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  • Search: subject:"coverage ratio"
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Year of publication
Subject
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Bank liquidity 47 Bankenliquidität 47 Basel III 47 Basler Akkord 40 Basel Accord 39 Liquidity 33 interest coverage ratio 33 Liquidity Coverage Ratio 32 Liquidität 29 liquidity coverage ratio 23 Credit risk 22 capital adequacy ratio 17 Kreditrisiko 16 Monetary policy 16 financial system 16 Bank regulation 15 Bankenregulierung 15 Geldpolitik 14 Liquidity coverage ratio 14 Theorie 14 Theory 14 banking 14 capital adequacy 14 coverage ratio 14 Betriebliche Liquidität 13 Corporate liquidity 13 banking system 13 Bank lending 12 Kreditgeschäft 12 bond 12 bonds 12 financial institutions 12 Risk management 11 financial market 11 financial markets 11 stock market 11 bank loans 10 financial stability 10 return on equity 10 Bank 9
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Online availability
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Free 112 Undetermined 42 CC license 7
Type of publication
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Article 89 Book / Working Paper 84 Other 1
Type of publication (narrower categories)
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Article in journal 61 Aufsatz in Zeitschrift 61 Working Paper 38 Graue Literatur 25 Non-commercial literature 25 Arbeitspapier 23 Article 9 Aufsatz im Buch 1 Book section 1 Research Report 1 research-article 1
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Language
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English 118 Undetermined 45 German 10 Italian 1
Author
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Cremers, Heinz 5 Keister, Todd 5 Wang, Yougui 5 Xiong, Wanting 5 Franke, Reiner 4 Ojo, Marianne 4 Bech, Morten L. 3 Duijm, Patty 3 Jones, Matthew T. 3 Krug, Sebastian 3 Lengnick, Matthias 3 Li, Boyao 3 Mala, Julia 3 Noack, Tim 3 Westerhoff, Frank 3 Wierts, Peter 3 Wohltmann, Hans-Werner 3 Yamamoto, Yohei 3 Al-Faryan, Mamdouh Abdulaziz Saleh 2 Anderson, Alyssa 2 Arhinful, Richard 2 Atkinson, Paul E. 2 Bagayev, Igor 2 Balasubramanyan, Lakshmi 2 Blundell-Wignall, Adrian 2 Davies, Ronald B. 2 Dieter, Matthias 2 Dudley, William 2 Duljic, Michel 2 Farooq, Muhammad 2 Fieker, Michael 2 Fuhrer, Lucas Marc 2 Gocheva, Viktoriya 2 Golubeva, Olga 2 Gorton, Gary 2 Hartung, Benjamin 2 Hassan, Rohail 2 Hong, Han 2 Huang, Jing-Zhi 2 Hunjra, Ahmed Imran 2
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Institution
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International Monetary Fund (IMF) 24 International Monetary Fund 13 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 4 Federal Reserve Bank of New York 2 Frankfurt School of Finance and Management 2 Agricultural and Applied Economics Association - AAEA 1 Bamberg Economic Research Group on Government and Growth (BERG), Volkswirtschaftslehre 1 Bank for International Settlements (BIS) 1 Banque de France 1 Centre for Finance, Credit and Macroeconomics (CFCM), School of Economics 1 Department of Economics, Rutgers University-New Brunswick 1 Graduate School of Economics, Hitotsubashi University 1 Institut für Volkswirtschaftslehre, Christian-Albrechts-Universität Kiel 1 Internationaler Währungsfonds 1 Johann Heinrich von Thünen-Institut 1 Risk Management Institute 1 Tinbergen Instituut 1 World Scientific Publishing Co. Pte. Ltd. 1
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Published in...
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IMF Staff Country Reports 13 IMF Working Papers 10 Frankfurt School - Working Paper Series 4 MPRA Paper 4 Die Bank 3 ECB Working Paper 3 Journal of banking regulation 3 Working paper series / European Central Bank 3 Cogent economics & finance 2 Economics : the open-access, open-assessment e-journal 2 Economics Discussion Papers 2 IRZ : Zeitschrift für internationale Rechnungslegung 2 Journal of Risk and Financial Management 2 Journal of banking & finance 2 Journal of financial intermediation 2 Journal of financial stability 2 Journal of risk and financial management : JRFM 2 Research bulletin / The Institute of Cost Accountants of India 2 Speech / Federal Reserve Bank of New York 2 Wirtschaftswissenschaftliche Schriften 2 2007 Annual Meeting, July 29-August 1, 2007, Portland, Oregon TN 1 Analyse et synthèse 1 Annales Universitatis Apulensis Series Oeconomica 1 Annals of Faculty of Economics 1 Applied economics 1 BERG Working Paper Series 1 BERG Working Paper Series on Government and Growth 1 BIS Working Papers 1 BIS working papers 1 Baltic Journal of Economics 1 Banca Impresa Società 1 Cogent Business & Management 1 Cogent Economics & Finance 1 Cogent business & management 1 Comparative analysis of trade and finance in emerging economies 1 Departmental Working Papers / Department of Economics, Rutgers University-New Brunswick 1 Digital finance : smart data analytics, investment innovation, and financial technology 1 Discussion Papers / Centre for Finance, Credit and Macroeconomics (CFCM), School of Economics 1 Discussion Papers / Graduate School of Economics, Hitotsubashi University 1 Discussion paper / Tinbergen Institute 1
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Source
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ECONIS (ZBW) 88 RePEc 57 EconStor 25 Other ZBW resources 3 BASE 1
Showing 161 - 170 of 174
Cover Image
Do managers use securitisation gains for real manipulation purposes?
