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Year of publication
Subject
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Bankrisiko 13,311 Bank risk 13,154 Bank 4,891 Risikomanagement 3,927 Risk management 3,831 Theorie 3,400 Theory 3,367 Kreditrisiko 2,933 Credit risk 2,902 Bankenregulierung 2,661 Bank regulation 2,651 Finanzkrise 2,581 Financial crisis 2,563 Basler Akkord 2,380 Basel Accord 2,368 Risk 1,947 Risiko 1,894 Systemrisiko 1,883 Systemic risk 1,878 Bankenkrise 1,799 Banking crisis 1,773 Kreditgeschäft 1,684 Welt 1,673 World 1,659 Bank lending 1,649 Bankenaufsicht 1,436 Banking supervision 1,383 Bankenliquidität 1,136 Bank liquidity 1,118 EU-Staaten 946 EU countries 932 Portfolio-Management 900 Portfolio selection 889 Risikomaß 882 USA 881 Risk measure 877 United States 848 Finanzsektor 756 Financial sector 750 Bilanzstrukturmanagement 684
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Online availability
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Free 5,490 Undetermined 3,344 CC license 323
Type of publication
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Article 6,774 Book / Working Paper 6,491 Journal 46
Type of publication (narrower categories)
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Article in journal 5,945 Aufsatz in Zeitschrift 5,945 Graue Literatur 2,579 Non-commercial literature 2,579 Working Paper 2,324 Arbeitspapier 2,207 Aufsatz im Buch 738 Book section 738 Hochschulschrift 369 Thesis 286 Collection of articles of several authors 206 Sammelwerk 206 Aufsatzsammlung 103 Bibliografie enthalten 87 Bibliography included 87 Konferenzschrift 83 Conference paper 74 Konferenzbeitrag 74 Lehrbuch 54 Conference proceedings 53 Collection of articles written by one author 49 Sammlung 49 Textbook 49 Handbook 38 Handbuch 38 Amtsdruckschrift 29 Government document 29 Glossar enthalten 18 Glossary included 18 Case study 16 Fallstudie 16 Systematic review 16 Übersichtsarbeit 16 Article 14 Amtliche Publikation 12 Research Report 12 Bibliografie 7 Ratgeber 7 Rezension 6 Accompanied by computer file 5
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Language
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English 12,121 German 1,022 Spanish 44 French 43 Italian 30 Polish 19 Russian 11 Danish 8 Norwegian 8 Hungarian 3 Swedish 3 Ukrainian 3 Undetermined 3 Dutch 2 Portuguese 2 Valencian 1 Finnish 1 Croatian 1 Romanian 1 Serbian 1
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Author
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Ongena, Steven 83 Acharya, Viral V. 78 Buch, Claudia M. 54 Berger, Allen N. 51 Tarazi, Amine 51 Peydró, José-Luis 50 Hasan, Iftekhar 44 Laeven, Luc 43 Hassan, M. Kabir 41 Ratnovski, Lev 40 Suárez, Javier 39 Vander Vennet, Rudi 39 Memmel, Christoph 37 Steffen, Sascha 37 Fiordelisi, Franco 36 Gambacorta, Leonardo 35 Marqués Ibáñez, David 34 Koetter, Michael 33 Perotti, Enrico 33 Altunbaş, Yener 32 Schuermann, Til 32 Gropp, Reint 30 Broll, Udo 29 Saunders, Anthony 29 Faia, Ester 28 Schnabel, Isabel 28 Stulz, René M. 28 Wijnbergen, Sweder van 28 De Jonghe, Olivier 27 Demirgüç-Kunt, Asli 27 Molyneux, Philip 27 Engle, Robert F. 26 Ojo D Delaney PhD, Marianne 26 Wu, Ji 26 Allen, Franklin 25 Kick, Thomas 25 Migueis, Marco 25 Vlahu, Razvan 25 Wagner, Wolf 25 Beck, Thorsten 24
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Institution
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Basel Committee on Banking Supervision 70 National Bureau of Economic Research 69 Internationaler Währungsfonds 25 International Monetary Fund / Monetary and Capital Markets Department 24 European Banking Authority 19 European Central Bank 14 Internationaler Währungsfonds / Monetary and Capital Markets Department 13 Federal Reserve Bank of Chicago 10 Federal Reserve System / Division of Research and Statistics 8 Group of Thirty 8 International Monetary Fund 8 Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart> 7 Friedrich-Schiller-Universität Jena 7 Technische Universität Dresden / Fakultät Wirtschaftswissenschaften 7 Europäisches