Results 41 to 50 of about 40,899 (212)

Bank Liquidity and the Global Financial Crisis [PDF]

open access: yesJournal of Applied Mathematics, 2012
We investigate the stochastic dynamics of bank liquidity parameters such as liquid assets and nett cash outflow in relation to the global financial crisis. These parameters enable us to determine the liquidity coverage ratio that is one of the metrics used in ratio analysis to measure bank liquidity.
Gideon, Frednard   +3 more
openaire   +4 more sources

CD INDEX, A NEW METHODS FOR MEASURE BANKING CRISIS

open access: yesManajemen dan Bisnis, 2016
The global financial crisis has a bad impact for domestic financial systems. Banking system is important component from financials system which has more attention.
Amir Ambyah Zakaria, Musdholifah .
doaj   +1 more source

REALITIES AND EFFECTIVENESS OF THE UKRAINIAN BANKING SYSTEM

open access: yesФінансово-кредитна діяльність: проблеми теорії та практики, 2022
The paper deals with the analysis of the banking system of Ukraine. It is shown that for Ukraine the frequency and depth of crisis phenomena in the banking sector are exacerbated by the raw material orientation of the economy, underdeveloped domestic ...
Maryna Korol   +5 more
doaj   +1 more source

DEVELOPMENTS OF THE ROMANIAN BANKING SECTOR AFTER THE FINANCIAL CRISIS [PDF]

open access: yesBuletin ştiinţific: Universitatea din Piteşti. Seria Ştiinţe Economice, 2018
Some CEE banking sectors performed better than the Western EU banking sectors in terms of profitability, liquidity or solvency. Still, there are some CEE banking markets very hit by the last financial crisis.
Magdalena RADULESCU
doaj  

Three Objectives of International banking Regulation: Analysis of Their Interrelationship and Issues

open access: yesФинансы: теория и практика, 2023
In response to the Global Financial Crisis of 2008–2009, international financial regulators tightened the regime of banking supervision in order to minimize systemic risks, strengthen banking sector resilience and ensure financial stability.
E. P. Dzhagityan, O. R. Mukhametov
doaj   +1 more source

Financial Crisis and Bank Lending [PDF]

open access: yesFederal Reserve Bank of San Francisco, Working Paper Series, 2010
This paper estimates the amount of tightening in bank commercial and industrial (C&I) loan rates during the financial crisis. After controlling for loan characteristics and bank fixed effects, as of 2010:Q1, the average C&I loan spread was 66 basis points or 23 percent above normal.
openaire   +2 more sources

BANKING SECTOR MODERNIZATION(SPANISH RECIPE)

open access: yesИбероамериканские тетради, 2017
The aim of the research is to analyze transformation of the Spanish banking sector after the financial crisis of the year 2008. The author examines a hypothesis that banking system played an important role in the development of Spain’s economy.
Timofey Malashenko
doaj   +1 more source

Banking Crises and Market Discipline in Indonesian Banking Industry

open access: yesJurnal Akuntansi dan Keuangan, 2017
This study analyzes the effect of banking crises towards market discipline in Indonesia. This study uses two periods of crisis in Indonesia, which are banking crisis in 1997/1998 and banking crisis in 2008.
George Adam Sukoco Sikatan   +1 more
doaj  

Analysis of banking sector performance during the COVID-19 pandemic: Key lessons [PDF]

open access: yesEkonomski Signali
Only a few years after the global economic crisis, the world economy, which has not yet fully recovered from its effects, has faced a new crisis that significantly impacted the banking sector.
Mrvaljević Mirjana   +2 more
doaj   +1 more source

Japan's Banking Crisis: Who has the Most to Lose? [PDF]

open access: yes
Japan has experienced a deep and prolonged banking crisis in the 1990s. In this paper we attempt to identify the characteristics of companies which have the most to lose from the banks' malaise.
Miyajima, Hideaki, Yafeh, Yishay
core   +2 more sources

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