Kolsi, Mohamed Chakib; Matoussi, Hamadi - In: International Journal of Managerial and Financial Accounting 4 (2012) 2, pp. 105-124
gain is related to financial reporting determinants (leverage), economic determinants (free cash-flow and interest coverage … ratio) corporate governance determinants (percent of shares owned by the CEO) and other control variables (firm sector and …
Persistent link: https://www.econbiz.de/10010669564
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Structural stochastic volatility in asset pricing dynamics : estimation and model contest
Franke, Reiner; Westerhoff, Frank H. - In: Journal of economic dynamics & control 36 (2012) 8, pp. 1193-1211
Persistent link: https://www.econbiz.de/10009655726
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The Role of Kamco in Resolving Nonperforming Loans in the Republic of Korea
He, Dong - International Monetary Fund (IMF) - 2004
This paper aims to provide a balanced assessment of Korea Asset Management Corporation's role in resolving nonperforming loans in the aftermath of the 1997-98 financial crisis. It argues that KAMCO's incentive to dispose of NPLs can be explained by a strong social desire for a recovery of public...
Persistent link: https://www.econbiz.de/10005604807
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Stress Testing Financial Systems; What to Do When the Governor Calls
Hilbers, Paul Louis Ceriel; Jones, Matthew T.; Slack, … - International Monetary Fund (IMF) - 2004
Stress testing is becoming a widely used tool to assess potential vulnerabilities in a financial system. This paper is intended to answer some of the basic questions that may arise as part of the process of stress testing. The paper begins with a discussion of stress testing in a financial...
Persistent link: https://www.econbiz.de/10005826600
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Quantitative Assessment of the Financial Sector; An Integrated Approach
Worrell, DeLisle - International Monetary Fund (IMF) - 2004
This paper suggests a strategy designed to make best use of the available quantitative techniques of financial sector assessment. It incorporates early warning systems, financial sector forecasts, stress tests for systemically important financial institutions, interbank contagion analysis, and...
Persistent link: https://www.econbiz.de/10005263950
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Republic of Korea; 2002 Article IV Consultation-Staff Report; Staff Statement; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Korea
International Monetary Fund (IMF); International … - 2003
This 2002 Article IV Consultation highlights that the economic growth of Korea rose to about 6 percent in 2002 from 3 percent in 2001. Buoyant consumption and residential construction spending underpinned the recovery beginning in late 2001. In 2002, exports rebounded strongly in spite of a...
Persistent link: https://www.econbiz.de/10005598815
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From the Front Lines At Seoul Bank; Restructuring and Reprivatization
Kang, Chungwon - International Monetary Fund (IMF) - 2003
Soon after Korea agreed to an IMF-supported program, Seoul Bank and Korea First Bank were nationalized through an injection of public funds by the government. The two banks were singled out early in the IMF-supported program to be sold to foreign investors. Korea First Bank was sold to foreign...
Persistent link: https://www.econbiz.de/10005826630
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On the relationship between systematic risk and financial and operating risk: the case of the Greek listed firms
Voulgaris, Fotini; Rizonaki, Athanasia - In: Global Business and Economics Review 13 (2011) 3/4, pp. 204-221
, the interest coverage ratio, the growth in total assets and the dividend payout ratio help explain variations in beta. It …
Persistent link: https://www.econbiz.de/10010669086
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From Crisis to Recovery in Korea; Strategy, Achievements, and Lessons
Kang, Kenneth; Liang, Hong; Ma, Henry; Richards, Anthony J. - International Monetary Fund (IMF) - 2001
This paper reviews and draws lessons from the stabilization and reform program that Korea implemented in response to the 1997-98 crisis. The economy recovered quickly from the deep recession in 1998 and its vulnerability to a balance of payments crisis has been reduced sharply. Significant...
Persistent link: https://www.econbiz.de/10005825786
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The influence of PV coverage ratio on thermal and electrical performance of photovoltaic-Trombe wall
Jiang, Bin; Ji, Jie; Yi, Hua - In: Renewable Energy 33 (2008) 11, pp. 2491-2498
detailed simulation model for PV-TW is presented. The simulation results show that as the coverage ratio increases, the …-TW decreases. The maximum indoor air temperature difference, corresponding to the lowest and the highest coverage ratio, can reach … to 6.8°C above. In addition, as the coverage ratio increases, the electrical efficiency of photovoltaic cell decreases …
Persistent link: https://www.econbiz.de/10011043870
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