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Some of the next articles are maybe not open access.

Value-at-Risk Disclosure of Banks

2011
The after effects of the financial crisis have lead many regulatory bodies to come up with solutions to the financial disasters. The effectiveness of many risk management engagements has been questioned due to the market turmoil. This period gave rise to the importance of risk management framework and the purpose of this dissertation is to study the ...
openaire   +2 more sources

Managing Incoterms 2010 risks: tension with trade and banking practices

International Journal of Economics and Business Research, 2013
Roberto Bergami
exaly  

Effects of shadow banking on bank risks from the view of capital adequacy

International Review of Economics and Finance, 2019
Meng-Wen Wu
exaly  

Bank Risks

2016
openaire   +1 more source

No need to worry? Estimating the exposure of the German banking sector to climate-related transition risks

Journal of Sustainable Finance and Investment
Tobias Hertel, Paola D’Orazio
exaly  

Bank Risks

Stuart I. Greenbaum   +2 more
openaire   +1 more source

A methodological framework and tool for assessing the climate change related risks in the banking sector

Journal of Environmental Planning and Management, 2015
Elena Georgopoulou
exaly  

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