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Capital Requirements
Publication
Class
Person
Publication
Programmes
publication
The Effect of Higher Capital Requirements on Bank Lending: The Capital Surplus Matters
Publication without faculty affiliation
publication
Banks' Capital Surplus and the Impact of Additional Capital Requirements
Publication without faculty affiliation
publication
Calculation of the capital requirement for technical risk in non-life insurance using a multiplicative model
2007 |
Faculty of Mathematics and Physics
publication
Salience, systemic risk and spectral risk measures as capital requirements
2021 |
Faculty of Social Sciences, Faculty of Mathematics and Physics, Centre for Economic Research and Graduate Education
publication
The effect of higher capital requirements on bank lending: the capital surplus matters
2022 |
Faculty of Social Sciences
publication
The Impact of Basel III on Lending Rates of EU Banks
2013 |
Faculty of Social Sciences, Faculty of Mathematics and Physics
publication
Does capital-based regulation affect bank pricing policy?
2022 |
Faculty of Social Sciences
publication
Credit Unions as Dynamite on the Czech Financial Market?
2013 |
Publication without faculty affiliation
publication
The Costs of Feeling Sound and Safe - Financial Regulation in the Fi-nancial Crisis Aftermath
2017 |
Faculty of Law
publication
EU Banks' Profitability and Risk Adjustment Decisions under Basel III
2014 |
Faculty of Social Sciences, Central Library of Charles University
publication
Operational risk and economic capital modeling
+1
2010 |
Faculty of Social Sciences
publication
The Transmission of Bank Funding to Corporate Loans: Deleveraging in Germany
2015 |
Faculty of Social Sciences
publication
The Level of Capital and the Value of EU Banks under Basel III
2014 |
Faculty of Social Sciences, Faculty of Mathematics and Physics, Central Library of Charles University
publication
Bank Capital and Liquidity Creation : Granger-Causality Evidence
2014 |
Faculty of Social Sciences
publication
The Application of Extreme Value Theory in Operational Risk Management
2012 |
Publication without faculty affiliation
publication
Micro-level Evidences of Moral Hazard in the European Financial Institutions
2018 |
Publication without faculty affiliation
publication
The theoretical background of operational risk management
2010 |
Faculty of Social Sciences
publication
Does Greater Capital Hamper the Cost Efficiency of Banks? A Bi-causal Analysis
2016 |
Faculty of Social Sciences
publication
Economic and Business Implications of the Post-Crisis Banking Regulation in the United States and the European Union
2017 |
Faculty of Law
publication
Bank capital, lending, and regulation: A meta-analysis
2023 |
Faculty of Social Sciences
publication
Interest Rate Swap Credit Valuation Adjustment
2015 |
Faculty of Mathematics and Physics
publication
Individual Provisionin of Services in the Perestroika era 1988 - 1989 as a Succesor of the Free Business
2023 |
Faculty of Humanities
publication
The importance of operational risk modeling for economic capital management in banking
+2
2010 |
Faculty of Social Sciences
publication
Bank Capital, Liquidity Creation and Deposit Insurance
2017 |
Faculty of Social Sciences
publication
Financial and credit institution recovery and resolution
2020 |
Faculty of Law
publication
Incremental improvement: Evaluating the emancipatory impact of public country-by-country reporting*
2023 |
Publication without faculty affiliation
publication
The key challenges of the new bank regulations
2010 |
Faculty of Social Sciences