La crisi finanziaria è un test per Basilea II?
Year of publication: |
2009
|
---|---|
Authors: | Avesani, Renzo G. |
Published in: |
ECONOMIA E POLITICA INDUSTRIALE. - FrancoAngeli Editore, ISSN 0391-2078. - Vol. 36.2009, 4, 3, p. 23-35
|
Publisher: |
FrancoAngeli Editore |
Subject: | Banking | financial crisis | Basel II | risk management |
-
Risk Management, Corporate Governance, and Bank Performance in the Financial Crisis
Schmid, Markus, (2013)
-
Bank Executive Compensation Structure, Risk Taking and the Financial Crisis
Guo, Lin, (2014)
-
Does a Financial Crisis Change a Bank's Exposure to Risk? A Difference-in-Differences Approach
Mäkinen, Mikko, (2021)
- More ...
-
A New Risk Indicator and Stress Testing tool : A Multifactor Nth-to-Default CDS Basket
Avesani, Renzo G., (2006)
-
The Use of Mortgage Covered Bonds
Avesani, Renzo G., (2007)
-
First : A Market-Based Approach to Evaluate Financial System Risk and Stability
Avesani, Renzo G., (2005)
- More ...