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The colonial origins of banking crisis in Africa
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Outliers do matter: comparing the databases of financial crisis events
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Essays on selected issues of post-crisis banking regulation, profitability, and risk
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A liquidity risk early warning indicator for Italian banks
a machine learning approach -
Asset protection-state guarantee schemes in+ systemic European non-performing loans securitisations
contractual structure, state aid and bank corporate law issues -
Credit gaps as banking crisis predictors
a different tune for middle- and low-income countries -
Managing banking crises in emerging market economies
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Emergency liquidity injections
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Evaluation of banking crisis resolution framework in the West African Monetary Zone
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Accounting for climate transition risk in banks' capital requirements
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Évaluation du cadre de résolution des crises bancaires dans la zone monétaire de l'Afrique de l'ouest
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Sovereign risk and bank lending
theory and evidence from a natural disaster -
The highs and the lows
bank failures in Sweden through inflation and deflation, 1914-1926 -
Who bears the brunt?
the impact on banking crises on younger and older workers -
The effect of bank recapitalization policy on credit allocation, investment, and productivity
evidence from a banking crisis in Japan -
Sovereign risk and bank lending
evidence from 1999 Turkish earthquake -
Local Banks and flood risk
the case of Germany -
Sovereign default, domestic banks and exclusion from international capital markets
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Can banks placate knowledgeable depositors by offering higher interest rates during a banking crisis?
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"Financial intermediation, capital accumulation and crisis recovery"
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The drivers of European banks' US dollar debt issuance
opportunistic funding in times of crisis? -
The determinants of long-term debt issuance by European banks
evidence of two crises -
The resolution of banking crises and market discipline: international evidence
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Banking stress scenarios for public debt projections