Parlament / Referat Unterstützung des Wirtschaftspolitischen Handelns 6 SUERF - The European Money and Finance Forum 6 Banco de España 5 Europäische Zentralbank 5 Federal Reserve Bank of San Francisco 5 Leibniz-Institut für Wirtschaftsforschung Halle 5 Magyar Nemzeti Bank 5 Springer Fachmedien Wiesbaden 5 USA / General Accounting Office 5 Internationaler Währungsfonds / Monetary and Exchange Affairs Department 4 Norges Bank 4 The Wharton Financial Institutions Center 4 Universität Augsburg / Institut für Volkswirtschaftslehre 4 Danmarks Nationalbank 3 European Commission / Joint Research Centre 3 Federal Reserve System / Board of Governors 3 Institute of European Finance <Bangor, Gwynedd> 3 Institute of Finance and Accounting <London> 3 Oesterreichische Nationalbank 3 Oxford Financial Research Centre 3 Single Resolution Board 3 Technische Universität Bergakademie Freiberg 3 USA / Government Accountability Office 3 Österreich / Finanzmarktaufsicht (FMA) 3 Banco de Portugal 2 Banco de Portugal / Departamento de Estudos Económicos 2
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Published in...
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Journal of banking & finance 340 Journal of financial stability 232 Journal of risk management in financial institutions 147 Finance research letters 138 The journal of operational risk 130 Working paper series / European Central Bank 98 Research in international business and finance 91 Journal of international financial markets, institutions & money 90 Discussion paper 86 International review of financial analysis 85 IMF working papers 84 Discussion papers / CEPR 70 NBER working paper series 69 Discussion paper / Centre for Economic Policy Research 68 Journal of financial services research : JFSR 67 Journal of financial intermediation 66 Journal of banking regulation 65 ECB Working Paper 62 Applied economics 60 Risks : open access journal 60 Pacific-Basin finance journal 59 Journal of money, credit and banking : JMCB 55 International review of economics & finance : IREF 53 Applied economics letters 52 Economic modelling 52 Journal of international money and finance 50 NBER Working Paper 50 CESifo working papers 49 Working paper / National Bureau of Economic Research, Inc. 49 Research paper series / Swiss Finance Institute 48 Journal of financial economics 47 Economics letters 46 SpringerLink / Bücher 45 The quarterly review of economics and finance : journal of the Midwest Economics Association ; journal of the Midwest Finance Association 45 Finance and economics discussion series 44 The European journal of finance 43 The North American journal of economics and finance : a journal of financial economics studies 43 IMF Working Paper 40 IMF country report 40 Risiko-Manager 39
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Source
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ECONIS (ZBW) 13,155 EconStor 146 OLC EcoSci 6 RePEc 3 USB Cologne (EcoSocSci) 1
Showing 1 - 50 of 13,311
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Systemic Risk Modelling System (SRMS) : a macroprudential stress testing model
Naruševičius, Laurynas; Mikaliūnaitė-Jouvanceau, Ieva - 2025
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Asset price bubbles and systemic risk in money market funds
Aquilina, Matteo; Cincinelli, Peter; Urga, Giovanni - 2025
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Taxes under stress : bank stress tests and corporate tax planning
Francis, Bill B.; García, Raffi E.; Harithsa, Jyothsna G. - In: China Accounting and Finance Review 27 (2025) 1, pp. 1-39
Purpose - This paper aims to examine how bank stress tests affect bank tax planning. Design/methodology/approach - The study uses US bank stress test bank size thresholds and a regression discontinuity design to investigate the effect of the Dodd-Frank Act and the instituted bank stress tests on...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015198275
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Bank credit risk and sovereign debt exposure : moral hazard or hedging?
