235 results on '"Capital requirement"'
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2. The Evolution of Prudential Regulation
3. Intangibles in the Assessment of Creditworthiness
4. CRD IV Package Legal Framework
5. What Role for 'Long-term Insurance' in Adaptation? An Analysis of the Prospects for and Pricing of Multi-year Insurance Contracts
6. Solvency Assessment for Insurance Groups in the United States and Europe—A Comparison of Regulatory Frameworks
7. The Sequence of Bank Liberalisation: Financial Repression versus Capital Requirements in Russia
8. Regulatory Reforms in the European Banking Sector
9. Complexity in Regulation
10. KVA
11. Global Banking Regulation after the Great Recession: Basel III, FSB, G20
12. Global Banking Regulation Before the Great Recession: The Dynamics of Basel II
13. Italian Banks Facing Basel 3 Higher Capital Requirements: Which Strategies Are Actually Feasible?
14. Credit Risk Management
15. Fair Value Accounting (FVA) in the Banking Sector
16. Bad Regulation: Basel 2.5 and Basel 3
17. Issues Involved in Regulating Securitization in the Public Interest
18. Toward a Better Regulatory System and Risk Transfer to Real Money Investors
19. What Is Regulation, and What It Can and Can’t Do — In Theory and Practice
20. Securitization, the Global Financial Crisis, and the New Regulatory World
21. Macroprudential Regulation and Bank Performance: Evidence from India
22. Legal Framework for Financial Hybrids in the Banking Industry
23. Can Basel III Work When Basel II Didn’t?
24. Global Governance for Financial Stability
25. Leverage, System Risk and Financial System Health: How Do We Develop a Healthy Financial System?
26. Impact of Bank Regulations on Growth
27. Impact of Monetary Policy and Bank Regulations on Efficiency
28. Convergence of Banking Sectors Regulations
29. Executive Summary
30. Systemic Risk and the Insurance Industry: Principal Linkages and Dependencies
31. Conclusions
32. The Solvency Capital Requirement
33. Introduction
34. Less Likely to Fail: Strengthening Regulation
35. Operationalising the Management of Solvency and Capital
36. Performance Measurement
37. The Financial Crisis as a Crisis of Public Reasoning
38. Regulatory Responses to the Crisis
39. Portfolio Credit Risk Modeling
40. The Ever-evolving Basel Accord
41. Does Securitization Affect Banks’ Liquidity Risk? The Case of Italy
42. Banking Risks
43. Capital Adequacy and Liquidity: the Devil is in Their Detail
44. Basel III: An Overview and a Warning
45. The Regulatory Framework
46. Does Size Matter? The Quest for Transnational Banks
47. Theoretical Framework and Basic Analysis of Monitoring Activities
48. Denmark, 1918–2010: Towards Financial Abyss and Back
49. Better Regulation
50. The Function of Firms: Alternative Views
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