Books on the topic 'Credit risks of banks'
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Peter, Taylor, and IFS School of Finance, eds. Consumer credit risk management. Global Professional Publishing, 2008.
Find full textPrywes, Menahem. Risk facing U.S. commercial banks. International Economic Analysis and Prospects, International Economics Dept., World Bank, 1990.
Find full textNationalbank, Oesterreichische, and Finanzmarkt Austria Dienstleistungs GesmbH, eds. Guidelines on credit risk management. Oesterreichische Nationalbank (OeNB), 2004.
Find full textGrenadier, Steven R. Risk-based capital standards and the riskiness of bank portfolios: Credit and factor risks. National Bureau of Economic Research, 1995.
Find full textMorris, JoAnne. Risk diversification in the credit portfolio: An overview of country practices. International Monetary Fund, Monetary and Exchange Affairs Department, 2001.
Find full textMinton, Bernadette A. How much do banks use credit derivatives to reduce risk? National Bureau of Economic Research, 2005.
Find full textMinton, Bernadette A. How much do banks use credit derivatives to reduce risk? National Bureau of Economic Research, 2005.
Find full textLautenschlager, Peter. Workout-Management: Theoretische Fundierung und empirische Analyse des Managements vom Problemkrediten im schweizerischen Kreditgeschäft. P. Haupt, 2000.
Find full textGrunert, Jens. Empirische Evidenz zur Prognose des Ausfallwahrscheinlichkeit und der Recovery Rate von Bankkrediten an deutsche Unternehmen. J. Grunert, 2005.
Find full textGrundke, Peter. Integrated Market and Credit Portfolio Models: Risk Measurement and Computational Aspects. Betriebswirtschaftlicher Verlag Dr. Th. Gabler / GWV Fachverlage GmbH, Wiesbaden, 2008.
Find full textCarey, Mark S. Dimensions of credit risk and their relationship to economic capital requirements. National Bureau of Economic Research, 2000.
Find full textKazimagomedov, Abdulla. Organization of credit work. INFRA-M Academic Publishing LLC., 2021. http://dx.doi.org/10.12737/1018363.
Full textBrovkina, Natal'ya, Elena Ternovskaya, Aleksandr Evgenievich Ushanov, Elena Shatalova, and Marianna Belova. Implementation of credit operations. INFRA-M Academic Publishing LLC., 2025. https://doi.org/10.12737/2023030.
Full textColin, Bell, and Graham Alastair, eds. Bankers' lending techniques. 3rd ed. Global Professional, 2011.
Find full text1954-, Allen Linda, ed. Credit risk measurement: New approaches to value at risk and other paradigms. 2nd ed. John Wiley, 2002.
Find full textSironi, Andrea, and Paolo Savona. La gestione del rischio di credito: Esperienze e modelli nelle grandi banche italiane. Edibank, 2000.
Find full textLarose, Louis Rene Peter. Modelling of corporate credit risk, banks' stock returns, and the effect of risk-based capital standards on the UK commercial banks. University of Birmingham, 2000.
Find full textBernard, Henri. Information, liquidity and risk in the international interbank market: Implicit guarantees and private credit market failure. Bank for International Settlements, Monetary and Economic Dept., 2000.
Find full textPhilip, Gisdakis, ed. Credit crises: From tainted loans to a global economic meltdown. Wiley-VCH, 2008.
Find full textSilver, Lars. Credit risk assessment in different contexts: The influence of local networks for bank financing of SMEs. Dept. of Business Studies, Uppsala University, 2001.
Find full textCredit, United States Congress House Committee on Financial Services Subcommittee on Financial Institutions and Consumer. The new Basel Accord: Private sector perspectives : hearing before the Subcommittee on Financial Institutions and Consumer Credit of the Committee on Financial Services, U.S. House of Representatives, One Hundred Eighth Congress, second session, June 22, 2004. U.S. G.P.O., 2004.
Find full textUnited States. Congress. House. Committee on Financial Services. Subcommittee on Financial Institutions and Consumer Credit. The new Basel Accord: In search of a unified U.S. position : hearing before the Subcommittee on Financial Institutions and Consumer Credit of the Committee on Financial Services, U.S. House of Representatives, One Hundred Eighth Congress, first session, June 19, 2003. U.S. G.P.O., 2003.
