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  1. Geld und Geldpolitik
    Published: [2017]
    Publisher:  Geldmuseum der Deutschen Bundesbank, Frankfurt am Main

    Bibliothek des Bundesarchivs
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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: German
    Media type: Book
    Format: Print
    ISBN: 3957293782; 9783957293787
    Other identifier:
    9783957293787
    RVK Categories: QK 200
    Edition: Stand: Frühjahr 2017
    Subjects: Geldpolitik; Geld; Finanzsystem; Deutschland; Eurozone; Deutschland
    Scope: 266 Seiten, Illustrationen, Diagramme, Karten, 21 cm x 14.8 cm
  2. Saudi Arabia
    financial system stability assessment
    Published: October 2017
    Publisher:  International Monetary Fund, Washington, D.C.

    This paper assesses the stability of Saudi Arabia's financial system as a whole. Banks-the core of the Saudi financial system-remain liquid and resilient. Stress tests show that most banks, including all systemically important banks, would be able to... more

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    This paper assesses the stability of Saudi Arabia's financial system as a whole. Banks-the core of the Saudi financial system-remain liquid and resilient. Stress tests show that most banks, including all systemically important banks, would be able to continue operating and meeting regulatory capital requirements in the event of additional severe economic shocks, characterized by oil prices falling substantially below current levels. Despite the recent liquidity challenges, all banks would also be able to cope with additional adverse liquidity shocks. The authorities' ambitious agenda for improving macro- and microprudential financial sector oversight should be fully implemented and, in some cases, enhanced and further refined

     

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  3. Spain
    financial system stability assessment
    Published: October 2017
    Publisher:  International Monetary Fund, Washington, D.C.

    This paper assesses the stability of the Spanish financial system as a whole. Spain's banking system has been steadily progressing since the last Financial System Assessment Program. The authorities have made a significant reform effort. Together... more

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    This paper assesses the stability of the Spanish financial system as a whole. Spain's banking system has been steadily progressing since the last Financial System Assessment Program. The authorities have made a significant reform effort. Together with the economic recovery, and support by the European Central Bank's accommodative policies, the banking system has strengthened its solvency and advanced in reducing nonperforming loans. It is critical to keep the reform process moving and to build on the advances made during 2012-16. Completing the restructuring of bank balance sheets is a priority. Enhanced monitoring and supervisory attention to interest rate and liquidity risks are also merited

     

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  4. Spain
    financial sector assessment program : technical note : stress testing banking system resilience
    Published: November 2017
    Publisher:  International Monetary Fund, Washington, D.C.

    This Technical Note discusses the results of the stress testing of banking system resilience in Spain. The results indicate that some banks may have difficulty enduring additional pressures on their profitability. In addition, some banks are... more

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    This Technical Note discusses the results of the stress testing of banking system resilience in Spain. The results indicate that some banks may have difficulty enduring additional pressures on their profitability. In addition, some banks are vulnerable to market losses arising from a rapid increase in interest rates, given their significant exposures to fixed income securities. Near-term funding and liquidity risks seem limited, but funding challenges are likely to grow. Several banks are heavily reliant on central bank funding. Based on these findings, the authorities are encouraged to continue to monitor closely interest rate and government bond market risks in their stress testing exercises

     

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  5. Financial stability report
    Published: October 2011-
    Publisher:  Financial Stability Department, Bangladesh Bank, Dhaka, Bangladesh

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Universität Potsdam, Universitätsbibliothek
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Online
    Subjects: Wirtschaftslage; Finanzsektor; Finanzsystem; Bangladesch
    Scope: Online-Ressource
    Notes:

    Herausgebendes Organ 2010: Department of Off-site Supervision, Bangladesh Bank

  6. Loss of correspondent banking relationships in the Caribbean
    trends, impact, and policy options
    Published: August 2017
    Publisher:  International Monetary Fund, [Washington, D.C.]

