Opinion: beyond country risk : a comprehensive approach to address banks' vulnerabilities
Year of publication: |
2017
|
---|---|
Authors: | De Felice, Gregorio |
Published in: |
Journal of risk management in financial institutions. - London : Henry Stewart Publ., ISSN 1752-8887, ZDB-ID 2416788-5. - Vol. 10.2016/2017, 1, p. 45-47
|
Subject: | stress tests | capitalisation | profitability | credit quality | non-performing loans (NPLs) | economic growth | country risk | idiosyncratic risk | Finanzdienstleistung | Financial services | Länderrisiko | Country risk | Kreditrisiko | Credit risk | Bankrisiko | Bank risk | Notleidender Kredit | Non-performing loan | Risikomanagement | Risk management | Finanzkrise | Financial crisis |
-
Laeven, Luc, (2016)
-
Malandrakis, Ioannis K., (2014)
-
A framework for market, credit and transfer risk aggregation and stress testing
Farinelli, Simone, (2016)
- More ...
-
Cherubini, Umberto, (1993)
-
La struttura settoriale del mercato azionario europeo
De Felice, Gregorio, (2000)
-
Il comportamento dei tassi d'interesse interbancari e la trasmissione della politica monetaria
De Felice, Gregorio, (1995)
- More ...