Works matching DE "BASLER Ausschuss fur Bankenaufsicht"
Results: 212
EL PERRO Y EL FRISBEE.
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- Revista de Economía Institucional, 2012, v. 14, n. 27, p. 13
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Sustainability and Bank Capital A Study of Indian Private Banks.
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- Acta Universitatis Bohemiae Meridionales, 2022, v. 25, n. 2, p. 99, doi. 10.32725/acta.2022.012
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- Article
BANK RISK-TAKING BEHAVIOUR IN AFRICA: THE INFLUENCE OF NET STABLE FUNDING RATIO.
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- Journal of Developing Areas, 2021, v. 55, n. 2, p. 239, doi. 10.1353/jda.2021.0042
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Basel revisited: An Assessment of the Legitimacy and Effectiveness of the Basel Framework.
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- Peking University Law Journal, 2018, v. 6, n. 2, p. 323, doi. 10.1080/20517483.2018.1603649
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Prudential Indicators of Romanian Commercial Banks.
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- Finance: Challenges of the Future, 2015, n. 17, p. 20
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The role of capital adequacy standards in creating financial safety of the bank: the evaluation and analysis of the survey results.
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- Economics & Law / Ekonomia i Prawo, 2021, v. 20, n. 3, p. 641, doi. 10.12775/EiP.2021.038
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İKLİMLE BAĞLANTILI FİNANSAL RİSKLERE İLİŞKİN BASEL KOMİTESİ PRENSİPLERİ VE TÜRK BANKACILIK SEKTÖRÜ İÇİN ÖNERİLER.
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- Journal of Turkish Court of Accounts / Sayistay Dergisi, 2023, v. 34, n. 130, p. 387, doi. 10.52836/sayistay.1348178
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- Article
VaR PRISTUP EVALUACIJI KREDITNOG RIZIKA BANAKA (KREDITNI VaR MODELI).
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- Transition: Journal of Economic & Politics of Transition / Tranzicija: Časopis za Ekonomiju i Politiku Tranzicije, 2012, v. 14, n. 29, p. 73
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Avaliação comparativa, por país, da situação econômico-financeira de bancos islâmicos.
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- Revista Ambiente Contábil, 2020, v. 12, n. 2, p. 25, doi. 10.21680/2176-9036.2020v12n2ID19456
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- Article
Powerful Backtests for Historical Simulation Expected Shortfall Models.
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- Journal of Business & Economic Statistics, 2024, v. 42, n. 3, p. 864, doi. 10.1080/07350015.2023.2252881
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- Article
Value at Risk based on Skewed Distributions: Evidence from Asian Equity Markets.
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- International Review of Accounting, Banking & Finance, 2020, v. 12, n. 2, p. 1
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- Article
The unintended consequences of regulatory import: the Basel Accord's failure during the financial crisis.
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- Journal of European Public Policy, 2021, v. 28, n. 2, p. 248, doi. 10.1080/13501763.2020.1725096
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- Article
Notes: A Global Crypto Code of Conduct: Crafting an Internationally Centralized Regulatory Body for a Decentralized Asset.
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- Vanderbilt Journal of Transnational Law, 2024, v. 57, n. 1, p. 301
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- Article
DISEÑO DE UNA METODOLOGÍA PARA LA IDENTIFICACIÓN Y LA MEDICIÓN DEL RIESGO OPERATIVO EN INSTITUCIONES FINANCIERAS.
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- Revista de Ingeniería, 2004, n. 19, p. 45, doi. 10.16924/revinge.19.6
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- Article
Hull-White’s value at risk model: case study of Baltic equities market.
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- Journal of Business Economics & Management, 2017, v. 18, n. 5, p. 1023, doi. 10.3846/16111699.2017.1357049
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- Article
FACILITATING THE ACCESS OF TRADE FINANCE TO TRADERS: THE ROLE OF THE WTO.
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- CESifo Forum, 2014, v. 15, n. 3, p. 12
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Assessing and managing credit risk in retail financial services.
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- IMA Journal of Management Mathematics, 2001, v. 12, n. 2, p. 127, doi. 10.1093/imaman/12.2.127
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Business Plans, Portfolio Management and Basel II.
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- Bank Accounting & Finance (08943958), 2006, v. 19, n. 4, p. 17
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Issuance by the Basel Committee of papers providing guidance on credit risk in banking.
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- Federal Reserve Bulletin, 1999, v. 85, n. 9, p. 635
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- Article
Cluster approach to banking supervision with reference to bank risk profile.
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- Economic Annals-XXI / Ekonomìčnij Časopis-XXI, 2019, v. 177, n. 5/6, p. 82, doi. 10.21003/ea.V177-07
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Revolving doors in international financial governance.
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- Global Networks, 2021, v. 21, n. 2, p. 294, doi. 10.1111/glob.12286
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The Banking-Sovereign Nexus: Law, Economics & Policy.
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- Columbia Journal of Transnational Law, 2017, v. 56, n. 1, p. 592
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The Banking-Sovereign Nexus: Law, Economics & Policy.
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- Columbia Journal of Transnational Law, 2017, v. 55, n. 3, p. 592
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Examination and visualisation of the simplifying assumption for vine copulas in three dimensions.
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- Australian & New Zealand Journal of Statistics, 2017, v. 59, n. 1, p. 95, doi. 10.1111/anzs.12182
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- Article
OPERATIONAL-RISK MANAGEMENT IN A BANK.
