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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...
All
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 81 - 90 of 174
Cover Image
Neue regulatorische Konzepte der Bankenaufsicht und ihre Auswirkungen auf die Gesamtbanksteuerung
Noack, Tim; Cremers, Heinz; Mala, Julia - 2014
The Basel III framework represents the response to the regulation deficits of the financial cri-sis and the immense losses of many banks in years 2007/2008. The aim of the framework is to increase the level of capital in financial institutions and to improve the loss absorption and risk coverage...
Persistent link: https://www.econbiz.de/10010368510
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The Effects of Liquidity Regulation on Bank Assets and Liabilities
Duijm, Patty; Wierts, Peter - 2014
Under Basel III rules, banks become subject to a liquidity coverage ratio (LCR) from 2015 onwards, to promote short …
Persistent link: https://www.econbiz.de/10010377181
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The impact of Basel III on financial (in)stability: An agent-based credit network approach
Krug, Sebastian; Lengnick, Matthias; Wohltmann, Hans-Werner - 2014
The Basel III accord reacts to the events of the recent financial crisis with a combination of revised micro- and new macroprudential regulatory instruments to address various dimensions of systemic risk. This approach of cumulating requirements bears the risk of individual measures negating or...
Persistent link: https://www.econbiz.de/10010435603
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The impact of Basel III on financial (in)stability: An agent-based credit network approach
Krug, Sebastian; Lengnick, Matthias; Wohltmann, Hans-Werner - Institut für Volkswirtschaftslehre, … - 2014
The Basel III accord reacts to the events of the recent financial crisis with a combination of revised micro- and new macroprudential regulatory instruments to address various dimensions of systemic risk. This approach of cumulating requirements bears the risk of individual measures negating or...
Persistent link: https://www.econbiz.de/10011097452
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Testimony on improving financial institution supervision: examining and addressing regulatory capture
Dudley, William - Federal Reserve Bank of New York - 2014
Testimony before the Senate Committee on Banking, Housing, and Urban Affairs Financial Institutions and Consumer Protection Subcommittee.
Persistent link: https://www.econbiz.de/10011082686
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A Modified Confidence Set for the Structural Break Date in Linear Regression Models
Yamamoto, Yohei - Graduate School of Economics, Hitotsubashi University - 2014
a locally best test statistic. Previous studies show that the EM method produces a set with an accurate coverage ratio … asymptotic framework. A Monte Carlo simulation shows that like the original method, the modified method exhibits a coverage ratio …
Persistent link: https://www.econbiz.de/10011220292
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ЗБАЛАНСОВАНІСТЬ ЗОВНІШНЬОЇ ТОРГІВЛІ ПОСЛУГАМИ НА ОКРЕМИХ СЕГМЕНТАХ УКРАЇНСЬКОГО РИНКУ
Володимирівна, Єріна Іванна - In: Вісник Киiвського … (2014) 3
В статье исследуется динамика и структура украинского рынка услуг в контексте глобальных тенденций. Представлены результаты статистического оценивания...
Persistent link: https://www.econbiz.de/10011234270
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On the economics of committed liquidity facilities
Bech, Morten; Keister, Todd - Bank for International Settlements (BIS) - 2014
-quality liquid assets. Using a model based on Bech and Keister (2013), we show how introducing a liquidity coverage ratio in such …
Persistent link: https://www.econbiz.de/10010849788
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Neue regulatorische Konzepte der Bankenaufsicht und ihre Auswirkungen auf die Gesamtbanksteuerung
Noack, Tim; Cremers, Heinz; Mala, Julia - Frankfurt School of Finance and Management - 2014
The Basel III framework represents the response to the regulation deficits of the financial cri-sis and the immense losses of many banks in years 2007/2008. The aim of the framework is to increase the level of capital in financial institutions and to improve the loss absorption and risk coverage...
Persistent link: https://www.econbiz.de/10010957486
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Global financial stability - the road ahead
Dudley, William - Federal Reserve Bank of New York - 2014
Remarks at the Tenth Asia-Pacific High Level Meeting on Banking Supervision, Auckland, New Zealand
Persistent link: https://www.econbiz.de/10010752050
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