Ordenar por: Autor | Título | Año |
| 57 |
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Artículo |
Créditos hipotecarios a tipo de interés fijo frente a tipo variable : comparación de riesgos e implicaciones macroeconómicas / Francisco Alonso, Roberto Blanco y Ana del Río.
Alonso Sánchez, Francisco
En: Boletín Económico / Banco de España [Artículos], abril 2004, p. 73-83
https://repositorio.bde.es/handle/123456789/1610
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Fondos |
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| 58 | 9681863585 | Libro |
Medición integral del riesgo de crédito / Edward I. Altman ... (et al.).
Altman, Edward I.
México [etc.] : Limusa, 2003.
|
Fondos |
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| 59 |
|
Libro |
Revisiting credit scoring models in a Basel 2 environment / Edward I. Altman
Altman, Edward I.
New York : New York University Salomon Center, 2002
|
Fondos |
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| 60 |
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Artículo |
Managing credit risk : a challenge for the new millennium / E.I. Altman
Altman, Edward I.
En: Economic notes / Banca Monte dei Paschi di Siena [Artículos], v. 31, n. 2, july 2002, p. 201-214
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| 61 |
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Libro |
The link between default and recovery rates : implications for credit risk models and procyclicality / Edward I. Altman... (et al.)
Altman, Edward I.
New York : New York University Salomon Center, 2002
|
Fondos |
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| 62 |
|
Libro |
Managing credit risk : a challenge for the new millennium / Edward I. Altman
Altman, Edward I.
New York : Leonard N. Stern School of Business, 2001
|
Fondos |
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| 63 |
|
Libro |
Default rates in the syndicated bank loan market : a mortality analysis / Edward I. Altman, Heather J. Suggitt
Altman, Edward I.
New York : New York University Salomon Center, 1997
|
Fondos |
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| 64 |
|
Artículo |
Credit risk measurement : developments over the last 20 years / Edward I. Altman, Anthony Saunders
Altman, Edward I.
En: Journal of banking and finance [Artículos], v. 21, n. 11-12, dec 1997, p. 1721-1742
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| 65 |
|
Libro |
Credit risk measurement : developments over the last 20 years / Edward I. Altman, Anthony Saunders
Altman, Edward I.
New York : New York University Salomon Center, 1996
|
Fondos |
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| 66 |
|
Libro |
Macroprudential policy and bank risk [Recurso electrónico] / by Yener Altunbas, Mahir Binici and Leonardo Gambacorta.
Altunbaş, Yener
[Basilea] : Bank for International Settlements, 2017.
http://www.bis.org/publ/work646.pdf
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| 67 |
|
Libro |
Efficiency and risk in Japanese banking / Yener Altunbas, M.H. Liu and Phil Molyneux
Altunbaş, Yener
Bangor, Gwynedd : Institute of European Finance, 1997
|
Fondos |
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| 68 |
|
Artículo |
El uso de los requisitos de liquidez / por Yvette Alvarez
Alvarez, Yvette
En: Monetaria [Artículos], vol. IX, n. 3, julio-septiembre 1986, pp. 283-297
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| 69 | 978-84-15330-74-5 | Libro |
Análisis de operaciones de crédito : introducción a las técnicas de análisis, confección de informes y seguimiento de las operaciones / Oriol Amat, Pere Pujadas y Pilar Lloret.
Amat, Oriol
Barcelona : Profit, 2012.
|
Fondos |
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| 70 |
|
Libro |
Endogenous sampling in duration models / Takesi Amemiya
Amemiya, Takeshi
Tokyo : Institute for Monetary and Economic Studies, 2001
|
Fondos |
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| 71 |
|
Libro |
How consistent are credit ratings? : a geographic and sectoral analysis of default risk / John Ammer and Frank Packer
Ammer, John M.
Washington : Federal Reserve System, 2000
|
Fondos |
|
| 72 | 978-0-19-877762-5 | Libro |
Systemic risk, institutional design, and the regulation of financial markets / edited by Anita Anand.
Anand, Anita (ed. lit.)
Oxford : Oxford University Press, 2016.
|
Fondos |
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| 73 |
|
Libro |
Loan loss provision decisions : a stochastic frontier approach / Asokan Anandarajan, Iftekhar Hasan, Ana Lozano-Vivas
Anandarajan, Asokan
New York : New York University Salomon Center, 2000
|
Fondos |
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| 74 |
|
Artículo |
Risk transfer mechanisms : converging insurance, credit and capital markets / prepared by Jens Verner Andersen
Andersen, Jens Verner
En: Financial market trends [Artículos], n. 82, jun 2002, p. 151-173
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| 75 |
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Artículo |
Models for management of banks’ credit risk / Jens Verner Andersen ... (et al.)
Andersen, Jens Verner
En: Monetary review / Danmarks Nationalbank [Artículos], 1st quarter 2001, p. 43-55
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| 76 |
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Libro |
Liquidity considerations and monetary management / Leonall C. Andersen.
Andersen, Leonall C.
Washington : Federal Reserve System, 1966.
|
Fondos |
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| 77 | 978-0-19-968785-5 | Libro |
Managing risk and opportunity : the governance of strategic risk-taking / Torben Juul Andersen, Maxine Garvey, Oliviero Roggi.
Andersen, Torben Juul
Oxford : Oxford University Press, 2014.
|
Fondos |
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| 78 |
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Artículo |
Corporate control, bank risk taking, and the health of the banking industry / Ronald C. Anderson, Donald R. Fraser
Anderson, Ronald C.
En: Journal of banking and finance [Artículos], v. 24, n. 8, aug 2000, p. 1383-1398
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| 79 | 0333237870 | Libro |
International lending, risk, and the Euromarkets / Anthony Angelini, Maximo Eng, and Francis A. Lees.
Angelini, Anthony
London [etc.] : Macmillan, 1979.
|
Fondos |
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| 80 |
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Artículo |
Systemic risk in the netting system / P. Angelini, G. Maresca, D. Russo
Angelini, Paolo
En: Journal of banking and finance [Artículos], v. 20, n. 5, jun 1996, p. 853-868
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| 81 |
|
Libro |
The impact of country risk assessment on Eurocurrency interest rate spreads : a cross-section analysis / prepared by Ignazio Angeloni and Brock K. Short; approved by Deena R. Khatkhate.
Angeloni, Ignazio
Washington : International Monetary Fund, 1980.
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Fondos |
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