1437 documents matched the search for G21 in titles and keywords.
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India-Africa in G21: The Challenge of Nutrition Security, Ashok Gulati and Shyma Jose,
from Indian Council for Research on International Economic Relations (ICRIER), New Delhi, India
(2023)
Keywords: G21, Nutrition, mortality rate, agriculture, food, icrier
Regulierungsvorschriften für europäische Staatsanleihen und ihre Wirkung, Wolfgang Disch and Kai Schleberger,
in Wirtschaftsdienst
(2015)
Keywords: G21,
Customer Behaviour and B2C Client Segmentation in Data-Driven Society, Petra Jílková,
in International Advances in Economic Research
(2020)
Keywords: G21, G31
The Cost of Bank Regulatory Capital, Matthew C Plosser and Joao Santos,
in The Review of Financial Studies
(2024)
Keywords: G21, G28
Das europäische Bankensystem: Bestandsaufnahme und Herausforderungen, Isabel Schnabel,
in Wirtschaftsdienst
(2014)
Keywords: G21, G28,
The Dynamics of Loan Sales and Lender Incentives, Sebastian Gryglewicz, Simon Mayer and Erwan Morellec,
in The Review of Financial Studies
(2024)
Keywords: G21, G32
Der antizyklische Kapitalpuffer: Reformoptionen, Lukas Menkhoff,
in Wirtschaftsdienst
(2022)
Keywords: G21, G28
Contrôle prudentiel et détection des difficultés financières des banques: Quel est l'apport de l'information de marché ?, Isabelle Distinguin, Philippe Rous and Amine Tarazi,
from HAL
(2006)
Keywords: G21,G28
Do Bank Loans to Financially Distressed Firms Lead to Innovation?, Minjung Kim and Jungsoo Park,
in The Japanese Economic Review
(2017)
Keywords: O31, G21
A note on alternative financial service providers and the spatial void hypothesis, Marvin Smith, John Wackes and Tony Smith,
in The Annals of Regional Science
(2013)
Keywords: G21, C12,
A semiparametric stochastic input distance frontier model with application to the Indonesian banking industry, Kai Sun and Ruhul Salim,
in Journal of Productivity Analysis
(2020)
Keywords: D24, G21
ECONOMETRIC MODEL FOR DEFAULT RISK IN BANKS, Ioan Batrancea, Ioan Stoia, Sandor Csegedi, Andrei Moscviciov, Anca Nichita and Diana Andone,
in Academica Science Journal, Economica Series
(2013)
Keywords: JEL: G21
Relationship Banking in the Residential Mortgage Market? Evidence from Switzerland, Martin Brown and Matthias Hoffmann,
in Swiss Journal of Economics and Statistics
(2016)
Keywords: G21, D14
Analyse der Mehrjahresentwicklung der Effizienz von Sparkassen unter Einsatz der Data Envelopment Analysis und des Malmquist-Index, Thomas Padberg and Thomas Werner,
in Schmalenbach Journal of Business Research
(2005)
Keywords: G21, G28
Modellkonsistente Bestimmung des LGD im IRB-Ansatz von Basel II, Marc Gürtler and Dirk Heithecker,
in Schmalenbach Journal of Business Research
(2006)
Keywords: G21, G28
Total Expense Ratio — eine empirische Untersuchung der Zusatzkosten von Investmentfonds, Franz Diboky and Jörg Finsinger,
in Schmalenbach Journal of Business Research
(2006)
Keywords: G21, G28
Lehren aus den Ursachen und dem Verlauf der internationalen Finanzkrise, Bernd Rudolph,
in Schmalenbach Journal of Business Research
(2008)
Keywords: G15, G21
The Future of Peer-to-Peer Finance, Sebastian C. Moenninghoff and Axel Wieandt,
in Schmalenbach Journal of Business Research
(2013)
Keywords: G21, G28
The third leg of the stool: Financial stability as a prerequisite for EMU, Ivo Arnold,
in Review of World Economics (Weltwirtschaftliches Archiv)
(1999)
Keywords: E58, G21,
Stress Testing and Bank Lending, Joel Shapiro and Jing Zeng,
in The Review of Financial Studies
(2024)
Keywords: G21, G28
“Following” or “attracting” the customer? Japanese Banking FDI in Europe, Marc Ruhr and Michael Ryan,
in Atlantic Economic Journal
(2005)
Keywords: F23, G21,
Ethics and Banking, Inmaculada Carrasco,
in International Advances in Economic Research
(2006)
Keywords: Z1, G21,
Why Did Bank Stocks Crash during COVID-19?, Viral V Acharya, Robert Engle, Maximilian Jager and Sascha Steffen,
in The Review of Financial Studies
(2024)
Keywords: G01, G21
Predatory Lending and Mortgage Default, Robert Taylor and Andrew Nelson,
in Journal of Economics and Econometrics
(2018)
Keywords: D14, D18, G01, G21.
