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1

Карасьова, З. М. "Система управління фінансами як складова банківського менеджменту". Thesis, Українська академія банківської справи Національного банку України, 2004. http://essuir.sumdu.edu.ua/handle/123456789/60390.

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Центральною проблемою функціонування банківської установи є проблема забезпечення стійкого механізму управління фінансами банкуĖĊ тобто здатності виконувати свої функції з максимальною ефективністю та мінімальним ризикомĘĊЧерез це використання науково обґрунтованого підходу до організації процесу управління фінансами банківської установиĖĊщо дозволяє врахуватиĖĊз одного бокуĖĊ внутрішні цілі банкуĖĊ з іншого бокуĊƀĊ фактори ризику і стан зовнішнього економічного середовищаĖĊє актуальнимĘĊ
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2

Hoontrakool, Thitiporn. "The effect of bank advertising on customer responses : the role of service communications as part of service quality of the financial services industry." Thesis, University of Surrey, 1997. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.361809.

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3

Karmanova, Kristina. "Internal audit in Lithuanian commercial banks : an important part of corporate governance or just another department?" Thesis, Uppsala universitet, Företagsekonomiska institutionen, 2013. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-202533.

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Purpose: the purpose of the thesis is to find out how Lithuanian commercial banks position their internal audit function within their organizational structure to overcome the tension of working with the management and keeping the distance to be able to report on them at the same time; and is internal audit function considered as one of the cornerstones of corporate governance. Moreover, comparison of banks is made to inspect any patterns, differences and similarities concerning the origin of the capital. Method: to answer the research question a qualitative approach was chosen: analysis of aud
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4

Reichert, Taís Araldi. "Fatores comportamentais e tecnológicos como determinantes na adoção de modelo de relacionamento bancário digital para micro e pequenas empresas." reponame:Repositório Institucional da UCS, 2017. https://repositorio.ucs.br/handle/11338/3449.

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A disponibilização de serviços bancários digitais é crescente, mediante a necessidade de acompanhar a evolução da tecnologia no setor de serviços. No entanto, para o sucesso das estratégias bancárias no fornecimento de serviços e produtos de forma digital, é primordial analisar a aceitação e adoção deste modelo de atendimento por parte de seus usuários. Sendo assim, esta dissertação avaliou a percepção de usuários em relação a adoção de serviços bancários digitais, por meio da investigação de um Modelo de Relacionamento Bancário Digital, proposto para o atendimento de cliente micro e pequenas
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5

Грищенко, О. О. "Управління поточними пасивами банку". Thesis, Севастопольський національний технічний університет, 2007. http://essuir.sumdu.edu.ua/handle/123456789/51516.

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Дисертація на здобуття наукового ступеня кандидата економічних наук за спеціальністю 08.00.08 – гроші, фінанси і кредит. – Українська академія бан-ківської справи Національного банку України, Суми, 2007. Дисертація присвячена розвитку теоретичних та методичних положень формування та управління поточними пасивами як складової ресурсної бази банку. На основі узагальнення результатів наукових досліджень було визначено сутність поняття “поточні пасиви” з точки зору управління ними; визначено еле-менти фінансового механізму управління поточними пасивами; обґрунтовано основні напрямки удосконаленн
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6

Breternitz, Vivaldo José. "Contribuições ao processo de construção de estratégias para a bancarização da população de baixa renda com o uso de dispositivos móveis." Universidade de São Paulo, 2009. http://www.teses.usp.br/teses/disponiveis/12/12139/tde-06022010-221703/.

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Desde os primórdios da historia o dinheiro vem mudando de forma. Nos próximos anos, as novas tecnologias e as mudanças sociais e econômicas podem fazer com que surjam novas formas de dinheiro e transações comerciais, mantendo-se a tendência de aumento do uso de meios de pagamento alternativos ao dinheiro vivo. Isso vem gerando transformações no ambiente organizacional. Essas transformações geram ameaças e oportunidades, e devem por essa razão serem levadas em conta pelos responsáveis pela construção de estratégias. A falta de acesso da população de baixa renda aos serviços financeiros prejudic
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7

Jokipii, Terhi Katariina. "Bank capital management." Thesis, City University London, 2009. http://openaccess.city.ac.uk/11926/.

