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51
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60
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Sort
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date (oldest first)
51
The ECB and IMF indicators for the macro-prudential analysis of the banking sector: a comparison of the two approaches
Agresti, Anna Maria
;
Baudino, Patrizia
;
Poloni, Paolo
-
2008
countries. The European Central
Bank
(ECB), jointly with the Banking Supervision Committee (BSC), has an interest in monitoring …
Persistent link: https://www.econbiz.de/10011606251
Saved in:
52
Non-performing loans (NPLs), liquidity creation, and moral hazard: Case of Chinese banks
Umar, Muhammad
;
Sun, Gang
- In:
China Finance and Economic Review
4
(
2016
)
1
,
pp. 1-23
Background: This study analyzes the impact of non-performing loans (NPLs) on
bank
liquidity creation to investigate the …
Persistent link: https://www.econbiz.de/10011658429
Saved in:
53
Preemptive distress resolution through
bank
mergers
Elsas, Ralf
-
2004
This paper suggests a motive for
bank
mergers that goes beyond alleged and typically unverifiable scale economies … distress mergers. The data comprise 3640 banks and 1484 mergers. Our results suggest that
bank
mergers as a means of preemtive …
Persistent link: https://www.econbiz.de/10010263306
Saved in:
54
Why do banks hold capital in excess of regulatory requirements? A functional approach
Dietrich, Diemo
;
Vollmer, Uwe
-
2004
banks to collect loans in a nonmonotonic way, a
bank
may be forced to exceed capital requirements. Moreover, high capital …
Persistent link: https://www.econbiz.de/10010263472
Saved in:
55
Bank
size and risk-taking under Basel II
Hakenes, Hendrik
;
Schnabel, Isabel
-
2005
This paper discusses the relationship between
bank
size and risk-taking under Pillar I of the New Basel Capital Accord …
Persistent link: https://www.econbiz.de/10010264763
Saved in:
56
Bank
Lending,
Bank
Capital Regulation and Efficiency of Corporate Foreign Investment
Dietrich, Diemo
;
Hauck, Achim
-
2007
Depositenrefinanzierung der
Bank
zwar die Finanzierungskosten senkt, jedoch das Unternehmen dazu zwingt, vornehmlich im Heimatland zu …
Persistent link: https://www.econbiz.de/10010269964
Saved in:
57
Competition and stability in banking
Vives, Xavier
-
2010
I review the state of the art of the academic theoretical and empirical literature on the potential trade-off between competition and stability in banking. There are two basic channels through which competition may increase instability: by exacerbating the coordination problem of...
Persistent link: https://www.econbiz.de/10010270643
Saved in:
58
Optimal
bank
capital
Miles, David
;
Yang, Jing
;
Marcheggiano, Gilberto
-
2011
level of
bank
capital is. We use empirical evidence on UK banks to assess costs; we use data from shocks to incomes from a …
Persistent link: https://www.econbiz.de/10010277870
Saved in:
59
Banks' regulatory buffers, liquidity networks and monetary policy transmission
Merkl, Christian
;
Stolz, Stéphanie
-
2006
provide evidence in favor of the
bank
capital channel theory. Banks holding less regulatory capital and less interbank …
Persistent link: https://www.econbiz.de/10010277973
Saved in:
60
Credit Portfolio Modelling, Marginal Risk Contributions, and Granularity Adjustment
Rau-Bredow, Hans
-
2002
This paper first provides a simple but very general framework for credit portfolio modellingwhich is based on the distinction between systematic and unsystematic risk. Unsystematicor borrower-specific risk vanishes through diversification in a very large, infinitelyfine-grained portfolio. The...
Persistent link: https://www.econbiz.de/10005843044
Saved in:
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