Works matching DE "EUROPEAN Banking Authority"
Results: 80
The capital buffer calibration for other systemically important institutions‐Is the country heterogeneity in the EU caused by regulatory capture?
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- Scottish Journal of Political Economy, 2022, v. 69, n. 5, p. 533, doi. 10.1111/sjpe.12308
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- Article
Oh, What a Muddle!
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- Board Leadership, 2013, v. 2013, n. 128, p. 7
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A review of individual and systemic risk measures in terms of applicability for banking regulations.
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- Contemporary Economics, 2016, v. 10, n. 1, p. 71, doi. 10.5709/ce.1897-9254.199
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- Article
The New EU Remuneration Policy as Good but Not Desired Corporate Governance Mechanism and the Role of CSR Disclosing.
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- Sustainability (2071-1050), 2021, v. 13, n. 10, p. 5476, doi. 10.3390/su13105476
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CRITICAL ANALYSIS OF STRESS TESTS IN THE YEAR 2011.
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- Tourism & Management Studies, 2013, v. 3, p. 1040
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- Article
THE NEW EUROPEAN ECONOMIC GOVERNANCE AND THE BANKING UNION: GENERAL CONCLUSIONS.
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- European Review of Public Law, 2016, v. 28, n. 1, p. 189
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- Article
THE GUARANTEES OF THE STATES PARTICIPATING AND NOT PARTICIPATING IN THE BANKING UNION.
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- European Review of Public Law, 2016, v. 28, n. 1, p. 141
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La materialidad y confidencialidad de la información A REVELAR por los bancos en su memoria relativa a solvencia y riesgos.
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- Revista Contable, 2015, n. 32, p. 90
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- Article
Europe: a shifting regulatory landscape.
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- Housing Finance International, 2024, v. 39, n. 1, p. 17
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Europe: a shifting regulatory landscape.
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- Housing Finance International, 2023, v. 38, n. 2, p. 15
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Europe: a shifting landscape.
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- Housing Finance International, 2022, v. 37, n. 2, p. 18
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Europe: a shifting regulatory landscape.
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- Housing Finance International, 2021, v. 36, n. 1, p. 19
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Europe: a shifting regulatory landscape.
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- Housing Finance International, 2020, v. 35, n. 2, p. 19
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Overview of legal measures with implications for housing loans taken by some national governments in Europe in the light of the COVID-19 crisis.
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- Housing Finance International, 2020, v. 34, n. 4, p. 15
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- Article
Europe: a shifting regulatory landscape.
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- Housing Finance International, 2019, v. 34, n. 2, p. 15
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Europe.
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- Housing Finance International, 2018, v. 33, n. 2, p. 14
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International bank credit, nonbank lenders, and access to external financing.
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- Economic Inquiry, 2022, v. 60, n. 3, p. 1214, doi. 10.1111/ecin.13078
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- Article
Decision given by the Joint Board of Appeal of the European Supervisory Authorities in the appeal case brought by "C" [the Appellant] against the European Banking Authority (EBA) [Respondent] (BoA-D-2022-01).
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- Zeitschrift für Bankrecht und Bankwirtschaft, 2022, v. 34, n. 4, p. 240, doi. 10.15375/zbb-2022-0406
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- Article
Inhaltsverzeichnis.
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- 2022
- Publication type:
- Table of Contents
BRIEF CONSIDERATIONS REGARDING THE ESTABLISHMENT OF A BANKING UNION IN THE EUROPEAN UNION.
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- Studia Universitatis Babes-Bolyai, Iurisprudentia, 2013, n. 1, p. 161
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- Article
Der Schuldentragfähigkeitstest bei der Konzernfinanzierung oder: Der Krug geht so lange zum Brunnen, bis er bricht — Eine kritische Analyse und ökonomische Möglichkeiten zur Einschätzung.
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- Die Unternehmensbesteuerung (Ubg), 2023, v. 16, n. 6, p. 312, doi. 10.9785/ubg-2023-160606
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Stress Test Blues.
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- International Economy, 2014, v. 28, n. 2, p. 38
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- Article
Impacto de la aplicación de la NIIF 9 sobre instrumentos FINANCIEROS.
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- Revista Contable, 2017, n. 55, p. 62
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Financiero.
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- Revista Contable, 2017, n. 51, p. 118
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- Article
Supranational Banking Supervision in Europe: The Construction of a Credible Watchdog.
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- Journal of Common Market Studies, 2015, v. 53, p. 181, doi. 10.1111/jcms.12271
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Challenges in the EU Banking Sector as Exemplified by Poland in View of Legislative Changes Related to Climate Crisis Prevention.
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- Energies (19961073), 2022, v. 15, n. 3, p. 699, doi. 10.3390/en15030699
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- Article
Systemic risk measures and macroprudential stress tests: an assessment over the 2014 EBA exercise.
