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This paper examines banks' accounting choices between fair-value and historical-cost accounting when reported accounting information is used for capital requirement regulation. In choosing fair-value relative to historical-cost, banks must consider potential benefits of additional lending in...
Persistent link: https://www.econbiz.de/10012974144
generate very high costs, but on the other hand it protects against insolvency. That’s why a bank needs to find the ‘Gold mean … study is identification of interdependencies between bank risk capital and effectiveness of the aggregated Eurozone banking … positive correlation between profitability and size of bank risk capital. To verify the hypothesis regression models were used …
Persistent link: https://www.econbiz.de/10012796224
Nowadays it becomes paramount to keep a vigilant eye on the capital adequacy, liquidity, and risk management functions of the banks in order to ensure prudential governance. One single globally accepted solution for this is to be compliant with the principles of Basel Accords. Basel...
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expectations for NPLs are found to be effective in reducing banks' NPLs. The phase-in of the policies can temporarily reduce bank …
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endogenously varies while the regulations are exogenously imposed. I propose a banking model to investigate how the changes in bank … light on how bank equity and Basel III regulations affect credit and money creation …
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determining the credibility of an Indian commercial bank as an issuer in terms of credit quality and credit score during the post …
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We study how optimal bank capital and bond risk are influenced by deposit insurance, implicit guarantees, depositor … preference, asset encumbrance, and bail-in resolution frameworks. We find that these features of bank financing change the … optimal amount of bank capital. The net effect on bond debt risk and valuation is small, while the effects on shareholder …
Persistent link: https://www.econbiz.de/10013080619