Find full textNationalbank, Oesterreichische. Guidelines on bank-wide risk management: Internal capital adequacy assessment process. Oesterreichische Nationalbank, 2006.
Find full textha-meḥḳar, Banḳ Yiśraʼel Maḥleḳet, ред. ha-Etanut ha-finansit shel ha-migzar ha-ʻisḳi ha-reʼali ṿe-sikune ha-ashraʼi ba-maʻarekhet ha-banḳaʼit be-Yiśraʼel. Banḳ Yiśraʼel, Maḥleḳet ha-meḥḳar, 2009.
Find full textUnited States. Congress. Senate. Committee on Banking, Housing, and Urban Affairs. Examnation [sic] of the current condition of the banking and credit union industries: Hearing before the Committee on Banking, Housing, and Urban Affairs, United States Senate, One Hundred Eighth Congress, second session, on improved risk-management practices of banks, the current status and direction of regulatory efforts to revise capital standards for internationally active banks, deposit insurance, and consolidation within the domestic banking industry, April 20, 2004. U.S. G.P.O., 2005.
Find full textNarain, Aditya. Prudential issues in less diversified economies. International Monetary Fund, Monetary and Financial Systems Department, 2003.
Find full textBenner, Wolfgang, Jonny Holst, and Marco Wilkens. Finanzielle Märkte und Banken: Innovative Entwicklungen am Beginn des 21. Jahrhunderts : Wolfgang Benner zum 60. Geburtstag. A. Spitz, 2000.
Find full textLücke, Tobias. Bankaufsichtsrechtliche Anerkennung interner Kreditportfoliomodelle. Lang, 2011.
Find full textK, Vaidyanathan. Credit Risk Management for Indian Banks. SAGE Publications India Pvt, Ltd., 2013.
Find full textBandyopadhyay, Arindam. Managing Portfolio Credit Risk in Banks. Cambridge University Press, 2016.
Find full textBandyopadhyay, Arindam. Managing Portfolio Credit Risk in Banks. Cambridge University Press, 2017.
Find full textManaging banking risks. Gresham Books, in association with the Chartered Institute of Bankers, 1997.
Find full textCerutti, Eugenio. Banks' Foreign Credit Exposures and Borrowers' Rollover Risks Measurement, Evolution and Determinants. International Monetary Fund, 2013.
Find full textCerutti, Eugenio. Banks' Foreign Credit Exposures and Borrowers' Rollover Risks Measurement, Evolution and Determinants. International Monetary Fund, 2013.
Find full textCerutti, Eugenio. Banks' Foreign Credit Exposures and Borrowers' Rollover Risks Measurement, Evolution and Determinants. International Monetary Fund, 2013.
Find full textAnolli, M., E. Beccalli, and T. Giordani. Retail Credit Risk Management. Palgrave Macmillan, 2013.
Find full textAnolli, M., E. Beccalli, and T. Giordani. Retail Credit Risk Management. Palgrave Macmillan Limited, 2013.
Find full textNyarko-Baasi, Michael. Credit Risk Management in Ghanaian Commercial Banks. GRIN Verlag GmbH, 2013.
Find full textCade, Eddie. Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. Taylor & Francis Group, 2013.
Find full textSimon, Gleeson. Part II Commercial Banking, 7 Credit Risk. Oxford University Press, 2018. http://dx.doi.org/10.1093/law/9780198793410.003.0007.
Full textAlexander, Borisoff, and Compton Andrew. 9 Official Funding Sources: Export Credit Agencies and Multilateral Development Banks. Oxford University Press, 2015. http://dx.doi.org/10.1093/law/9780198715559.003.0010.
Full textAhmed, Jaffar Mohammed. Credit Risk Management at Islamic Banks: A Practical Guide. de Gruyter GmbH, Walter, 2023.
Find full textAhmed, Jaffar Mohammed. Credit Risk Management at Islamic Banks: A Practical Guide. de Gruyter GmbH, Walter, 2023.
Find full textAhmed, Jaffar Mohammed. Credit Risk Management at Islamic Banks: A Practical Guide. de Gruyter GmbH, Walter, 2023.
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