L'exclusion financière en France: une lecture en filigrane des modèles économiques bancaires, Jean-Marc Figuet and Fabienne Pinos,
from HAL
(2014)
Keywords: Classification JEL: G21,G28.
Completing the Banking Union with a European deposit insurance scheme: who is afraid of cross-subsidization?, Jacopo Carmassi, Sonja Dobkowitz, Johanne Evrard, Laura Parisi, André F Silva and Michael Wedow,
in Economic Policy
(2020)
Keywords: G01, G20, G21, G28
Who Can Tell Which Banks Will Fail?, Kristian Blickle, Markus Brunnermeier and Stephan Luck,
in The Review of Financial Studies
(2024)
Keywords: G01, G21, N20, N24
Special Issue in memoriam Jacob Spronk: new developments in Financial Modelling and their impact on society beyond Finance, Rita Laura D’Ecclesia, Anoop Rai, Karen Watkins-Fassler and Onno Steenbeek,
in Review of Managerial Science
(2024)
Keywords: G11, G21, G32
Systemic Risk in the Banking Sector – The German Model, Hans-Peter Burghof and Horst Gischer,
in Vierteljahreshefte zur Arbeits- und Wirtschaftsforschung
(2024)
Keywords: G21, G28, L22, L51,
Transformationsrisiken in den Kreditportfolios: Die Kohlenstoffabhängigkeit der Bankkredite, Markus Demary, Anna-Maria Hagenberg and Niklas Taft,
in Vierteljahreshefte zur Arbeits- und Wirtschaftsforschung
(2024)
Keywords: G21, G28, G32,
Net Zero erfordert leistungsfähige Kreditwirtschaft, Andreas Bley,
in Vierteljahreshefte zur Arbeits- und Wirtschaftsforschung
(2024)
Keywords: G21, E51, Q01,
Zeitenwende auf den deutschen Immobilienmärkten, Marcel Tyrell,
in Vierteljahreshefte zur Arbeits- und Wirtschaftsforschung
(2024)
Keywords: R31, G21, G01, G51,
The Imitation Game: The Imitation Game: How Encouraging Renegotiation Makes Good Borrowers Bad, Sean Flynn, Andra Ghent and Alexei Tchistyi,
in The Review of Financial Studies
(2024)
Keywords: E44, G14, G21
Das europäische Finanzsystem nach dem Zypernprogramm, Christian Kopf,
in Wirtschaftsdienst
(2013)
Keywords: G01, G21, G38,
Staaten und Banken – ein konkreter Regulierungsvorschlag, Carl-Christoph Hedrich and Dominic Hepp,
in Wirtschaftsdienst
(2015)
Keywords: G21, G28, H63,
A Dynamic Theory of Lending Standards, Michael J Fishman, Jonathan Parker and Ludwig Straub,
in The Review of Financial Studies
(2024)
Keywords: D82, G21, G01, G10
Stock Repurchases, ESG Ratings and Systemic Risk in Banking, Thomas Gehrig,
in Vierteljahreshefte zur Arbeits- und Wirtschaftsforschung
(2024)
Keywords: E63, G21, G28, H25,
Bank efficiency and leasing in U.S.A. banking system, Konstantinos Andriakopoulos, Augoustinos Ladas and Panagiotis Andriakopoulos,
from University Library of Munich, Germany
(2020)
Keywords: C33; G21; G30
Systemically important banks: an analysis for the European banking system, Helmut Elsinger, Alfred Lehar and Martin Summer,
in International Economics and Economic Policy
(2006)
Keywords: C15, E53, G21,
Borrowing constraints, own labour and homeownership: does it pay to paint your walls?, Peter Lindner, Thomas Mathä, Michael Ziegelmeyer and Giuseppe Pulina,
from European Central Bank
(2020)
Keywords: D14, E43, G21, R21
Adverse Selection and Climate Risk: A Response to Ouazad and Kahn (2022), Michael LaCour-Little, Andrey Pavlov and Susan Wachter,
in The Review of Financial Studies
(2024)
Keywords: G21, G28, R33
The Certification Role of pre-IPO Banking Relationships: Evidence from IPO Underpricing in Japan, Yoshiaki Ogura,
in The Japanese Economic Review
(2017)
Keywords: G21, L14, D82
Effect of Bank Mergers on Client Firms: Evidence from the Credit Supply Channel, Heather Montgomery and Yuki Takahashi,
in The Japanese Economic Review
(2018)
Keywords: G21, G34, L14
The economics of netting in financial networks, Edoardo Gaffeo, Lucio Gobbi and Massimo Molinari,