    Banks across the Caribbean have lost important Correspondent Banking Relationships (CBRs). The macroeconomic impact has so far been limited, in part because banks either have multiple relationships or have been successful in replacing lost CBRs.... more

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    Banks across the Caribbean have lost important Correspondent Banking Relationships (CBRs). The macroeconomic impact has so far been limited, in part because banks either have multiple relationships or have been successful in replacing lost CBRs. However, the cost of services has increased substantially, some services have been cut back, and some sectors have experienced reduced access. Policy options to address multiple drivers, including lower profitability and risk aversion by global banks, require tailored actions by several stakeholders

     

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  7. Monthly economic indicators
    Published: 2016-
    Publisher:  Central Bank of Kenya, Nairobi

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Universität Potsdam, Universitätsbibliothek
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Online
    Subjects: Wirtschaftslage; Finanzsystem; Kenia
    Scope: Online-Ressource
  8. Monetary policy and financial stability report
    Published: [2016-2018]
    Publisher:  Bank of Mauritius, Port Louis Mauritius

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Online
    Subjects: Finanzsystem; Finanzsektor; Wirtschaftslage; Mauritius
    Scope: Online-Ressource
    Notes:

    Fortsetzung der Druckausgabe

    Gesehen am 18.12.2019

  9. Norway's financial system
    an overview
    Published: [2016]-
    Publisher:  Norges Bank, Oslo

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Universität Potsdam, Universitätsbibliothek
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Online
    Subjects: Finanzsystem; Finanzmarkt; Finanzsektor; Norwegen
    Scope: Online-Ressource
    Notes:

    Gesehen am 27.08.2019

  10. Financial stability
    Published: November, 2017-
    Publisher:  Public Relations and Communications Department - PMA, Ramallah, Palestine

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Online
    Subjects: Finanzsystem; Finanzsektor; Monetäre Statistik; Entwicklung; Palästina
    Scope: Online-Ressource
    Notes:

    Gesehen am 21.08.2023

    Fortsetzung der Druck-Ausgabe

  11. Back to the future
    the nature of regulatory capital requirements
    Published: July 2017
    Publisher:  International Monetary Fund, [Washington, D.C.]

    This paper compares the current regulatory capital requirements under the Dodd-Frank Act (DFA) and the 10-percent leverage ratio, as proposed by the U.S. Treasury and the U.S. House of Representatives' Financial CHOICE Act (FCA). We find that the... more

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    This paper compares the current regulatory capital requirements under the Dodd-Frank Act (DFA) and the 10-percent leverage ratio, as proposed by the U.S. Treasury and the U.S. House of Representatives' Financial CHOICE Act (FCA). We find that the majority of U.S. banks would not qualify for an "off-ramp"option-where regulatory relief is offered to FCA qualifying banks (QBOs)-unless considerable amounts of capital are added, and that large banks are much closer to the proposed leverage threshold and, therefore, are more likely to stand to gain from regulatory relief. The paper identifies an important moral hazard problem that arises due to the QBO optionality, where banks are likely to increase the riskiness of their asset portfolio and qualify for the FCA 'off-ramp' relief with unintended effects on financial stability

     

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  12. Rapport de stabilité financière
    Published: [2016]-
    Publisher:  Banque de la République du Burundi, Direction de la supervision, de la stabilité financière et de l’inclusion financière, Bujumbura

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: French
    Media type: Book
    Format: Online
    Corporations / Congresses:
    Banque de la République du Burundi (VerfasserIn)
    Subjects: Wirtschaftslage; Finanzsektor; Finanzsystem; Burundi
    Scope: Online-Ressource
    Notes:

    Gesehen am 16.01.24

  13. Financial stability report
    Published: 2018-; 2017
    Publisher:  Central Bank of Eswatini, Mbabane ; Central Bank of Swaziland

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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Online
    Subjects: Wirtschaftslage; Finanzsystem; Finanzsektor; Bankrisiko; Eswatini
    Scope: Online-Ressource
    Notes:

    Gesehen am 13.11.24

    Herausgebendes Organ Issue no 1 (June 2017): Central Bank of Swaziland

  14. Quarterly statistical bulletin
    Published: 2013-
    Publisher:  Palestine Monetary Authority, Ramallah, Palestine

