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101. The Political Economic Sources of Policy Non-design, Policy Accumulation, and Decay in Policy Capacity.

102. SYSTEM RISK MANAGEMENT POLICY IN BANKING.

103. Nonstandard monetary policies and bank profitability: The case of Spain.

104. Integrated development of green finance and green accounting in policy banks.

105. The return of inflation.

106. Inflation and Development: Central Bank Stabilization Policies Revisited.

107. Policy Uncertainty and Bank Mortgage Credit.

108. Waste Bank Policy as Social Engineering Based on the Green Economy Concept in the Malang City, Indonesia.

109. Multifactor Keynesian models of the long-term interest rate.

110. Do monetary policy mandates and financial stability governance structures matter for the adoption of climate-related financial policies?

111. ECB unconventional monetary policy and volatile bank flows: Spillover effects on emerging market economies.

112. Should Government Play a Strict or Lenient Role? An Evolutionary Game Analysis of Implementing the Forest Ecological Bank Policy.

113. Preventing bank panics: The role of the regulator's preferences.

114. Non-Bank Finance and Monetary Policy Transmission in Asia.

115. Financial effect of long-term policy equity injection: evidence from special construction funds in China.

116. The power of folk ideas in economic policy and the central bank–commercial bank analogy.

117. Financial stability and monetary policy of the Central Bank of West African Countries: a Markov-Switching model.

118. Effects of Macroprudential Policies on Bank Lending and Credit Risks.

119. Investment Funds, Monetary Policy, and the Global Financial Cycle.

120. دور سياسة التأمين في مواجهة المخاطر المصرفية.

121. The Cost of a Currency Peg during the Great Recession.

122. Central bank policy rate announcements and high-frequency intra-day benchmark stock returns reaction dynamics: Evidence from South Africa.

123. On the monetary policy in an economy with banks endogenously creating money.

124. Multinational Banks and Supranational Supervision.

125. The World Bank and Education Policy in Colombia: A Comparative Analysis of the Effects of International Organizations' Learning on Domestic Policy.

126. Stability and insolvency sensitivity to Tunisian bank specific and macroeconomic effects.

127. Impact of Financial Distress on the Dividend Policy of Banks in India.

128. Monetary policy, ownership structure, and risk‐taking at financial intermediaries.

129. The monetary policy strategy of the Bank of England in 2020–21: An assessment.

130. Bank supervision between risk reduction and economic renewal.

131. EL RESCATE DEL OLIGOPOLIO BANCARIO ESPAÑOL.

132. Systemic stablecoin and the brave new world of digital money.

133. OPEN BANKING: BETWEEN COOPERATION AND COMPETITION.

134. OPEN BANKING: BETWEEN COOPERATION AND COMPETITION.

135. Design and Analysis of Organizational Resilience Model in Banking Industry (Case study: Bank Melli Iran).

136. How monetary policy affects industrial activity in Malawi: Evidence from ARDL and VAR models.

137. Central bank coordinated policies and bank market power: an insight from the African context.

138. Anti-money laundering regulations' effectiveness in ensuring banking sector stability: Evidence of Western Balkan.

139. İç Borçlanmanın Makroekonomik Etkileri: Türkiye Örneği.

140. The Impact of Monetary Policy on Bank Lending in Romania in the Context of Covid-19.

141. The African Development Bank and the Accountability Policy Norm: Endogenous Change, Norm Conformance, and the Development Finance Regime Complex.

142. Impact of bank regulation on risk of Islamic and conventional banks.

143. Poverty in Sub-Africa: Reflecting on the Failure of International Global Governance.

144. Corruption and bank efficiency: Expanding the 'sand or grease the wheel hypothesis' for the Gulf Cooperation Council.

145. How Chinese firms approach investment risk: strong leaders, cancellation, and pushback.

146. Monetary policy, prudential policy and bank's risk‐taking: A literature review.

147. How do firms form inflation expectations? Empirical evidence from the United States.

148. Measuring Central Bank's Policy Effectiveness in Affecting Intention to Use New Payment Platform During The COVID-19 Pandemic.

149. Kısa Vadeli Sermaye Hareketleri ve Faiz Oranları Arasındaki İlişki: Türkiye Örneği.

150. Central Banking, Monetary Policy and the Future of Money.

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