Baselga-Pascual, Laura; Loban, Lidia; Myllymäki, … - In: Finance research letters 71 (2025), pp. 1-7
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Sectoral credit allocation and systemic risk
Andrieş, Alin Marius; Ongena, Steven; Sprincean, Nicu - In: Journal of financial stability 76 (2025), pp. 1-23
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Shadow banks or just not banks? : growth of the Swedish non-bank sector
Li, Jieying; Myers, Samantha - 2025
The global non-bank sector has experienced significant growth since the global financial crisis, raising concerns that this shift represents a financial stability risk. We consider the drivers of this growth in Sweden: a small, open economy whose non-bank sector has grown rapidly. In contrast...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015324111
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Likviditetsrisiko i banksystemet : en ny modell og en stresstest med et cyberscenario
Erard, Monique; Haugen, Charlotte Høeg; Winje, Hanna - 2025
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Indonesia : Financial Sector Assessment Program-Technical Note on Stress Testing and Systemic Risk Analysis
International Monetary Fund / Monetary and Capital … - 2025
The FSAP team undertook a thorough top-down corporate and bank solvency, bank liquidity stress tests as well as analysis of interconnectedness using mid-2023 data. This note covers the methodology and results of the scenario-based solvency test, the single factor sensitivity analysis, the...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015327999
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Corporate social responsibility, efficiency, and risk in US banking
Jouini, Fathi; Chouchen, Mohamed Amine; Messai, Ahlem Selma - In: Risks : open access journal 13 (2025) 1, pp. 1-24
Banks have faced increasing attention regarding their ability to balance Corporate Social Responsibility (CSR) initiatives, operational efficiency, and credit risk management, particularly in the wake of global financial challenges. This study examines the interplay between CSR, efficiency, and...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015331226
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Profitability drivers in European banks : analyzing internal and external factors in the post-2009 financial landscape
Laporšek, Suzana; Švagan, Barbara; Stubelj, Mojca; … - In: Risks : open access journal 13 (2025) 1, pp. 1-20
The paper examines the key determinants of European banks' profitability by analyzing the return on assets (ROA), return on equity (ROE), net interest margin (NIM), and the risk-adjusted measures of profitability, RAROAA and RAROAE, across 34 European countries during the period from 2013 to...
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Carrying the (paper) burden : a portfolio view of systemic risk and optimal bank size
Bos, Jaap W. B.; Lamers, Martien; Peyrache, Antonio; … - In: Journal of the Operational Research Society 76 (2025) 4, pp. 607-616
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Generative AI : the transformative impact of ChatGPT on systemic financial risk in Chinese banks
Zhao, Yikai; Dai, Runyu; Nagayasu, Jun - 2025
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Firm commonality, bank connectedness and portfolio riskiness
Bozkurt, Ayça Topaloğlu; Özyıldırım, Süheyla - In: International review of economics & finance : IREF 97 (2025), pp. 1-19
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The impact of policy uncertainty and risk taking on the credit resource allocation of urban commercial banks
Yao, Jianfeng; Fan, Jianfei - In: International review of economics & finance : IREF 97 (2025), pp. 1-10
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Enhancing banking systemic risk indicators by incorporating volatility clustering, variance risk premiums, and considering distance-to-capital
Cevik, Emrah Ismail; Kenç, Turalay; Goodell, John W.; … - In: International review of economics & finance : IREF 97 (2025), pp. 1-23
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The relationship between CEO characteristics and banks' risk-taking : review and research directions
Hertrampf, Patrick; Brunner-Kirchmair, Thomas M.; … - In: Schmalenbach journal of business research : SBUR 77 (2025) 1, pp. 127-178
The fundamental role of the banking sector in society and the economy necessitates extensive regulation and supervision. Given that increased risk-taking behavior can undermine the stability of the banking sector, it is crucial to identify the factors affecting banks' risk-taking. This study...
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Navigating banking resilience : bail-ins & bailouts in the Czech banking sector
Švéda, Josef - 2025
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Contingent contracts in banking : insurance or risk magnification?
Gersbach, Hans - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015396806
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Illusive compliance and elusive risk-shifting after macroprudential tightening : evidence from EU banking
Koetter, Michael; Noth, Felix; Wöbbeking, Carl Fabian - Leibniz-Institut für Wirtschaftsforschung Halle - 2025
We study whether and how EU banks comply with tighter macroprudential policy (MPP). Observing contractual details for more than one million securitized loans, we document an elusive risk-shifting response by EU banks in reaction to tighter loan-to-value (LTV) restrictions between 2009 and 2022....
