531 results on '"capital requirements"'
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2. Mark-to-market accounting and systemic risk: evidence from the insurance industry
3. Understanding Basel Norms
4. Microfinance Bill: Missing the Forest for the Trees
5. Charter Value, Risk-Taking Incentives, and Emerging Competition for Fannie Mae and Freddie Mac
6. The Impact of Hot Issue Markets and Noise Traders on Stock Exchange Listing Standards
7. An Architectural Plan for a Microfinance Institutional Network
8. Basel II and Bank Lending Behaviour: Some Likely Implications for Monetary Policy
9. Correlated Default Risks and Bank Regulations
10. Crises and Capital Requirements in Banking
11. Arbitraging Arbitrageurs
12. Basel II and the Cyclicality of Bank Capital
13. Task Specificity and the Gender Wage Gap: Theoretical Considerations and Empirical Analysis of the Spanish Survey on Wage Structure
14. Expanding Access to Financial Services: Where Do We Go from Here?
15. Market Discipline, Capital Adequacy and Bank Behaviour
16. Basel II Norms: Emerging Market Perspective with Indian Focus
17. Banking Competition, Risk and Regulation
18. Capital Rules: The Domestic Politics of International Regulatory Harmonization
19. Convergence within National Diversity: The Regulatory State in Finance
20. What Is a Barrier to Entry?
21. [Modeling Regional Interdependencies Using a Global Error-Correcting Macroeconometric Model]: Comment
22. Behaviour of Bank Capital: Issues and Evidence from India
23. Strengthening and Streamlining Bank Capital Regulation
24. Comments and Discussion
25. In Search of "Capital Crunch": Supply Factors behind the Credit Slowdown in Japan
26. Is the International Convergence of Capital Adequacy Regulation Desirable?
27. Risk Management with Derivatives by Dealers and Market Quality in Government Bond Markets
28. Private Actors and Public Policy: A Requiem for the New Basel Capital Accord
29. Should Financial Stability Be Assigned to Public Policy?
30. Liquidation Risk
31. An Application of Unit Root Tests with a Structural Break to Risk-Based Capital and Bank Portfolio Composition
32. Are Basel Capital Standards Pro-Cyclical? Some Empirical Evidence from India
33. Evolving International Supervisory Framework
34. Entry Points for Local Tourism in Developing Countries: Evidence from Yogyakarta, Indonesia
35. Model Choice and Value-at-Risk Performance
36. Credit Growth and Response to Capital Requirements: Evidence from Indian Public Sector Banks
37. Banking Sector Reforms: A Critical Overview
38. Bank Runs: Deposit Insurance and Capital Requirements
39. On the Use of Portfolio Risk Models and Capital Requirements in Emerging Markets: The Case of Argentina
40. Tax and Regulatory Motivations for Issuing Non-Voting, Non-Convertible Preferred Stock
41. Evaluating the Basle Guidelines for Backtesting Banks' Internal Risk Management Models
42. The International Politics of Harmonization: The Case of Capital Market Regulation
43. Hybrid Organizations and the Alignment of Interests: The Case of Fannie Mae and Freddie Mac
44. Entry Barriers and New Venture Performance: A Comparison of Universal and Contingency Approaches
45. Principles of Financial Regulation: A Dynamic Portfolio Approach
46. Risk-Based Standards, Portfolio Risk and Bank Capital: An Econometric Study
47. Bank Response to Capital Requirements: Theory and Indian Evidence
48. A Comparison of Risk-Based Capital Standards under the Expected Policyholder Deficit and the Probability of Ruin Approaches
49. Malaise of Indian Financial System: Need for Reforms
50. A New Method for Credit-Enhancement Standards
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