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Bank Income Diversification, Asset Correlation and Systemic Risk.
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- South African Journal of Economics, 2020, v. 88, n. 1, p. 71, doi. 10.1111/saje.12235
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- Article
FORMAL ANALOGIES BETWEEN THE ELEMENTARY INCOME DETERMINATION AND CREDIT CREATION MODELS.
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- Oxford Economic Papers, 1970, v. 22, n. 2, p. 220, doi. 10.1093/oxfordjournals.oep.a041160
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- Article
Fairly Priced Deposit Insurance, Incentive Compatible Regulations, and Bank Asset Choices.
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- GENEVA Papers on Risk & Insurance - Theory, 1996, v. 21, n. 1, p. 123, doi. 10.1007/BF00949053
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- Article
CLEARING BANK ASSET CHOICE BEHAVIOR: A MEAN VARIANCE TREATMENT.
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- Oxford Bulletin of Economics & Statistics, 1974, v. 36, n. 3, p. 173, doi. 10.1111/j.1468-0084.1974.mp36003003.x
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- Article
How to Design a Bank Levy: The Effect of a Levy Scheme on Bank Performance and its Activities.
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- Central European Management Journal, 2022, v. 30, n. 3, p. 136, doi. 10.7206/cemj.2658-0845.85
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- Article
Islamic Banks and the European Banking Union: An Overview of Critical Issues and Perspectives.
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- European Journal of Islamic Finance, 2022, v. 9, n. 1, p. 37, doi. 10.13135/2421-2172/6424
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- Article
Monetary Policy and Foreign Denominated Debt by Non-Bank Borrowers.
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- Credit & Capital Markets / Kredit und Kapital, 2021, v. 54, n. 3, p. 423, doi. 10.3790/ccm.54.3.423
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- Article
The Movement of Wealth.
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- Journal of Wealth Management, 2008, v. 10, n. 4, p. 30, doi. 10.3905/jwm.2008.701849
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- Article
Macro economical and bank‐specific vulnerabilities of nonperforming loans: A comparative analysis of developed and developing countries.
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- Journal of Public Affairs (14723891), 2022, v. 22, n. 2, p. 1, doi. 10.1002/pa.2414
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Banking regulation (amendment) ordinance, 2017: A resolute ordinance?
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- Journal of Public Affairs (14723891), 2018, v. 18, n. 2, p. 1, doi. 10.1002/pa.1690
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- Article
Investor Perception, Market Reaction, and Post-Issue Performance in Bank Seasoned Equity Offerings.
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- Journal of Risk & Financial Management, 2022, v. 15, n. 7, p. 275, doi. 10.3390/jrfm15070275
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- Article
Banking Risks in the Asset and Liability Management System.
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- Journal of Risk & Financial Management, 2022, v. 15, n. 6, p. 265, doi. 10.3390/jrfm15060265
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- Article
Financial Performance of Iranian Banks from 2013 to 2019: A Panel Data Approach.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 6, p. 1, doi. 10.3390/jrfm14060257
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- Article
РИНКОВІ ТРАНСФОРМАЦІЇ У БАНКІВСЬКОМУ СЕКТОРІ УКРАЇНИ: ПОГЛЯД КРІЗЬ ПРИЗМУ "НЕЕКОНОМІЧНОЇ" ПОЛІТИКИ
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- Economy & Forecasting / Ekonomìka ì Prognozuvannâ, 2021, v. 26, n. 2, p. 85, doi. 10.15407/eip2021.02.085
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- Article
An Empirical Study of International Spillover of Sovereign Risk to Bank Credit Risk.
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- Financial Review, 2017, v. 52, n. 2, p. 281, doi. 10.1111/fire.12114
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- Article
THE IMPACT OF NON-PERFORMING ASSETS ON BANK PERFORMANCE UNDER BASEL REGIME - EMPIRICAL EVIDENCE FROM INDIA.