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- Internal Auditing & Risk Management, 2012, v. 7, n. 4, p. 35
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- Article
PREFERENCE SHARES AND CAPITAL ADEQUACY RATIO. A STUDY OF INDIAN BANKS.
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- Journal of Academic Research in Economics, 2017, v. 9, n. 2, p. 213
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- Article
Quantifying the Interest Rate Risk of Banks: Assumptions Do Matter.
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- European Financial Management, 2009, v. 15, n. 5, p. 1001, doi. 10.1111/j.1468-036X.2009.00509.x
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- Article
The New Basel Capital Accord: Making it Effective with Stronger Market Discipline.
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- European Financial Management, 2002, v. 8, n. 1, p. 103, doi. 10.1111/1468-036x.00178
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- Article
Addressing Financial System Pro-Cyclicality: A Role for Private Mortgage Insurance.
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- Housing Finance International, 2009, v. 23, n. 3, p. 30
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- Article
Wealth Effects of the Basle Accord on Small Banks.
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- Journal of Economics & Finance, 1999, v. 23, n. 3, p. 246, doi. 10.1007/BF02757709
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- Article
Auditors as Regulatory Actors: The Role of Auditors in Banking Regulation in Switzerland.
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- European Accounting Review, 2012, v. 21, n. 1, p. 1, doi. 10.1080/09638180.2010.522776
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- Article
ANÁLISE DO NÍVEL DE DIVULGAÇÃO DO RISCO OPERACIONAL SEGUNDO RECOMENDAÇÕES DO COMITÊ DA BASILÉIA: ESTUDO EM BANCOS DO PAÍS E DO EXTERIOR.
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- RAM. Mackenzie Management Review / RAM. Revista de Administração Mackenzie, 2009, v. 10, n. 2, p. 57, doi. 10.1590/S1678-69712009000200004
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- Article
Abstracts/Résumés.
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- 2015
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- Abstract
The Basel Committee on Banking Supervision: a post-crisis assessment of governance and accountability.
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- Canadian Foreign Policy Journal (CFPJ), 2015, v. 21, n. 2, p. 146, doi. 10.1080/11926422.2014.934870
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- Article
The Impact of Basel III on Malaysian Stock Performance.
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- Pertanika Journal of Social Sciences & Humanities, 2015, v. 23, p. 205
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- Article
A Comparative Analysis on Banks Compliance with BASEL-III Capital Adequacy Norms.
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- Vinimaya, 2019, v. 40, n. 3, p. 27
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Transformation of Corporate Governance in Public Sector Banks.
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- Vinimaya, 2018, v. 38, n. 4, p. 22
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- Article
International Regulations on Financial Hedging.
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- Ovidius University Annals, Series Economic Sciences, 2012, v. 12, n. 2, p. 1296
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- Article
Banking Regulatory Standards Basel III.
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- Ovidius University Annals, Series Economic Sciences, 2012, v. 12, n. 1, p. 1750
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- Article
From Basel II to Basel III -- Changes, Improvements and Proposals.
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- Ovidius University Annals, Series Economic Sciences, 2012, v. 12, n. 1, p. 1555
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- Article
Calibrating the countercyclical capital buffer using AUROCs.
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- Economic Notes, 2024, v. 53, n. 1, p. 1, doi. 10.1111/ecno.12230
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- Article
‘Trust is good, control is better’: The 1974 Herstatt Bank Crisis and its Implications for International Regulatory Reform.
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- Business History, 2015, v. 57, n. 2, p. 311, doi. 10.1080/00076791.2014.950956
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- Article
UPRAVLJANJE KREDITNIM RIZIKOM U SAVREMENOM BANKARSTVU.
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- Business Consultant / Poslovni Konsultant, 2013, v. 5, n. 23, p. 23
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- Article
REGLEMENTATION BALE II ET ARCHITECTURE ORGANISATIONNELLE : LE CAS DU GROUPE BANQUE POPULAIRE.
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- VSE - Vie & Sciences Economiques / La revue de l'Economie et de l'Entreprise, 2010, n. 183/184, p. 9
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- Article
Current Trends and Future Progress in the Banking Risk and Capital Management: Worldwide Experience and Republic of Serbia Case Study.
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- Economic Analysis (0013-3213), 2020, v. 53, n. 2, p. 79, doi. 10.28934/ea.20.53.2.pp79-94
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- Article
The Impact of Basel III Norms on Indian Public Sector Banks: A Review of Empirical Studies.
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- IUP Journal of Bank Management, 2020, v. 19, n. 3, p. 7
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- Article
Basel III Framework on Liquidity Standards: The Challenges Before the Indian Banks on Liquidity Risk Management.
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- IUP Journal of Bank Management, 2015, v. 14, n. 3, p. 40
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- Article
Effectiveness of Internal Rating Systems in Public Sector Banks of India.
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- IUP Journal of Bank Management, 2011, v. 10, n. 3, p. 7
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- Article
MEASURING DEFAULT RISK FOR A PORTFOLIO OF EQUITIES.
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- International Journal of Theoretical & Applied Finance, 2019, v. 22, n. 1, p. N.PAG, doi. 10.1142/S0219024919500122
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- Article
A REMARK CONCERNING VALUE-AT-RISK.
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- International Journal of Theoretical & Applied Finance, 2010, v. 13, n. 4, p. 507, doi. 10.1142/S0219024910005917
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- Article