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1. Bank sentiment and liquidity hoarding.

3. Bank liquidity supply, corporate liquidity management, and investment: evidence from the 1998 Russian crisis.

4. Liquidity Transformation and Fragility in the U.S. Banking Sector.

5. Do banks adjust their capital when they face liquidity shortages? Evidence from U.S. commercial banks.

6. Social unrest and bank liquidity creation: evidence from MENA banks.

7. Assessing China's bank risk-taking: a study from the microeconomic and macroeconomic perspectives.

8. The double-edged effect of bank liquidity creation efficiency on systemic risk: Evidence from China.

9. Uncertainty and the transmission of monetary policy via bank liquidity creation.

10. Real asset liquidity and accounting conservatism: evidence from asset redeployability.

11. News Sentiment and Liquidity Risk Forecasting: Insights from Iranian Banks.

12. Bank Culture and Bank Liquidity Creation.

13. Sicherheitenliste der EZB fördert Kreditvergabe, aber Finanzintegration bleibt begrenzt.

14. Enhancing Micro, Small, and Medium Credit (MSME) through P2P Platforms in Normal and Tight Banking Liquidity.

15. Bank intermediation efficiency and liquidity risk in Egypt: a two-stage non-parametric analyses.

16. Effects of macro-financial shocks on bank liquidity creation: evidence from Mongolia.

17. Universal banking powers and liquidity creation.

18. Managing bank liquidity hoarding during uncertain times: The role of board gender diversity.

19. The Determinants of Liquidity: A Comparison of Islamic and Conventional Banks Covering the COVID-19 Period.

20. Liquidity Risk Mediation in the Dynamics of Capital Structure and Financial Performance: Evidence from Jordanian Banks.

21. Do Community Banks Stabilize Housing Prices?

22. Does Bank Size Matter on Performance and Liquidity Risk Management? Evidence From Commercial Banks in Tanzania.

23. Impact of banking subsystem liquidity creation on real economic output.

24. Monetary policy and treasury market functioning.

25. Climate change and the European banking sector: the effect of green technology adaptation and human capital.

26. Bank capital and liquidity creation in Sub-Saharan Africa: the role of quality institutions.

27. Analysis on bank performance indicators of select public and private sector banks in India.

28. Bank liquidity risk management through stable and volatile markets: The role of the asset-liability committee and lessons learned for the balance sheet governance operating model.

29. China's crisis management and market exit mechanism for banks—What is the way forward?

30. THE IMPACT OF CAPITAL AND LIQUIDITY REQUIREMENTS ON THE LENDING ABILITY OF BANKS IN PAKISTAN.

31. The Effects of Interest Rates on Bank Risk-Taking in South Africa: Do Cyclical and Location Asymmetries Matter?

32. Competition, liquidity creation and bank stability.

33. Analisis Pengaruh Pembiayaan, Dana Pihak Ketiga (DPK), dan Penanganan Kredit Macet (NPF) Terhadap Likuiditas Bank Syariah Indonesia (BSI).

34. GCC banks liquidity and financial performance: does the type of financial system matter?

35. No more tears without tiers? The impact of indirect settlement on liquidity use in TARGET2.

36. Hot money inflows and bank risk‐taking: Germany from the 1920s to the Great Depression.

37. Monetary and Currency Policies and Liquidity Risk of Commercial Banks with Emphasis on the Sanctions Period.

38. Liquidez y rentabilidad de las Cajas Municipales de Ahorro y Crédito del Perú: Periodo 2020 - 2022.

39. Monetary Policy Decisions’ Impacts on Bank Leverage and Liquidity Ratios in Türkiye.

40. Determinants of Green Credit and Their Influence on Banking Profitability in Indonesia.

41. The Impact of Liquidity Strategy on Banking Performance in the ASEAN Region.

42. Assessing Machine Learning Techniques for Predicting Banking Crises in India.

45. The effect of liquidity creation on systemic risk: evidence from European banking sector.

46. Financial stability, liquidity risk and income diversification: evidence from European banks using the CAMELS–DEA approach.

47. Optimal Bank Regulation in the Presence of Credit and Run Risk.

48. Impact of specific liquidity shocks on the bank's solvency.

49. Synthetic Central Bank Digital Currencies and Systemic Liquidity Risks.

50. Investment externalities, bank liquidity creation, and bank failures.

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