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- Journal of Commerce & Accounting Research, 2021, v. 10, n. 3, p. 36
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- Article
ДИГИТАЛИЗАЦИЯ И ПОДБОР НА ЧОВЕШКИТЕ РЕСУРСИ В БАНКОВИТЕ И ЗАСТРАХОВАТЕЛНИ ПРЕДПРИЯТИЯ: СРАВНИТЕЛЕН АНАЛИЗ.
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- Dialogue (1311-9206), 2022, n. 3, p. 1
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- Article
АНАЛИЗ НА ПОКАЗАТЕЛИТЕ ЗА РЕНТАБИЛНОСТ И ПОКАЗАТЕЛИ ЗА ОЦЕНЯВАНЕ НА КАЧЕСТВОТО НА АКТИВИТЕ НА БАНКИТЕ В БЪЛГАРИЯ ПРЕЗ ПЕРИОДА 2007 – 2018 Г.
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- Dialogue (1311-9206), 2020, n. 3, p. 1
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- Article
ANALYSIS OF THE PROFITABILITY INDICATORS AND THE INDICATORS FOR ASSESSING THE QUALITY OF BANK ASSETS IN EU MEMBER STATES IN THE PERIOD FROM 2007 TO 2017.
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- Economics 21 / Ikonomika 21, 2019, n. 2, p. 59
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Too Big to Fail: Suggestions to Limit the Future Fallout.
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- International Review of Accounting, Banking & Finance, 2014, v. 6, n. 2, p. 95
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- Article
"A STUDY ON NON- PERFORMING ASSET WITH REFERENCE TO BANK OF BARODA".
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- Turkish Online Journal of Qualitative Inquiry, 2021, v. 12, n. 9, p. 1633
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How Does the Interest Rate Impact the Bank Loans in the Albanian Economy?
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- Turkish Online Journal of Qualitative Inquiry, 2021, v. 12, n. 8, p. 2406
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Analysis of the Performance of Islamic and Conventional Banks in Pakistan.
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- Journal of Managerial Sciences, 2011, v. 5, n. 1, p. 53
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- Article
A COMPARISON OF LIQUIDATION REGIMES: DODD-FRANK'S ORDERLY LIQUIDATION AUTHORITY AND THE SECURITIES INVESTOR PROTECTION ACT.
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- Brooklyn Journal of Corporate, Financial & Commercial Law, 2011, v. 6, n. 1, p. 47
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- Article
Take it and leave it: Banks' balance sheet optimization and targeted longer-term refinancing operations.
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- Working Papers (Oesterreichische Nationalbank), 2024, n. 257, p. 1
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- Article
Watching over 21,000 Billion Euros: Does the ECB Single Supervisory Mechanism Affect Bank Competition in the Euro Area?
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- Working Papers (Oesterreichische Nationalbank), 2023, n. 250, p. 1
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The ECB Single Supervisory Mechanism: Effects on Bank Performance and Capital Requirements.
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- Working Papers (Oesterreichische Nationalbank), 2022, n. 244, p. 1
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- Article
ANALYSIS OF CASH FLOWS REGISTERED BY THE ROMANIAN COMMERCIAL BANK IN THE CONTEXT OF THE COVID-19 PANDEMIC.
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- Agricultural Management / Lucrari Stiintifice Seria I, Management Agricol, 2021, v. 23, n. 2, p. 291
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- Article
Green Mortgages, EU Taxonomy and Environment Risk Weigthed Assets: A Key Link for the Transition.
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- Sustainability (2071-1050), 2022, v. 14, n. 3, p. 1633, doi. 10.3390/su14031633
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Assessing the Impact of Corporate Governance Index on Financial Performance in the Romanian and Italian Banking Systems.
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- Sustainability (2071-1050), 2021, v. 13, n. 10, p. 5535, doi. 10.3390/su13105535
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Sustainability of Commercial Banks Supported by Business Intelligence System.
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- Sustainability (2071-1050), 2020, v. 12, n. 11, p. 4754, doi. 10.3390/su12114754
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Analysis of China Commercial Banks' Systemic Risk Sustainability through the Leave-One-Out Approach.