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Systemic risk in markets with multiple central counterparties
Veraart, Luitgard A. M.; Aldasoro, Iñaki - 2025
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Introducing a novel fragility index for assessing financial stability amid asset bubble episodes
Lupu, Radu; Călin, Adrian Cantemir; Dumitrescu, Dan Gabriel - 2025
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An integrated risk management methodology for deposits and loans
Hackworth, Gregory R.; Tian, Weidong; Vandenberg, Michael R. - 2025
This paper presents an integrated risk management methodology for measuring and managing the economics, risks, and financial resources/constraints related to deposits and loans in a commercial bank. Within a comprehensive and integrated framework, we develop valuation and risk models for all...
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The assessment of enterprise risk management practices of Ethiopian commercial banks
Biresaw, Tsega Meseret; Sibindi, Athenia Bongani - 2025
The study aims to examine the enterprise risk management (ERM) practices of Ethiopian commercial banks. This approach is undertaken to examine the current approach to enterprise risk management within the Ethiopian banking context. A mixed-methods research design is employed which comprises...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015358912
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Copula-based risk aggregation and the significance of reinsurance
Dias, Alexandra; Ismail, Isaudin; Zhang, Aihua - 2025
Insurance companies need to calculate solvency capital requirements in order to ensure that they can meet their future obligations to policyholders and beneficiaries. The solvency capital requirement is a risk management tool essential for addressing extreme catastrophic events that result in a...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015358934
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An interplay between digital banking services, perceived risks, customers' expectations, and customers' satisfaction
Rakocevic, Sladjana Barjaktarovic; Rakic, Nela; … - 2025
Advancements in technology and emerging digital trends are driving the expectations of bank clients. With the development of new, innovative technologies, the banking sector has started creating new products and services and looking for new channels through which to offer those services in a way...
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How foreign and domestic ownership influenced risk-taking in GCC banks
Aldousari, Abdullah; Mohammed, Ahmed; Lindop, Sarah - 2025
This study investigates the relationship between ownership structure (foreign and domestic) and bank risk-taking over the period 2014-2022. The analysis includes 66 banks operating in the GCC, divided into 44 domestically owned, and 22 foreign-owned banks. The research examines the relationship...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015338316
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The nexus between bank efficiency and leverage
Baltas, Konstantinos N. - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015338015
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The disciplining effect of bank supervision : evidence from SupTech
Degryse, Hans; Huylebroek, Cédric; Doornik, Bernardus … - 2025
Regulators increasingly rely on supervisory technologies (SupTech) to enhance bank supervision, but their potential role in disciplining bank behavior remains unclear. We address this knowledge gap using unique data from the SupTech application of the Central Bank of Brazil. We show that, after...
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Rushing to judgment and the banking crisis of 2023
Kelly, Steven; Rose, Jonathan - 2025
This article critically reviews the 2023 banking crisis with the benefit of two years of hindsight. We highlight seven facts that depart from the standard account of the crisis that has developed. We describe the crisis as a reaction to bank business models that focused on providing banking...
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Cross-border bank flows, regional household credit booms, and bank risk-taking
Boddin, Dominik; Kaat, Daniel Marcel te; Roszbach, Kasper - 2025
This paper provides novel microlevel evidence that cross-border bank flows are an important means for households to access credit, not only in emerging markets but also in advanced economies. Using supervisory bank-level data alongside household credit and consumption data from Germany, we study...
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Bank transparency, asset and liquidity risks
Chen, Yehning; Hasan, Iftekhar; Takalo, Tuomas - 2025
We study the effects of bank transparency on both banks' asset and liquidity risks, and ultimately, on banking sector stability and welfare. We show how enhanced bank transparency increases banks' vulnerability to excessive deposit outflows, but this threat of a liquidity crisis incentivizes...