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The work undertaken in this study empirically explores the determinants of regulatory bank capital buffers, and how they influence bank decisions. Focusing on bank capital management under the Basel I framework, this thesis serves to address some of the concerns that have been voiced regarding the implementation of the new regulation (Basel II) and the broader economic effects that could result. In particular, the research chapters of this thesis examine the cyclical behavior of European bank capital buffers, the long run relationship between bank capital buffers and charter values, and the si
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Hennig, Jochen. "Kooperative Wertschöpfungsmodelle in der asset management und wealth management Industrie : Implikation /." Bern : Haupt, 2007. http://aleph.unisg.ch/hsgscan/hm00201069.pdf.

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9

Erlenmaier, Ulrich. "Risk management in banking credit risk management and bank closure policies /." [S.l. : s.n.], 2001. http://deposit.ddb.de/cgi-bin/dokserv?idn=963752502.

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10

Takang, Felix Achou, and Claudine Tenguh Ntui. "Bank performance and credit risk management." Thesis, University of Skövde, School of Technology and Society, 2008. http://urn.kb.se/resolve?urn=urn:nbn:se:his:diva-1318.

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<p>Banking is topic, practice, business or profession almost as old as the very existence of man, but literarily it can be rooted deep back the days of the Renaissance (by the Florentine Bankers). It has sprouted from the very primitive Stone-age banking, through the Victorian-age to the technology-driven Google-age banking, encompassing automatic teller machines (ATMs), credit and debit cards, correspondent and internet banking. Credit risk has always been a vicinity of concern not only to bankers but to all in the business world because the risks of a trading partner not fulfilling his oblig
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Pelizzon, Loriana. "Bank portfolio management and regulatory policies." Thesis, London Business School (University of London), 2002. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.271455.

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12

Ayres, Kelley. "Simulation models of bank risk management." Thesis, Kansas State University, 2015. http://hdl.handle.net/2097/18969.

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Master of Agribusiness<br>Department of Agricultural Economics<br>Bryan Schurle<br>Quantifying the impact of various economic events is essential for risk management in community banks. Interest rate shocks of either rapidly increasing or decreasing rates, in magnitudes of at least 200 basis points, is one of the more common risks modeled. Liquidity crises that impact deposits or loan demand can arise from either local or national economic events is another risk factor that regulators are requiring banks to quantify and plan for. Excel spreadsheets can be used to develop models to measure an
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13

Panchenko, A. "International experience in bank staff management." Thesis, Sumy State University, 2016. http://essuir.sumdu.edu.ua/handle/123456789/46891.

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The level of banking system development largely determines the rate of market economy. The basic concept of personnel management in banking institutions in our time is the growing role of the individual employee, his/her knowledge and motivation, the ability to shape and steer them to achieve their goals. Today efficiency measures bank staff work is mostly oriented on the human factor. Consider briefly the experience of some countries in the banking personnel management.
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Bashlai, S., and O. Podoliaka. "Operation risk management of the bank." Thesis, Таврический национальный университет им. Вернадского В.И, 2010. http://essuir.sumdu.edu.ua/handle/123456789/60122.

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The of these deals with actual question of implementation of risk-oriented approach to corporate; methods of evaluation of operational risks, the procedure for coordination and approval procedures for operations, general requirements for the control procedures are in banks of Ukraine<br>Тези присвячені актуальнім питанням впровадження ризик-орієнтованих підходів до корпоративного управління; визначенню методик оцінки операційних ризиків, порядку погодження та затвердження процедур проведення операцій, загальним вимогам до контрольних процедур в банках України.
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15

Geylân, Ramazan. "Ticari banka yönetimi ve Türk ticari bankalarının temel yönetim sorunları." Eskişehir : Anadolu Üniversitesi Yayınları, 1985. http://catalog.hathitrust.org/api/volumes/oclc/13761556.html.

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16

Lammers, Frauke. "Management operationeller Risiken in Banken /." Wiesbaden : Dt. Univ.-Verl, 2005. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=013052002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.

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Scaramussa, Giovana Leão Borin. "A internacionalização do Banco do Brasil: produtos e serviços financeiros do Brasil para o mundo." Universidade Federal de Santa Maria, 2010. http://repositorio.ufsm.br/handle/1/4571.

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For the sake of globalization was possible to verify not only the transit of goods but a range of services which can sometimes manage them or can sometimes be offered exclusively. Theories which used to place the product as the center of analysis began also offering valuable insights for the third sector generating new opportunities for review. The focus of this thesis, directed to financial services and represented by the banking market, comes from what is presented as a tendency, not only in academia but also in transactions in the world today. Additionally, the strategic management of bank´
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18

Li, Li. "Bank regulation, corporate governance and bank performance around the world." Click to view the E-thesis via HKUTO, 2009. http://sunzi.lib.hku.hk/hkuto/record/B43224088.