in Journal of Economic Interaction and Coordination
(2019)
Keywords: C63, D85, G21
Spatial patterns in the location decisions of US credit unions, Steven Deller and Reka Sundaram-Stukel,
in The Annals of Regional Science
(2012)
Keywords: G21, L39, R30,
The effect of bank branch closures on new firm formation: the Swedish case, Cynthia Sin Tian Ho and Björn Berggren,
in The Annals of Regional Science
(2020)
Keywords: L26, G21, R11, C33
Basel Compliance and Financial Stability: Evidence from Islamic Banks, Mohammad Bitar, Sami Ben Naceur, Rym Ayadi and Thomas Walker,
in Journal of Financial Services Research
(2021)
Keywords: G18, G21, P51
Lasting lending relationships and technical efficiency. Evidence on European SMEs, Mariarosaria Agostino, Sabrina Ruberto and Francesco Trivieri,
in Journal of Productivity Analysis
(2018)
Keywords: G20, G21, D24, L60
Bank interest rates in a small European economy: Some exploratory macro level analyses using Finnish data, Karlo Kauko,
from University Library of Munich, Germany
(2005)
Keywords: G21, E43, E44
Macroprudential Policy and Credit Supply, Jose-Luis Peydro,
in Swiss Journal of Economics and Statistics
(2016)
Keywords: E58, G01, G21, G28
Risikofaktoren und Korrelationen für Bonitätsveränderungen, Alfred Hamerle and Daniel Rösch,
in Schmalenbach Journal of Business Research
(2003)
Keywords: C23, G21, G28
Ökonometrische Verfahren zur Modellierung von Kreditausfallwahrscheinlichkeiten: Logit- und Probit-Modelle, Ulrich Kaiser and Andrea Szczesny,
in Schmalenbach Journal of Business Research
(2003)
Keywords: C23, C25, G21
Der Markenwert von Banken — Messung komplexer Sachverhalte mit modernen Verfahren, Georg Wübker and Jens Baumgarten,
in Schmalenbach Journal of Business Research
(2004)
Keywords: M10, C42, G21
Führt das Rating nach Basel II zu einer freiwilligen Umstellung der Rechnungslegung von den handelsrechtlichen GoB zu den IFRS?, Stefan Wielenberg,
in Schmalenbach Journal of Business Research
(2007)
Keywords: G21, G30, M41
Studienfinanzierung in Deutschland: Potenziale und Risiken für Finanzdienstleister, Kathrin Braunwarth, Hans Ulrich Buhl, Tobias Gaugler and Nina Kreyer,
in Schmalenbach Journal of Business Research
(2007)
Keywords: G21, I22, J24
Kohärente Risikomessung versus individuelle Akzeptanzmengen — Anmerkungen zum impliziten Risikoverständnis des “Conditional Value-at-Risk”, Wolfgang Kürsten and Mario Brandtner,
in Schmalenbach Journal of Business Research
(2009)
Keywords: D81, G11, G21
The Financial Crisis: Observations and Implications, Axel Wieandt and Sebastian C. Moenninghoff,
in Schmalenbach Journal of Business Research
(2011)
Keywords: G21, G28, G34
Funktionen, Risiken und Regulierung von Schattenbanken, Bernd Rudolph,
in Schmalenbach Journal of Business Research
(2012)
Keywords: G21, G23, G28
Die Risikoberichterstattung deutscher Banken: Erhebung des Branchenstandards, Tobias Schlüter, Thomas Hartmann-Wendels, Tim Weber and Michael Zander,
in Schmalenbach Journal of Business Research
(2014)
Keywords: G01, G21, G28
Housing bust, bank lending & employment: Evidence from multimarket banks, David Glancy,
in Journal of Banking & Finance
(2021)
Keywords: E24; E44; G21;
Counteracting offshore tax evasion: Evidence from the foreign account tax compliance act, D’Avino, Carmela,
in International Review of Law and Economics
(2023)
Keywords: G21; G28; H26; H87;
Relationship Networks in Banking Around a Sovereign Default and Currency Crisis, Pablo D’Erasmo, Hernan Moscoso Boedo, María Pía Olivero and Máximo Sangiácomo,
in IMF Economic Review
(2020)
Keywords: E32, G21, H63, N26
Does discrimination in lending still persist?, Harold A Black,