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Just Transition Risks in the Banking Sector
Calice, Pietro - 2025
The transition to a net-zero economy presents significant social and economic challenges, particularly for industries and regions reliant on high-carbon activities, hence the need for a just transition. This paper examines exposure to just transition risks-a newly introduced category of...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015402418
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A holistic journey into systemic risk : theoretical background, transmission channels and policy implications
Pacelli, Vincenzo; Cananà, Lucianna; Chakraborti, Anirban - In: Systemic Risk and Complex Networks in Modern Financial …, (pp. 43-71). 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015101813
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A fiber bundle model of systemic risk in financial networks
Biswas, Soumyajyoti; Chakrabarti, Bikas K. - In: Systemic Risk and Complex Networks in Modern Financial …, (pp. 179-189). 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015101839
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Damping systemic risk : the role of cooperative banks
Pacelli, Vincenzo; Pampurini, Francesca; Quaranta, Anna … - In: Systemic Risk and Complex Networks in Modern Financial …, (pp. 229-252). 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015101855
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Shocks at local banks, EU GDP growth, and banking sector stability
Arca, Pasqualina; Carosi, Andrea; Moro, Ornella - In: Systemic Risk and Complex Networks in Modern Financial …, (pp. 253-275). 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015101857
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How does NPLs securitization affect EU banks' systemic risk?
Dell'Atti, Stefano; Di Tommaso, Caterina; Onorato, Grazia; … - In: Systemic Risk and Complex Networks in Modern Financial …, (pp. 277-299). 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015101886
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The systemic importance of cyber risk in banks
Birindelli, Giuliana; Iannuzzi, Antonia Patrizia - In: Systemic Risk and Complex Networks in Modern Financial …, (pp. 301-321). 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015101887
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Tailored microprudential recommendations for bank profit retention using a risk tolerance framework
Jakubik, Petr; Moinescu, Bogdan Gabriel - In: International review of economics & finance : IREF 98 (2025), pp. 1-25
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015333018
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US Treasury market default risk and global interbank liquidity risk
Cottrell, Simon; Lei, Jinghua; Ma, Yihong; Delpachitra, … - In: Borsa Istanbul Review 25 (2025) 1, pp. 66-78
Using Credit Default Swaps (CDS) on sovereign bonds, we investigate whether US sovereign default risk is a greater driving factor of domestic interbank funding risk than domestic sovereign default risk across the five Libor counties including Canada and Australia. We use equivalent-country...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015334486
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Climate risk stress testing : a survey and classification
Reinders, Henk Jan; Schoenmaker, Dirk; Dijk, Mathijs van - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015332604
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Skilled banker mobility and bank default : Yuna Heo and Steven Ongena
Heo, Yuna; Ongena, Steven - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015358071
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Macroprudential and monetary policy tightening : more than a double whammy?
Behn, Markus; Claessens, Stijn; Gambacorta, Leonardo; … - 2025
We investigate the interaction between monetary and macroprudential policy in affecting banks' lending and risk-taking behaviour using rich euro area credit registry data and exploiting a unique setting that combined a sharp and unexpected monetary tightening with a wave of macroprudential...
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CSRD, reporting and beyond : challenges and opportunities for financial institutions
Rega, Federico Giovanni - In: Risk management magazine 20 (2025) 1, pp. 49-56
The EU Corporate Sustainability Reporting Directive (CSRD) presents both challenges and criticisms, but it will also offer more ESG information for financial institutions' investments and exposures. Banks and investors are realizing that addressing the supervisory expectations about...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015373728
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A structured approach to enterprise risk management in Ethiopian commercial banks
Biresaw, Tsega Meseret - In: Risk management magazine 20 (2025) 1, pp. 57-77
The aim of the study was to develop an enterprise risk management framework for Ethiopian commercial banks. This approach is undertaken to enhance the risk management systems and practices and foster the soundness and stability of the Ethiopian banking system. The study employed a multi-stage...
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Realized random graphs, with an application to the interbank network
Buccheri, Giuseppe; Mazzarisi, Piero - 2025
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The impact of conventional and unconventional monetary policies on loan default risk : evidence from UK peer-to-peer lending platforms
Anh Nguyet Vu - 2025
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Efficiency and financial risk management practices of microfinance institutions
Baltas, Konstantinos N.; Liñares-Zegarra, José M. - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015375239
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The lending implications of banks holding excess capital
Pillay, Neryvia; Makrelov, Konstantin - In: The South African journal of economics 93 (2025) 1, pp. 27-42
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How does subordinated debt affect the cost of capital for banks?
Yusifzada, Leyla - In: Pacific-Basin finance journal 91 (2025), pp. 1-23
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015404520
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