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- Sustainability (2071-1050), 2020, v. 12, n. 1, p. 203, doi. 10.3390/su12010203
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The Effect of Housing Prices on Bank Performance in Korea.
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- Sustainability (2071-1050), 2019, v. 11, n. 22, p. 6242, doi. 10.3390/su11226242
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Financial Hazard Map: Financial Vulnerability Predicted by a Random Forests Classification Model.
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- Sustainability (2071-1050), 2018, v. 10, n. 5, p. 1530, doi. 10.3390/su10051530
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- Article
REVISITANDO A RENTABILIDADE DOS BANCOS BRASILEIROS: EVIDÊNCIAS DOS SOBREVIVENTES DA CRISE DE 2008 ANTES DO ATAQUE DAS FINTECHS.
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- Revista Universo Contábil, 2020, v. 16, n. 4, p. 27, doi. 10.4270/ruc2020422
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- Article
IMPLEMENTING OF QUALITY MANAGEMENT IN BANKING SECTOR FROM ROMANIA.
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- Annals of DAAAM & Proceedings, 2011, p. 685
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- Article
An adaptive endogenous network model for dynamic interbank lending market with central bank.
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- International Journal of Modern Physics C: Computational Physics & Physical Computation, 2023, v. 34, n. 11, p. 1, doi. 10.1142/S0129183123501504
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- Article
Removing toxic assets from balance sheets: Structures based on the good bank-bad bank model.
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- Journal of Securities Law, Regulation & Compliance, 2009, v. 2, n. 4, p. 289
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- Article
Unconventional monetary policy and international equity capital flows to emerging markets.
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- European Financial Management, 2022, v. 28, n. 2, p. 482, doi. 10.1111/eufm.12312
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- Article
The effect of stricter capital regulation on banks' risk‐taking: Theory and evidence.
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- European Financial Management, 2019, v. 25, n. 5, p. 1229, doi. 10.1111/eufm.12205
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- Article
Bank Risk Dynamics Where Assets are Risky Debt Claims.
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- European Financial Management, 2017, v. 23, n. 1, p. 3, doi. 10.1111/eufm.12102
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- Article
The Dependency of the Banks' Assets and Liabilities: Evidence from Germany.
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- European Financial Management, 2012, v. 18, n. 4, p. 602, doi. 10.1111/j.1468-036X.2010.00543.x
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- Article
Understanding the effects of growing central bank balance sheets on investment.
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- Economic Affairs, 2020, v. 40, n. 3, p. 385, doi. 10.1111/ecaf.12434
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- Article
Indirect Convertibility, Equity-Based Banking and Financial Stability.
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- Economic Affairs, 2017, v. 37, n. 3, p. 357, doi. 10.1111/ecaf.12247
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- Article
Bank capital, fire sales, and the social value of deposits.
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- Economic Theory, 2020, v. 69, n. 4, p. 919, doi. 10.1007/s00199-019-01189-5
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- Article
Dynamic Model in Estimating the Impact of Competition on Banking Efficiency: Evidence form MENA Countries.
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- Quality - Access to Success, 2023, v. 24, n. 193, p. 385, doi. 10.47750/QAS/24.193.44
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- Article
Frequência do Relato Intercalar e Perdas por Imparidade de Ativos Financeiros .
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- Brazilian Business Review (Portuguese Edition), 2023, v. 20, n. 2, p. 118, doi. 10.15728/bbr.2023.20.2.1.pt
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- Article
Cross-Border Diversification in Bank Asset Portfolios.
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- International Finance, 2010, v. 13, n. 1, p. 79, doi. 10.1111/j.1468-2362.2010.01253.x
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- Article
EFFICIENCY OF ISLAMIC BANKING IN MALAYSIA: A STOCHASTIC FRONTIER APPROACH.
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- Journal of Economic Cooperation Among Islamic Countries, 2006, v. 27, n. 2, p. 37
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- Article
Valuation of Opacity in Turkish Banking Industry.
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- Eurasian Review of Business & Finance (ERBF), 2017, v. 1, n. 1, p. 22
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- Article