in Public Choice
(2023)
Keywords: G21, G18, G28, J15
How to Improve the Quality of Stress Tests through Backtesting, Adam Gersl and Jakub Seidler,
in Czech Journal of Economics and Finance (Finance a uver)
(2012)
Keywords: E44, E47, G21
High water, no marks? Biased lending after extreme weather, Nicola Garbarino and Benjamin Guin,
from Bank of England
(2020)
Keywords: D12; G21; Q51; Q54
Microfinance and Financial Sector Development, Annabel Vanroose and Bert D’Espallier,
from ULB -- Universite Libre de Bruxelles
(2009)
Keywords: O16; O50; G21
Transnational and Regional Banks, Elena K. Volkova,
from Palgrave Macmillan
(2021)
Keywords: G01, G21, G28
Measuring heterogeneity in bank liquidity risk: who are the winners and the losers?, Jean-Loup Soula,
from Laboratoire de Recherche en Gestion et Economie (LaRGE), Université de Strasbourg
(2015)
Keywords: E51, G21, G28, G32.
India’s Credit Landscape in a Post-pandemic World, Rajeswari Sengupta and Harsh Vardhan,
from Springer
(2023)
Keywords: G21, G23, G28
Bank Deposits from the Position of Attractiveness for Investments by Individuals, Sergey V. Rykov,
from Springer
(2017)
Keywords: G20, G21, E40
Disclosure of Bank-Specific Information and the Stability of Financial Systems, Liang Dai, Dan Luo and Ming Yang,
in The Review of Financial Studies
(2024)
Keywords: D83, G01, G21, G28
Determinants of Mortgage Loan Fraud: Empirical Evidence from Germany, Gregor Dorfleitner and Hilger Jahnes,
in Schmalenbach Journal of Business Research
(2014)
Keywords: D14, g21, K14
Automatic for the (tax) people: information sharing and cross-border investment in tax havens*, Agustín Bénétrix, Lorenz Emter and Martin Schmitz,
in Economic Policy
(2024)
Keywords: G21, G28, H26, H87, K34
Macroprudential Policy, Mortgage Cycles, and Distributional Effects: Evidence from the United Kingdom, Jose-Luis Peydro, Francesc Rodriguez-Tous, Jagdish Tripathy and Arzu Uluc,
in The Review of Financial Studies
(2024)
Keywords: E5, G01, G21, G28, G51
Shocked by Bank Funding Shocks: Evidence from Consumer Credit Cards, Sudheer Chava, Rohan Ganduri, Nikhil Paradkar and Linghang Zeng,
in The Review of Financial Studies
(2023)
Keywords: G20, G21, G28, G50, G51
Prudence as a competitive advantage: On the effects of competition on banks' risk-taking incentives, Roman Inderst,
in European Economic Review
(2013)
Keywords: G21; Keywords:; Banking; Risk taking;
Access to banking, savings and consumption smoothing in rural India, Vincent Somville and Lore Vandewalle,
in Journal of Public Economics
(2023)
Keywords: C93; D14; G21; O16; O12;
The impact of large lending on bank efficiency in U.S.A, Konstantinos Andriakopoulos and Kostantinos Kounetas,
from University Library of Munich, Germany
(2019)
Keywords: JEL classifications: C33; G21; G30
Effectiveness and channels of macroprudential policies: lessons from the Euro area, Yuanyan Zhang and Thierry Tressel,
in Journal of Financial Regulation and Compliance
(2017)
Keywords: E32, E4, E5, G01, G21
The relationship between competition and risk-taking behaviour of Indian banks, Sanjukta Sarkar and Rudra Sensarma,
in Journal of Financial Economic Policy
(2016)
Keywords: Banks, Market structure, G21, G28
Modelos de alerta temprana para pronosticar crisis bancarias: desde la extracción de señales a las redes neuronales, Christian Johnson,
in Revista de Analisis Economico – Economic Analysis Review
(2005)
Keywords: E44, G21, C23, C25, C45
Islamic Banks and Financial Stability: An Empirical Analysis, Martin Cihak and Heiko Hesse,
in Journal of Financial Services Research
(2010)
Keywords: Islamic banking, Financial stability, G21,
THE CAUSAL RELATIONSHIP BETWEEN BANK CAPITAL AND PROFITABILITY, David E. Hutchison and Raymond Cox,
