Results 11 to 20 of about 272,317 (182)

Effective Governance of Global Financial Markets:An Evolutionary Plan for Reform [PDF]

open access: yes, 2013
Runaway electrons, which are generated in a plasma where the induced electric field exceeds a certain critical value, can reach very high energies in the MeV range.
Decker, J.   +5 more
core   +5 more sources

Modelo de puntuación crediticia para tarjeta de crédito en México: una aproximación logística

open access: yesEnsayos Revista de Economía, 2022
El riesgo de crédito es una de las principales preocupaciones de los organismos de supervisión y regulación financiera, así como de las instituciones bancarias.
Marco Antonio Reyes Morales   +1 more
doaj   +1 more source

STATUTORY REGULATION OF THE BANKING SECTOR RISKS: PROBLEMS AND KEY OBJECTIVES

open access: yesФинансы: теория и практика, 2017
In the situation of the financial markets instability, more fierce competition in the banking sector, including international financial institutions, increasingly high complexity of bank transactions along with banks’ access to risk hedging tools, the ...
Ye. I. Meshkova
doaj   +1 more source

Components of Financial Stability of Credit Institutions: A New Perspective and New Horizons

open access: yesJournal of Reviews on Global Economics, 2018
The article discloses a financial model characterizing the stability of credit institutions. In addition to the traditional quantitative indicators of the bank's activities, such as capital, assets, profit of the credit institution and others, relative indicators are of particular importance for assessing the effectiveness of banking activities.
Davydov Vyacheslav Anatolievich   +3 more
openaire   +1 more source

An Application of Generalized Moments Method to Examine the Management Behavior during Peak Season A Study in Islamic Micro Finance Industry

open access: yesMATEC Web of Conferences, 2018
In the current highly competitive finance industry, it is important that any financial institution to develop a proper strategy to compete in the market. More specifically, the finance managers need to have an appropriate liquidity and stability strategy
Nurhidayat Yayat
doaj   +1 more source

Loan Interest Rate Uncertainty and Financing SMEs Listed in Tehran Stock Exchange [PDF]

open access: yesJournal of Asset Management and Financing, 2021
The role and importance of small and medium-sized enterprises is controversial not only in developing countries but also in developed countries. Internal and external surveys of small and medium-sized firms indicate that financing is one of the most ...
Davoud Safi Dastjerdi   +2 more
doaj   +1 more source

The Credit Risk Transfer Market and Stability Implications for U.K. Financial Institutions

open access: yesIMF Working Papers, 2006
The increasing ability to trade credit risk in financial markets has facilitated its dispersion across the financial and other sectors. However, specific risks attached to credit risk transfer (CRT) instruments in a market with still-limited liquidity means that its rapid expansion may actually pose problems for financial sector stability in the event ...
Li L Ong, Jorge A Chan-Lau
openaire   +3 more sources

IMPROVING THE EFFICIENCY OF REGIONAL BANKS IN THE REGIONS OF THE RUSSIAN ARCTIC BY OPTIMIZING INTERACTION WITH AUTHORITIES

open access: yesСевер и рынок: формирование экономического порядка, 2022
The article is devoted to the analysis of ways to improve the efficiency of regional banks in the regions of the Russian Arctic. The approaches to the allocation of regional banking structures and the features of the organization of their activities are
Roman V. Badylevich, Elena A. Verbinenko
doaj   +1 more source

Validation Techniques of the Intern Models for Credit Risk [PDF]

open access: yesTheoretical and Applied Economics, 2006
The new own funds adequacy device, officialy named “ International Convergence of Capital Measurement and Capital Standards”, describes the most important benchmark framework for micro-prudential supervision at the moment.
Nicolae Dardac, Bogdan Moinescu
doaj   +1 more source

Keeping the Genie in the Bottle: Grading the Regulation of Canadian Financial Institutions [PDF]

open access: yesThe School of Public Policy Publications, 2014
The Canadian financial sector made it through the recent global credit crisis in better shape than most. Still the government undertook extraordinary measures to support the soundness of Canadian financial institutions.
John F. Chant
doaj   +4 more sources

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