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Outlines some research on the effects of risk on portfolios for retirement planning and puts forward a method to help individuals “increase their chances of not outliving their retirement portfolios”. Uses numerical examples to show how calculations of the savings needed to achieve specific...
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Basel III regulation intent is to increase the resiliency of banks through effective risk management practices that can … United States economy. The viral spread of operational losses through global markets by interconnected multinational banks … practices posed by the Basel III regulation for BHCs, which may reduce the spread of significant losses in the banks. Through …
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network. We estimate that the impairment of any of the five most active U.S. banks will result in significant spillovers to … other banks, with 38 percent of the network affected on average. The impact varies and can be larger on particular days and … in geographies with concentrated banking markets. When banks respond to uncertainty by liquidity hoarding, the potential …
Persistent link: https://www.econbiz.de/10012161511
A broad overview, from the Indian perspective, of the factors underlying the credit market crisis in the west, the implications of the crisis for the financial sector, lessons learnt from it, the various suggestions made at different fora for pre-empting the recurrence of such events, the Indian...
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regulators since banks neglecting the downward rating momentum might hold insufficient capital. …
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. Therefore, banks have to take into account this new element while defining their strategic decisions and their profitability … different regulatory and governance regimes. Using a sample of 102 banks from 4 geographic regions (United States, Europe, China …, India) we propose pooled and regional models to highlight the parameters that explain profitability and risk management of …
Persistent link: https://www.econbiz.de/10012259770