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1. What do we know about the impact of income diversification on bank performance? A systematic literature review.

2. Investors return for unguaranteed bank commercial paper.

3. Editorials.

4. Rate decisions dominate as CP markets expect paper flood.

5. IFRS 9 and earnings management: the case of European commercial banks.

6. DISCUSSION.

7. Volatility impacts on the European banking sector: GFC and COVID-19.

8. MTNs/CP.

9. Retail paper trades despite end of year sales gloom.

10. ECB deposit rate cut risks leaving banks high and dry at the short end.

11. Sovereigns too pricey but banks gain favour.

12. Banks benefit from greater confidence among investors.

13. MTNs/CP.

14. Commercial Paper Isn't As Healthy As It Seems.

15. Bank CP issuers push out maturities as downgrades ignored.

16. Early warning signal? US CP buyers retreat from European banks.

17. SSAs rack up ECP dollars in volatile market.

18. Investors dump Portuguese CP after S&P cut.

19. Banks take advantage of CP feel good factor.

20. CP dealers believe benchmarks are artificial.

21. Sovereigns snatched up as basis swap spirals.

22. Editors' Introduction.

23. ECP MARKET COMMENTARY.

24. Europe gets ready for callable CP revolution.

25. Investors Will Buy Europe's Bad Bank Toxic Paper.

26. Banks fall from favour, corporates on the up.

27. FACTORS OF ELECTRONIC MARKETING ADOPTION IN COMMERCIAL BANKS IN THE COUNTRIES OF SOUTHEASTERN EUROPE.

28. European CP market lively as investors eye longer maturities.

29. ECP MARKET COMMENTARY.

30. The economics of banking regulation in Europe: does the post-GFC bail-in regime effectively eliminate implicit government guarantees?

31. ECP market grows on Euro wave.

32. Banks still on the back foot in European CP.

33. ECP MARKET COMMENTARY.

34. ECP MARKET COMMENTARY.

35. Banks and environmental, social and governance drivers: Follow the market or the authorities?

36. Joy as ECP market grows.

37. Who Bears Interest Rate Risk?

38. Board diversity as a determinant of the social performance in the European banking sector.

39. Characteristics of liability for disclosure of bank secrecy in Europe and the United States.

40. Shunning Banks or Depending on Them? Crypto Markets and the Rise of Crypto-Friendly Banking.

41. CP market remains shut to desperate banks.

42. Eager banks push EuroCP issuance to surprising high.

43. Nat Bank of Dubai is second in Middle East to sign ECP shelf.

44. Credit Pinch Drives Banks In Europe to Hoard Cash.

45. Credit Thaw Is Spurring Appetite For Bank IOUs.

46. Santander domestic CP uptick leaves some dealers scratching their heads.

47. REWARDING TOP MANAGERS IN THE BANKING SECTOR DURING THE COVID-19 PANDEMIC.

48. EC paper highlights shadow banking inconsistencies.

49. Banks return to dominate sovereigns in CP but euro/dollar basis swap crucial for future.

50. Banks double their money on tighter spreads.