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19

Chow, Chi-yang David, and 周志揚. "Total quality management in Hong Kong bank." Thesis, The University of Hong Kong (Pokfulam, Hong Kong), 1998. http://hub.hku.hk/bib/B31268717.

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20

Jiang, Yuxiang. "Bank competition, earnings management and profit persistence." Thesis, University of Glasgow, 2018. http://theses.gla.ac.uk/38943/.

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This thesis examines the impact of competition and earnings management on bank earnings persistence by exploiting natural experiments (IBBEA and SOX). Chapter three examines how competition affects bank earnings persistence by exploiting a natural experiment following interstate banking deregulation that increased bank competition. We find that bank earnings adjustment speed (which equals one minus earnings persistence in partial adjustment model) increases after their states implement this deregulation. We find the impact from the competition on earnings persistence is solid and consistent us
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Chow, Chi-yang David. "Total quality management in Hong Kong bank /." Hong Kong : University of Hong Kong, 1998. http://sunzi.lib.hku.hk/hkuto/record.jsp?B19876634.

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22

Åmansson, Peter. "SAFETY MANAGEMENT SYSTEM (SMS) FÖR FLYGUNDERHÅLL PART-145." Thesis, Mälardalens högskola, Akademin för innovation, design och teknik, 2016. http://urn.kb.se/resolve?urn=urn:nbn:se:mdh:diva-32308.

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Denna litteraturstudie behandlar Safety Managment System (SMS), ett relativt nytt begrepp och arbetssätt inom flygindustrin för att arbeta med flygsäkerhet och som initierades av det som idag är International Civil Aviation Organization (ICAO), ett organ inom Förenta Nationen (FN). SMS utvecklades eftersom det i flygsäkerhetsarbetet har blivit allt svårare att utpeka enskilda faktorer som orsakar olyckor, utan är i större grad en kedja av faktorer när en olycka inträffat. SMS är en systematisk metod för att hantera säkerhet, inklusive de nödvändiga organisatoriska strukturer, ansvarsområden, r
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Fähnrich, Christian Manns Denise. "Konzeptionsentwicklung im Treasury-Management für Banken : unter besonderer Berücksichtigung der Zinsbuchsteuerung /." Hamburg : Diplomica-Verl, 2008. http://d-nb.info/988708035/04.

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24

Dong, Hui, and 董慧. "Bank regulation, credit information, and bank cross-border M&As." Thesis, The University of Hong Kong (Pokfulam, Hong Kong), 2010. http://hub.hku.hk/bib/B45549783.

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Möbus, Dirk. "Geschäftsprozessoptimierung durch Workflow-Management : Grundlagen - Fallbeispiel - Umsetzung /." Frankfurt am Main : Bankakad.-Verl, 1999. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=008771200&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.

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Li, Li, and 李莉. "Bank regulation, corporate governance and bank performance around the world." Thesis, The University of Hong Kong (Pokfulam, Hong Kong), 2009. http://hub.hku.hk/bib/B43224088.

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Dietrich, David Roland. "An analysis of bank risk management and its relevance for the non-bank corporate sector." Thesis, Rhodes University, 2007. http://hdl.handle.net/10962/d1002683.

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This thesis, entitled “An analysis of bank risk management and its relevance for the non-bank corporate sector”, investigates the extent to which financial risk management by the banking sector can be applied to the non-bank corporate sector. As banks’ risk management techniques are more sophisticated than those of the non-bank corporate sector we have endeavoured to ascertain the applicability of these established risk management methods to the non-bank corporate sector. The main objectives of this study were to analyse the banking sectors’ risks and management thereof, and compare them to th
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Rogers, F. Joseph (Frederick Joseph) 1963. "First Nubian National Bank model." Thesis, Massachusetts Institute of Technology, 1993. http://hdl.handle.net/1721.1/46688.

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Thesis (S.M.)--Massachusetts Institute of Technology, Sloan School of Management, February 2002.<br>Includes bibliographical references (leaves 132-134).<br>This thesis presents the organizational model of a hypothetical national black bank holding company, the First Nubian National Bank, as an agent of constructive consolidation and enhanced capital market efficiency within the industry of historically black-owned banks (HBBs). In the U.S., the history of slavery, segregation and legal discrimination against African-Americans drove the creation of several parallel service industries for Black
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Wirth, Thomas. "Bankbetriebliches Länderrisiko-Management." Kassel : Kassel Univ. Press, 2004. http://deposit.d-nb.de/cgi-bin/dokserv?idn=973483598.