in Annals of Financial Economics (AFE)
(2007)
Keywords: Banks, capital profitability, G21, G32
For Whom the Levy Tolls: The Case of a Macroprudential Stability Levy in South Korea, JaeBin Ahn, Youngju Kim and Hyunjoon Lim,
in IMF Economic Review
(2022)
Keywords: F31, F38, F42, G15, G21
Systemic Risk and Monetary Policy: The Haircut Gap Channel of the Lender of Last Resort, Martina Jasova, Luc Laeven, Caterina Mendicino, Jose-Luis Peydro and Dominik Supera,
in The Review of Financial Studies
(2024)
Keywords: E44, E52, E58, G01, G21
Methodology of Compiling Sectoral Financial Balancies in the National Economy, Mikhail Khromov and Alexey Vedev,
from Russian Presidential Academy of National Economy and Public Administration
(2015)
Keywords: E21, E41, E51, E58, G21
Monetary and Macroprudential Policy Complementarities: evidence from European credit registers, Carlo Altavilla, Luc Laeven and Peydró, José-Luis,
from C.E.P.R. Discussion Papers
(2020)
Keywords: E51; E52; E58; G21; G28
Monetary Policy and Bank Profitability in a Low Interest Rate Environment, Miguel Boucinha, Carlo Altavilla and José-Luis Peydró,
from Barcelona School of Economics
(2019)
Keywords: E52, E43, G01, G21, G28
State, banks and liquidity, Roberto Ruozi,
in Banca Impresa Società
(2012)
Keywords: State, banks, liquidity. JEL classification: G21; G28.
How do Large Firms Manage their Banking Pools?, Thomas David and Michael Troege,
in Finance
(2023)
Keywords: Banking, Relationship lending, G21, O12, L26
Long Term Reform and the Banking Crisis, Jacques Melitz,
in Open Economies Review
(2010)
Keywords: Banking crisis, Monetary policy, E58, G21,
Bank Concentration and Product Market Competition, Farzad Saidi and Daniel Streitz,
in The Review of Financial Studies
(2021)
Keywords: E23, E32, E44, G20, G21, L14
Impact of Basel III framework on financial distress: A case study of Pakistan, Irum Saba, Hafiz Muhammad Waqas Ashraf Ashraf and Rehana Kouser,
in Journal of Accounting and Finance in Emerging Economies
(2017)
Keywords: G21, G33, G32, Framework, Financial distress
International banking: a comprehensive review of the literature, Lorenzo Esposito and Emanuela Atripaldi,
in Banca Impresa Società
(2011)
Keywords: G21; F36; International banking, crisis, globalization, SIFI.
Islamic banking and risk: The impact of Basel II, Alexandra Zins and Laurent Weill,
in Economic Modelling
(2017)
Keywords: G21; Islamic banking; Risk; Financial stability;
Heterogeneity in lending and sectoral growth: evidence from German bank-level data, Andrea Schertler, Claudia Buch and Natalja Westernhagen,
in International Economics and Economic Policy
(2006)
Keywords: Bank lending, Heterogeneity, Sectoral growth, G21, F3,
The role of controls in the international financial crisis, Giovanna Tagliabue,
in International Review of Economics
(2009)
Keywords: Financial institution, Banks, Globalization, G20, G21, F3,
Financial innovation: theoretical issues and empirical evidence in Italy and in the UK, Bruno Rossignoli and Francesca Arnaboldi,
in International Review of Economics
(2009)
Keywords: Bank, Innovation, Technology, G21, O32, O33,
The Role of a Corporate Bond Market in an Economy -- and in Avoiding Crises, Nils H. Hakansson,
from Research Program in Finance, Institute for Business and Economic Research, UC Berkeley
(1999)
Keywords: G21, G28, G31, G32, G33, G34
Revenue diversification and financial sustainability of microfinance institutions, Peter Nderitu Githaiga,
in Asian Journal of Accounting Research
(2021)
Keywords: Microfinance, Revenue diversification, Financial sustainability, G21, L31
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