167
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The potential contribution of central banks to green finance
Breitenfellner, Andreas; Pointner, Wolfgang; Schuberth, … - In: Vierteljahrshefte zur Wirtschaftsforschung 88 (2019) 2, pp. 51-54
Central banks and financial supervisors approach "green finance" mostly to preserve macroeconomic and financial stability according to their mandates. Obviously, climate change poses severe risks to households, firms and their financial intermediaries. These risks tend to be correlated and their...
Persistent link: https://www.econbiz.de/10012154795
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La comptabilité des émissions de gaz à effet de serre par enjeu : un outil d'analyse des impacts du changement climatique sur les activités d'une banque de financement et d'investissement
Rose, Antoine - Université Paris-Dauphine (Paris IX) - 2014
The PhD thesis is a contribution to the definition of a new banking risk related to the economic impacts of climate change. The climate change will impact the clients of a corporate and investment bank and will have consequences on its strategy and the composition of its business portfolio....
Persistent link: https://www.econbiz.de/10011082489
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Padrão de financiamento e exposição cambial das empresas brasileiras a partir da crise de 2008
Filho, Edison Benedito da Silva - 2012
This paper aims to examine the evolution of currency risk exposure of Brazilian corporations, especially exporting companies, from the 2008 crisis, when several companies suffered substantial losses due to the decline of the real. We analyze their financial based on the usage of derivatives, as...
Persistent link: https://www.econbiz.de/10010330592
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Leveraging and risk taking within the German banking system: Evidence from the financial crisis in 2007 and 2008
Schmielewski, Frank - 2012
The present study is centered primarily on determining whether the German banking system is to be characterized by procyclical behavior from 2000 to 2011 and to what extent specific sectors of the German banking system showed significant balance sheet operations to increase their leverage within...
Persistent link: https://www.econbiz.de/10010286583
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Leveraging and risk taking within the German banking system: Evidence of the financial crisis in 2007 and 2008
Schmielewski, Frank - 2012
The present study is centered primarily on determining whether the German banking system is to be characterized by procyclical behavior from 2000 to 2011 and to what extent specific sectors of the German banking system showed significant balance sheet operations to increase their leverage within...
Persistent link: https://www.econbiz.de/10009421393
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Bewertung und Risikoanalyse variabel verzinslicher Kundengeschäfte: ein kapitalmarktkonsistenter Bewertungsansatz und dessen Analyse
Krombach, Arne - 2011
Variabel verzinsliche Kundengeschäfte repräsentieren einen bedeutenden Teil der Aktiva und Passiva von Banken. Ihre Bewertung und Risikoanalyse ist sowohl für Banken als auch für die Bankenaufsicht anspruchsvoll, da insbesondere das Zusammenspiel zwischen Markt- und Produktzinsen sich als...
Persistent link: https://www.econbiz.de/10009447142
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