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- Annals of Finance, 2017, v. 13, n. 3, p. 237, doi. 10.1007/s10436-017-0294-z
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- Article
Virtual Currencies: The Different Regulatory Approaches Around The World.
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- Computer Law Review International, 2015, v. 16, n. 4, p. 97, doi. 10.9785/cri-2015-0402
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- Article
Loan loss provisions in large publicly quoted European banks and auditor independence.
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- International Journal of Auditing, 2019, v. 23, n. 2, p. 245, doi. 10.1111/ijau.12158
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- Article
EU RISK RETENTION REQUIREMENT: A BRIEF OVERVIEW OF THE CURRENT FRAMEWORK.
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- Banking Law Journal, 2014, v. 131, n. 4, p. 328
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- Article
IS THERE A PATH THROUGH THE WOODS? RETENTION REQUIREMENTS FOR MANAGED CLOS.
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- Banking Law Journal, 2013, v. 130, n. 9, p. 823
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- Article
When Losses Turn into Loans: The Cost of Weak Banks.
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- American Economic Review, 2023, v. 113, n. 6, p. 1600, doi. 10.1257/aer.20190149
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- Article
Twelve recommendations for the ESA review.
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- Law & Financial Markets Review, 2015, v. 9, n. 2, p. 120, doi. 10.1080/17521440.2015.1052672
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Interpreting the EBA's powers: a case comment on the EBA's Board of Appeal Decision 2013-008, 24 June 2013.
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- 2013
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- Publication type:
- Opinion
EU regulatory developments.
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- Law & Financial Markets Review, 2013, v. 7, n. 4, p. 223, doi. 10.5235/17521440.7.4.223
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- Article
EU regulatory developments.
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- Law & Financial Markets Review, 2012, v. 6, n. 6, p. 447, doi. 10.5235/LFMR6.6.447
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- Article
A review of stress test methodology.
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- Journal of Securities Operations & Custody, 2018, v. 10, n. 3, p. 254, doi. 10.69554/ihgw7964
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Linkages of stress, reverse stress and wind-down.
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- Journal of Securities Operations & Custody, 2017, v. 9, n. 2, p. 127, doi. 10.69554/gmlz6132
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- Article
The Fundamental Review of Trading Book: New standard approach and risk management impacts.
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- Journal of Risk Management in Financial Institutions, 2021, v. 14, n. 2, p. 209, doi. 10.69554/evho8448
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Are stress tests beauty contests? (and what we can do about it).
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- Journal of Risk Management in Financial Institutions, 2020, v. 13, n. 2, p. 126, doi. 10.69554/ngnd8670
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Revised partial use: Banking supervision on the right track.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 70, doi. 10.69554/inpd3577
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Credit risk forecasting modelling and projections under IFRS 9.
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- Journal of Risk Management in Financial Institutions, 2018, v. 12, n. 1, p. 79, doi. 10.69554/jiyd8135
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Domestic politics and national differences in restructuring EU financial supervision.
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- European Politics & Society, 2018, v. 19, n. 3, p. 247, doi. 10.1080/23745118.2017.1419598
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- Article
A Hypothesis Test for the Long-Term Calibration in Rating Systems with Overlapping Time Windows.
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- Risks, 2024, v. 12, n. 8, p. 131, doi. 10.3390/risks12080131
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- Article
Volatility Modeling and Dependence Structure of ESG and Conventional Investments.
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- Risks, 2022, v. 10, n. 1, p. 20, doi. 10.3390/risks10010020
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- Article
New Definition of Default—Recalibration of Credit Risk Models Using Bayesian Approach.
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- Risks, 2022, v. 10, n. 1, p. 16, doi. 10.3390/risks10010016
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- Article
Liquidity risk in derivatives valuation: an improved credit proxy method.
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- Quantitative Finance, 2018, v. 18, n. 3, p. 467, doi. 10.1080/14697688.2017.1315166
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- Article
New rules for calculating contributions to deposit guarantee schemes in Europe: an application to the Spanish banking system.
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- Spanish Journal of Finance & Accounting / Revista Espanola de Financiacion y Contabilidad, 2016, v. 45, n. 4, p. 389, doi. 10.1080/02102412.2016.1205247
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- Article
REGULATORY INCENTIVE REALIGNMENT AND THE EU LEGAL FRAMEWORK OF BANK RESOLUTION.
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- Brooklyn Journal of Corporate, Financial & Commercial Law, 2016, v. 10, n. 2, p. 343
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- Article
Regulatory Thresholds of Household Deposit Stability in the Euro Area - Neglected Factors and Omissions Made.
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- Panoeconomicus, 2019, v. 66, n. 5, p. 559, doi. 10.2298/PAN170117011K
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- Article