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Banking crisis

Xem 1-20 trên 251 kết quả Banking crisis
  • This article analyzes the impact of economic instability resulting from the global crisis of the dynamics of bank deposits in the banks. The sustainable supply chain strategy is developed for evaluation bank performance. The behavioral nature of the changes in the stability of time deposits and demand deposits in banks due to the crisis phenomena, verified as consequences of the global crisis, has been examined. Results demonstrated the significant efficiency of supply chain in bank and economic situation.

    pdf9p longtimenosee10 26-04-2024 4 1   Download

  • The 2023 series of bank collapses has underscored the vital importance of effective liquidity risk management in the banking industry. Liquidity risk in bank, with its potential to trigger bank runs and destabilize the global financial system, requires a comprehensive approach that considers market volatility, regulatory changes, and evolving business models. Collaboration among banks, regulators, and stakeholders is crucial at the system level.

    pdf12p longtimenosee09 08-04-2024 4 1   Download

  • Part 1 of ebook "Money, banking and financial markets in Central and Eastern Europe: 20 years of transition" provides readers with contents including: the spread of the financial crisis to Central and Eastern Europe; are product market structures affected by banking concentration; financing constraints, credit, rationing, and financing obstacles; efficiency, persistence and predictability of Central European stock markets; non-linear stock market co-movement in Central and East European countries;...

    pdf157p tuongnhuoclan 27-11-2023 5 4   Download

  • Ebook "Financial boom and gloom: The credit and banking crisis of 2007–2009 and beyond" has and will continue to have far-reaching after-effects. At their core are Collateralized Debt Obligations (CDOs) and Credit Default Swaps (CDSs), the main themes of this book.

    pdf303p tuongnhuoclan 28-11-2023 6 5   Download

  • Part 1 of ebook "Bank performance, risk and firm financing" provides readers with contents including: bank size, market power and financial stability; bank risk and analysts’ forecasts; foreign banks in central Eastern Europe; financial crisis and bank profitability; asset- backed securitization and financial stability;...

    pdf153p tuongnhuoclan 27-11-2023 8 5   Download

  • Continued part 1, part 2 of ebook "Bank performance, risk and firm financing" provides readers with contents including: a revenue - based frontier measure of banking competition; regulation and bank performance in Europe; the Italian popular banks and their behaviour after the recent financial crisis; access to equity for new, innovative companies in Italy; value creation of internationalization strategies of Italian medium- sized listed firms;...

    pdf162p tuongnhuoclan 27-11-2023 9 5   Download

  • Part 1 of ebook "Bank strategy, governance and ratings" provides readers with contents including: an examination of cross-border strategies in banking; governing British banks; changes in board composition and compensation in banking from 1999 to 2008; the governance of executive remuneration during the crisis - evidence from Italy;...

    pdf150p tuongnhuoclan 27-11-2023 9 5   Download

  • Ebook "Curbing bailouts: Bank crises and democratic accountability in comparative perspective" deals with government responses to banking crises. More often than not, the term “bailout” is used scornfully to refer to any such response. This by-now vacuous term suggests an alarming degree of uniformity in the use of policies to redress situations of insolvency in a country’s banking sector. Contrary to this view, however, there is ample variation in the kind and degree of government involvement to manage banking crises.

    pdf223p tuongnhuoclan 27-11-2023 9 4   Download

  • Ebook "Fair value accounting: Key issues arising from the financial crisis" discusses how FVA affects financial reporting during a financial crisis. It provides an in-depth analysis of the key benefits and negatives of FVA, and discusses the controversial practice of trade-offs with historical cost accounting (HCA). It provides an overview of the principles and applications of FVA, and explains its impact on banks' financial statements.

    pdf130p loivantrinh 29-10-2023 6 4   Download

  • This report is about the second tragic mistake which brought Japan from a leading economic power into an economy which struggled with persistent deflation and stagnation. It tries to explore where things went wrong, what were the alternatives, how and why the choices were made, and what would be needed to do better in the future.