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: English; Arabic
    Media type: Book
    Format: Online
    Subjects: Wirtschaftslage; Finanzsystem; Finanzsektor; Volkswirtschaftliche Gesamtrechnung; Palästina
    Scope: Online-Ressource
    Notes:

    Gesehen am 12.01.2021

  15. Finanzierungsstrukturen im Vergleich
    eine Analyse europäischer Unternehmen
    Author: Ramb, Fred
    Published: 1998
    Publisher:  ZEW, Mannheim

    Thirty years after the seminal work of Modigliani and Miller and countless articles the capital structure puzzle is for the most part unsolved. Especially, in this field of research there is a considerable lack of empirical evidence. Using firm level... more

    Staats- und Universitätsbibliothek Bremen
    bc 1298-9817
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    Niedersächsische Staats- und Universitätsbibliothek Göttingen
    2 : Z 2027 -98-17-
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    Technische Informationsbibliothek (TIB) / Leibniz-Informationszentrum Technik und Naturwissenschaften und Universitätsbibliothek
    KAP 10164
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 636 (98.17)
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    Thirty years after the seminal work of Modigliani and Miller and countless articles the capital structure puzzle is for the most part unsolved. Especially, in this field of research there is a considerable lack of empirical evidence. Using firm level data from seven European countries, this paper tries to analyze differences in the determinants of capital structure due to legal forms. For the most countries, including Germany, France, Spain, and the Netherland, legal form exerts only a slight impact on the determinants of capital structure. In contrast, only in the UK, and Italy there are considerable effects of legal form on financing patterns. Taken together, earlier empirical evidence for stock market firms seems to hold for other legal forms.

     

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    Source: Union catalogues
    Language: German
    Media type: Book
    Format: Print
    Series: Array ; 98-17
    Subjects: Kapitalstruktur; Rechtsform; Prinzipal-Agent-Theorie; Asymmetrische Information; Finanzsystem; Schätzung; Europa
    Scope: 41 S, graph. Darst
    Notes:

    Literaturverz. S. 39 - 41

  16. Risk assessment for banking systems
    Published: 2002
    Publisher:  OeNB, Wien

    Leibniz-Institut für Wirtschaftsforschung Halle, Bibliothek
    Mag7603
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 699 (79)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Working paper / Oesterreichische Nationalbank ; 79
    Subjects: Finanzsystem; Bankrisiko; Risikomanagement; Bankenkrise; Geldmarkt; Schätzung; Theorie
    Scope: 49 S., graph. Darst., b
    Notes:

    Literaturverz. S. 36 - 37

  17. Bank capital regulation in contemporary banking theory
    a review of the literature
    Published: 2000
    Publisher:  Bank for International Settlements, Basle

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 910 (90)
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: BIS working papers ; 90
    Subjects: Bankenregulierung; Finanzsystem; Einlagensicherung; Basler Akkord; Bilanzstrukturmanagement; Theorie; Bank capital; Banks and banking
    Scope: 32 S
    Notes:

    Literaturverz. S. 25 - 32

  18. From managed to market capitalism?
    German finance in transition
    Published: 2000
    Publisher:  Max-Planck-Inst. für Gesellschaftsforschung, Köln

    Universitäts- und Landesbibliothek Sachsen-Anhalt / Zentrale
    01 B 734
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    Helmut-Schmidt-Universität, Universität der Bundeswehr Hamburg, Universitätsbibliothek
    VWL 135:YB0011
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    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 281 (00.02)
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    Universität Potsdam, Universitätsbibliothek
    99025683
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    RVK Categories: QB 910 ; QL 221
    Series: MPIfG discussion paper ; 00/2
    Subjects: Kapitalismus; Institutioneller Wandel; Finanzsektor; Finanzsystem; Corporate Governance; Marktwirtschaft; Deutschland
    Scope: 28 S., 30 cm
    Notes:

    Literaturverz. S. 26 - 28

  19. Institutionen, Finanzsysteme und Transformation
    Published: 2001
    Publisher:  DIW, Berlin

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
    W 620 (264)
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    Source: Union catalogues
    Language: German
    Media type: Book
    Format: Print
    Series: Diskussionspapier / Deutsches Institut für Wirtschaftsforschung ; 264
    Subjects: Finanzsektor; Finanzsystem; Institutionenökonomik; Systemtransformation; Institutioneller Wandel; Theorie; Polen; Rumänien
    Scope: 35 S, graph. Darst
    Notes:

    Literaturverz. S. 34 - 35

  20. A risk dashboard for the Italian economy
    Published: [2018]
    Publisher:  Banca d'Italia, [Rom]

    ZBW - Leibniz-Informationszentrum Wirtschaft, Standort Kiel
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
    Series: Questioni di economia e finanza / Banca d'Italia ; number 425 (February 2018)
    Subjects: Volkswirtschaft; Finanzsystem; Systemrisiko; Italien
    Scope: 1 Online-Ressource (circa 38 Seiten), Illustrationen
  21. From managed to market capitalism?
    German finance in transition
    Published: 2000
    Publisher:  Max-Planck-Inst. für Gesellschaftsforschung, Köln

    Universität Potsdam, Universitätsbibliothek
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    RVK Categories: QB 910 ; QL 221
    Series: MPIfG discussion paper ; 00/2
    Subjects: Kapitalismus; Institutioneller Wandel; Finanzsektor; Finanzsystem; Corporate Governance; Marktwirtschaft; Deutschland
    Scope: 28 S., 30 cm
    Notes:

    Literaturverz. S. 26 - 28

  22. Structures and trends in German banking
    Published: 2004
    Publisher:  Kiel Inst. for World Economics, Kiel

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Print
    RVK Categories: QD 000 ; QK 010
    Series: Kiel working paper ; 1225
    Subjects: Bank; Finanzsektor; Finanzsystem; Corporate Governance; Bankenaufsicht; Einlagensicherung; Branchenentwicklung; Vergleich; Deutschland; Japan; Großbritannien; USA
    Scope: 62 S., graph. Darst., a
    Notes:

    Literaturverz. S. 56 - 60

  23. Financial integration in Europe
    Published: 2007-[2018]

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    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: E-Journal
    Format: Online
    ISSN: 1830-7159
    Subjects: Finanzsystem; Bankenregulierung; Finanzsektor; Eurozone; Europäisches Währungssystem; EU-Staaten; Europäische Bankenunion; Kapitalmarktunion
    Scope: Online-Ressource
    Notes:

    Gesehen am 28.10.2021

    Zählung aus dem Vorwort

  24. Macroeconomic and financial stability challenges for acceding and candidate countries
    Published: 2006
    Publisher:  Europ. Central Bank, Frankfurt am Main

    Staatsbibliothek zu Berlin - Preußischer Kulturbesitz, Haus Unter den Linden
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    Source: Staatsbibliothek zu Berlin
    Language: English
    Media type: Book
    Format: Print
    RVK Categories: QM 430
    Series: Occasional paper series / European Central Bank ; 48
    Subjects: Kreditmarkt; Finanzsystem; Geldpolitik; Bulgarien; Rumänien; Kroatien; Türkei; Wirkungsanalyse
    Scope: 85 S., graph. Darst.
    Notes:

    Parallel als Onlineausg. erschienen

  25. Corporate governance and the financing of investment for structural change
    Published: 2000
    Publisher:  Sonderforschungsbereich 504, Mannheim

    Max-Planck-Institut für Bildungsforschung, Bibliothek und wissenschaftliche Information
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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    Series: Sonderforschungsbereich Rationalitätskonzepte, Entscheidungsverhalten und Ökonomische Modellierung ; 00,32
    Subjects: Corporate Governance; Finanzsystem; Investitionsentscheidung; Investition; Allokation; Strukturwandel; Theorie; Welt
    Scope: 19 Bl
    Notes: