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Basel III
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publication
Risk in finance and insurance: Basel III and Solvency II
+1
2015 |
Faculty of Mathematics and Physics
publication
Excessive Credit Growth and Countercyclical Capital Buffers in Basel III: An Empirical Evidence from Central and East European Countries
2012 |
Faculty of Social Sciences
publication
The key challenges of the new bank regulations
2010 |
Faculty of Social Sciences
publication
Procyclicality in Basel III in the Visegrad Countries
2011 |
Faculty of Social Sciences
publication
Procyclicality in Basel III in the Visegrad countries
2012 |
Faculty of Mathematics and Physics, Faculty of Social Sciences
publication
The Challenges of Basel III for the Czech Banking Sector
2011 |
Faculty of Social Sciences
publication
Ther role of insurance in operational risk mitigation - a case study
2012 |
Faculty of Social Sciences
publication
The Level of Capital and the Value of EU Banks under Basel III
2014 |
Faculty of Mathematics and Physics, Faculty of Social Sciences, Central Library of Charles University
publication
The Impact of Basel III on Lending Rates of EU Banks
2013 |
Faculty of Mathematics and Physics, Faculty of Social Sciences
publication
EU Banks' Profitability and Risk Adjustment Decisions under Basel III
2014 |
Faculty of Social Sciences, Central Library of Charles University
publication
Basel III: evaluation and impact in the Czech Republic
2011 |
Faculty of Mathematics and Physics, Faculty of Social Sciences
publication
An institutional analysis of bank regulation
2012 |
Faculty of Mathematics and Physics, Faculty of Social Sciences
publication
The Transmission of Bank Funding to Corporate Loans: Deleveraging in Germany
2015 |
Faculty of Social Sciences
publication
Examining the Interdependencies Between Leverage and Capital Ratios in the Banking Sector of the Czech Republic
2017 |
Publication without faculty affiliation
publication
Counterparty credit risk and interest rate derivatives pricing
Publication without faculty affiliation
publication
Countercyclical Capital Buffers and Credit-to-GDP Gaps: Simulation for Central, Eastern, and Southeastern Europe
2015 |
Faculty of Social Sciences
publication
Systemic Risk in Financial Risk Regulation
2017 |
Faculty of Mathematics and Physics
publication
Examining the Interdependencies between Leverage and Capital Ratios in the CEE Banking Sector
2016 |
Publication without faculty affiliation
publication
Credit Valuation Adjustment Modelling During a Global Low Interest Rate Environment
Publication without faculty affiliation
publication
Systemic Risk of the Global Banking System - An Agent-Based Network Model Approach
2014 |
Faculty of Social Sciences, Central Library of Charles University
publication
Family matters: Concurrent capital buffers in a banking group
Publication without faculty affiliation
publication
Cluster analysis of jumps on capital markets
2016 |
Faculty of Mathematics and Physics, Faculty of Social Sciences, Centre for Economic Research and Graduate Education
publication
Bank Capital and Liquidity Creation : Granger-Causality Evidence
2014 |
Faculty of Social Sciences
publication
Credit Growth and Countercyclical Capital Buffers: Empirical Evidence from Central and Eastern European Countries
Publication without faculty affiliation
publication
Banking crises in emerging economies: can credit variables work as early warnings?
Publication without faculty affiliation
publication
Does Greater Capital Hamper the Cost Efficiency of Banks? A Bi-causal Analysis
2016 |
Faculty of Social Sciences
publication
Interest Rate Swap Credit Valuation Adjustment
2015 |
Faculty of Mathematics and Physics
publication
Price jump indicators : stock market empirics during the crisis
Publication without faculty affiliation
publication
Consistency of banks' internal probability of default estimates: Empirical evidence from the COVID-19 crisis
2023 |
Faculty of Social Sciences, Central Library of Charles University