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Bøker i Finanzwirtschaft, Banken und Bankmanagement I Finance, Banks and Bank Management-serien

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  • - How Governments Should Manage Their Exposure to Banking System Risk
    av Sebastian C. Moenninghoff
    1 545,-

    Sebastian Moenninghoff provides an extensive overview of the status of the 'Too-Big-to-Fail' doctrine post-crisis and develops the first comprehensive framework to categorize and discuss the full range of major policy options for regulating banks.

  • av Gevorg Hunanyan
    654,-

    Gevorg Hunanyan develops a model that provides a comprehensive theoretical framework to study the consequences of short-sale constraints on the stability of financial markets. The author develops criteria that allow to analyse the effectiveness of short-sale constraints in reducing portfolio risk as well as default risk.

  • av Tom Filip Lesche
    1 545,-

    The results suggest that the G-SIB designation effect, which positively impacts G-SIBs' share prices because of funding benefits from IGGs, is dominated by the regulatory G-SIB burden effect, which negatively impacts G-SIBs' share prices because of lower profitability due to capital surcharges and other regulatory requirements placed on G-SIBs.

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