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Hasan, Talha. "Parametric analysis of part suitability in Additive Manufacturing." Thesis, Massachusetts Institute of Technology, 2017. http://hdl.handle.net/1721.1/113519.

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Thesis: S.M. in Engineering and Management, Massachusetts Institute of Technology, System Design and Management Program, 2017.<br>Cataloged from PDF version of thesis.<br>Includes bibliographical references (pages 79-81).<br>Additive Manufacturing (AM), with its bottom-up approach enables the fabrication of highly complex geometries, the combination of multiple materials to achieve specific physical properties, and the consolidation of assemblies into single parts. Although many of the prominent processes were invented 20-30 years ago, we are now seeing rapid performance improvement and the sy
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Enobakhare, Amienyaru. "Corporate governance and bank performance in Nigeria." Thesis, Stellenbosch : University of Stellenbosch, 2010. http://hdl.handle.net/10019.1/8439.

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Thesis (MBA)--University of Stellenbosch, 2010.<br>The purpose of this study was to determine the relationship between corporate governance and the profitability of banks in Nigeria. This has been done in line with previous studies in other parts of the world where it was discovered that the corporate governance culture of a firm does have an effect on its profitability. The corporate governance variable employed in this study was that of ownership. Four types of ownership were used as the independent variables, namely board ownership, institutional ownership, foreign ownership and government
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Graf, Ferdinand [Verfasser]. "Essays on Portfolio- and Bank-Management / Ferdinand Graf." Konstanz : Bibliothek der Universität Konstanz, 2011. http://d-nb.info/1017933863/34.

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Garbanovas, Gintautas. "Bank value and risk's portfolio interdependence and management." Doctoral thesis, Lithuanian Academic Libraries Network (LABT), 2010. http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2010~D_20101221_114433-10503.

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The main idea of current PhD thesis is the analysis of bank value and risk interdependence, and that bank value is conected with bank activity riskiness on consistent pattern and that this dependency is advisable to measure on probability basis with simulation modeling. In the work are presented systemic view of risk, risk sorts, risk management including cash flow risk management and credit risk management, bank value and valuation methodology, modeling and use in practical tasks.<br>Disertacijoje nagrinėjamos banko vertės ir rizikos sąveikos problemos, ginama tezė, kad banko vertė susijusi s
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Nguyen, Thao Ngoc. "Bank structure, efficiency and risk management in Vietnam." Thesis, London Metropolitan University, 2012. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.555334.

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Mustika, Ganjar. "Optimal bank regulation and risk management for Indonesia." Thesis, Loughborough University, 2004. https://dspace.lboro.ac.uk/2134/8000.

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This research has studied bank risk management in relation to efficient bank regulation in the form of optimal bank financial reorganization. Efficient banking regulation can be achieved only if it includes closure policies which prevent moral hazard behaviour; in turn, they should enhance bank regulators' accountability. Yet, Basel II gives more discretion to domestic banking authorities and focuses more on the implementation of best practices of risk management. This creates a gap between the needs of efficient banking regulation and the objectives of Basel II, on the one hand, and Indonesia
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Bok, Gaye Lister. "Issues affecting part-time opportunities for professionals." Thesis, Massachusetts Institute of Technology, 1991. http://hdl.handle.net/1721.1/13817.

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Ramafoko, James Maputle. "Institutional evaluation as an integral part of school management." Pretoria : [s.n.], 2005. http://upetd.up.ac.za/thesis/available/etd-12152006-165819/.

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Gerez, David 1970. "Management of supply chain costs associated with part proliferation." Thesis, Massachusetts Institute of Technology, 2003. http://hdl.handle.net/1721.1/84345.

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Thesis (M.B.A.)--Massachusetts Institute of Technology, Sloan School of Management; and, (S.M.)--Massachusetts Institute of Technology, Dept. of Mechanical Engineering; in conjunction with the Leaders for Manufacturing Program at MIT, 2003.<br>Includes bibliographical references (p. 86).<br>by David Gerez.<br>S.M.<br>M.B.A.
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De, Winter Hebron Christopher Charles. "Part-time management students' learning environments, attitudes and needs." Thesis, University College London (University of London), 1986. http://discovery.ucl.ac.uk/10019597/.

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Alston, Linda-Anne. "Career management strategies of part-time lecturers in Humanities." Diss., University of Pretoria, 2010. http://hdl.handle.net/2263/24768.