    pdf127p minhquan0690 19-09-2023 5 3   Download

  • Access to finance is considered one of the top constraints on SMEs’ growth and survival. During bank crises, although facing a credit crunch, a few SMEs still survive, hence I study what makes survivor SMEs’ financial resilience. This is not clearly defined in previous studies. The study contributes to these with empirical evidence of SMEs in the UK from pre to post-crisis of the bank crisis of 2008.

    pdf14p vifriedrich 06-09-2023 7 3   Download

  • Part 1 book "Risk management and financial institutions" includes content: banks; insurance companies and pension plans; mutual funds and hedge funds; trading in financial markets; the credit crisis of 2007; valuation and scenario analysis - the risk neutral and real worlds; how traders manage their risks; interest rate risk; volatility; correlations and copulas; value at risk and expected shortfall; historical simulation and extreme value theory; model building approach.

    pdf408p oursky03 21-08-2023 9 5   Download

  • Ebook The future of finance: A new model for banking and investment – Part 1 presents the following content: Chapter 1: globalization, emerging markets, and the savings glut; chapter 2: the rise of derivatives and systemic risk; chapter 3: the too-big-to-fail bank, moral hazard, and macroprudential regulation; chapter 4: corporate governance and remuneration in the banking industry; chapter 5: bank capital safeguards: additional capital buffers and reverse convertibles; chapter 6: economic theories under attack.

    pdf120p haojiubujain02 03-07-2023 6 3   Download

  • Ebook The future of finance: A new model for banking and investment – Part 2 presents the following content: Chapter 7: long-term sustainable investment guidelines; chapter 8: bank asset-liability and liquidity risk management; chapter 9: a sustainable bank business model: capital, liquidity, and leverage.

    pdf107p haojiubujain02 03-07-2023 4 3   Download

  • This thesis examines the determinants of bank equity risk and credit risk as well as providing an analysis of the change in bank equity risk following the formation of Economic and Monetary Union (EMU). It is motivated by the increasing interest in bank risk research particularly since the formation of EMU and the global financial crisis. The study considers a range of financial institutions across 36 countries from the period of 1995-2006.

    pdf392p runthenight04 02-02-2023 4 1   Download

  • Money and Banking: Lecture 28 provides students with content about: securities firms; investment banks; mutual funds; finance companies; government sponsored enterprises; banking crisis; sources of runs, panics and crisis; government safety net; government: lender of last resort;... Please refer to the lesson for details!

    ppt25p hanlamcoman 26-11-2022 23 4   Download

  • Money and Banking: Lecture 36 provides students with content about: target federal funds rate and open market operation; discount lending, the lender of last resort and crisis management; reserve requirements; linking tools to objectives;... Please refer to the lesson for details!

    ppt16p hanlamcoman 26-11-2022 9 2   Download

  • Lecture The economics of Money, Banking and Financial markets: Chapter 9 Financial Crises and the Subprime Meltdown. After studying this chapter you should be able to discuss the factors that lead to financial crises; explain how increases in adverse selection and moral hazard cause financial crises; discuss the most recent financial crisis, the subprime financial crisis of 2007 2008, which led to a number of banking crises around the world and a decline in global economic activity.

    ppt18p runordie1 10-05-2022 13 2   Download

  • The global financial crisis, especially the US financial crisis, exerts a major impact on Vietnam’s economy and its banking system. Accordingly, the real estate market, stock market and banking system in Vietnam have fluctuated remarkably. This article discusses the causes of the US financial crisis and analyses the US government’s solutions. The causes of the US financial crisis are distributed to lax lending standards, failures in regulations of derivates financial instruments, and lack of state control of banking systems. In this respect, recommendations are made for Vietnam’s case.

    pdf15p huyetthienthan 23-11-2021 24 0   Download

  • The sustainability of banking operations has been discussing more in developed countries since the 2008 financial crisis. Bank managers believe that sustainable implementation is important to the success of the bank in the future. IFC survey (2002): 86% reported positive changes of integrating ESMS system into their business; 19% saw changes as significant: 0% reported negative change. UNEPFI survey (2007): 26 financial institutions in CEE to assess the state of sustainability awareness in the finance sector.

    pdf12p huyetthienthan 23-11-2021 13 2   Download

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