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50.104  Articles
1 of 5.011 pages  |  10  records  |  more records»
Working capital behavior has attracted the attention of researchers in relation to company development and the financial environment. This study aims to investigate the determinants and speed of target adjustment of working capital requirements and to exa... see more

The US Basel III Final Rule was issued by the Banking Agencies (Fed, OCC and FDIC) in July 2013. The Rule implements the international Basel III framework defined by the Basel Committee on Banking Supervision and represents a major overhaul of the US bank... see more

This study aims to analyze the relationship between intellectual capital and organizational trust and its impact on achieving the requirements of entrepreneurship strategy at the level of the study sample based on the study framework model. The nature of ... see more

This paper examines banks’ capital adequacy regulation in Germany. It reviews the capital requirement regulation in Germany from a historical perspective, and identifies general trends. Such analysis allows pointing out some severe problems associated wit... see more

This paper examines capital requirement for financial institutions in order to cover market risk stemming from exposure to foreign currencies. The models examined belong to two groups according to the approach involved: standardized and internal models. I... see more

This study uses a sample of 194 banks from 15 EU countries and two-stage data envelopment analysis (DEA) to provide evidence on the impact of the European Banking Authority (EBA)'s capital exercise on banks' efficiency. In the first stage of the analysis,... see more

The notion of social capital is noble in social science literatures and recently getting noteworthy attention in economics. Its economic relevance has also been well documentedin empirical studies. In this paper, we established relationshipsbetween the st... see more

The proposed risk sensitive minimum requirements of the new Basel capital accord have raised concerns about possible (acceleration of) procyclical behaviour of banking, which might threaten macroeconomic stability. This artic... see more

This study aims at assessing empirically the determinants of changes in risk-weighted bank capital ratios in the 1990s in Germany, France, Italy, the Netherlands, the UK and the US. Both bank-specific characteristics, factors at the banking industry level... see more
Bank |  capital ratios |  1990s |  US |  UK |  EMU

1 of 5.011 pages  |  10  records  |  more records»