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There is a global trend towards using part-time lecturers to reduce unit labour costs and raise institutional efficiency. At the same time there is pressure on academics to develop their skills in an academic career path. The use of part-time lecturers is a recognised phenomenon at the University of Pretoria. This study set out to determine how part-time academics in Humanities manage and sustain their careers. The conceptual framework for this study juxtaposes key aspects of the part-time academic career with features of the traditional career model on the one hand, and those of the boundaryl
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Sasraku, Francis M. "Regulatory Structures and Bank –Level Risk Management in Ghanaian Banks." Thesis, University of Bradford, 2015. http://hdl.handle.net/10454/15021.

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This research examines the impact of certain bank-specific variables on bank stability in Ghana, in the context of the existing regulatory structures. The thesis examines this issue along two main themes. The first part of this study examines whether two of the commonly used measures of banking stability, the CAMELS and the Z-Score, provide similar or different results in assessing the stability of banks in Ghana. The results of this study show that the use of the CAMELS and the Z-score measures could lead to different outcomes in terms of bank stability in Ghana. This suggests that the tradit
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Ebner, Noam, Lorianne D. Mitchell, Jennifer D. Parlamis, and Roy Lewicki. "Teaching Negotiation Online Part 2: Getting Started." Digital Commons @ East Tennessee State University, 2014. https://dc.etsu.edu/etsu-works/8334.

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In part 1 of this 2-part series (see Signal Vol. 28 Issue 3), we discussed the challenges associated with teachingnegotiation online (e.g., faculty ambivalence and translating the experiential learning model to a virtual format) as well as the opportunities (e.g., greater attention to multi-media uses in the classroom and facilitating cross-cultural collaboration). Here in part 2, we focus less on the context surrounding teaching negotiation online and more on the content and practice of teaching negotiation online.
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Marek, Michael. "Corporate finance als Herausforderung für das strategische Management von Banken." [S.l. : s.n.], 2004. http://deposit.ddb.de/cgi-bin/dokserv?idn=973572965.

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Foit, Mihael. "Management operationeller IT-Risiken in Banken /." Regensburg : Univ.-Verl, 2009. http://deposit.d-nb.de/cgi-bin/dokserv?id=3302732&prov=M&dokv̲ar=1&doke̲xt=htm.

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Foit, Mihael. "Management operationeller IT-Risiken in Banken." Regensburg Univ.-Verl. Regensburg, 2004. http://d-nb.info/994208243/04.

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Nieuwoudt, M. M. "The strategy of PSG investment bank." Thesis, Stellenbosch : Stellenbosch University, 2003. http://hdl.handle.net/10019.1/49391.

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Thesis (MBA)--Stellenbosch University, 2003.<br>ENGLISH ABSTRACT: PSG Investment Bank started out of the PSG Group in 1998. It was a successful enterprise that was rated highly by the public, institutions and employees. Through 1999, there was a struggle on executive level over the strategy that PSG Investment Bank should follow. The struggle culminated in 2000 with the resignation of the founder of PSG Investment Bank. The remaining executives put their strategy in action during 2000 and 2001. External factors made the environment difficult during late 2001 and 2002 and PSG Investment
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Veríssimo, Alexandra Martins. "O impacto da adoção da IFRS 9 no reconhecimento das perdas de crédito nos bancos europeus." Master's thesis, Instituto Superior de Economia e Gestão, 2021. http://hdl.handle.net/10400.5/23426.

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Mestrado Bolonha em Contabilidade, Fiscalidade e Finanças Empresariais<br>This study aims to analyze the change in the accounting model for loan losses in the income smoothing practices of a sample of European Union banking institutions, providing the first evidence of the new IFRS 9 accounting standard. The sample includes 68 banks from 16 European Union countries for the period of 2015 to 2020. By implementing a modified version of a model used by Ahmed et al. (1999) and Gebhardt & Novotny-Farkas (2011), this study finds that bank managers engaged in income smoothing through loan loss provis
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Piaz, Jean-Marc. "Operational risk Management bei Banken /." Zürich : Versus, 2002. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=009595185&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.

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Jendruschewitz, Boris. "Value at risk : ein Ansatz zum Management von Marktrisiken in Banken /." Frankfurt am Main : Bankakad.-Verl, 1999. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=008684417&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.

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Rad, Alexander. "Bank risk management : How do bank employees deal with risk at the strategic and operational levels?" Doctoral thesis, Mittuniversitetet, Avdelningen för ekonomivetenskap och juridik, 2017. http://urn.kb.se/resolve?urn=urn:nbn:se:miun:diva-30734.

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