Por favor seleccione primero los registros.
Ordenar por: Autor | Título | Año |
| 71 |
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Libro |
The Asian crisis experiences and lessons for home and host supervisor / by C.M. Miles
Miles, C.M.
London : London School of Economics. Financial Markets Group, 1999
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Fondos |
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| 72 |
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Artículo |
Aspectos contables del riesgo de crédito en las entidades de crédito / Fernando Garcia Martinez.
García Martínez, Fernando
En: Partida doble [Artículos], n. 119, feb 2001, p. 42-73
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| 73 |
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Artículo |
Aspectos críticos en la implantación y validación de modelos internos de riesgo de crédito / Raúl García Baena, Luis González Mosquera, María Oroz García.
García Baena, Raúl
En: Estabilidad Financiera / Banco de España [Artículos], n. 9, nov. 2005, p. 29-57
https://repositorio.bde.es/handle/123456789/23055
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| 74 | 0903121204 | Libro |
Assessing country risk / edited by Richard Ensor
Ensor, Richard
London : Euromoney, 1981
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Fondos |
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| 75 |
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Artículo |
Assessing credit risk in a financial institution’s of-balance sheet commitments / John Hull
Hull, John C.
En: Journal of financial and quantitative analysis [Artículos], v. 24, n. 4, december 1989 ; pp. 489-502
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| 76 |
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Libro |
Assessing financial system vulnerabilities / R. Barry Johnston, Jingqing Chai, and Liliana Schumacher
Johnston, R. Barry
Washington : FMI. Fondo Monetario Internacional, 2000
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Fondos |
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| 77 | 0881322377 | Libro |
Assessing financial vulnerability : an early warning system for emerging markets / Morris Goldstein, Graciela L. Kaminsky, Carmen M. Reinhart
Goldstein, Morris
Washington : Institute for International Economics, 2000
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Fondos |
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| 78 | 9783658200312 (en papel) | Libro |
Assessing risk assessment [Recurso electrónico] : towards alternative risk measures for complex financial systems / Christian Hugo Hoffmann.
Hoffmann, Christian Hugo
Wiesbaden : Springer Fachmedien Wiesbaden, 2017.
http://dx.doi.org/10.1007/978-3-658-20032-9
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| 79 |
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Artículo |
Assessing the risk-return trade-off in loan portfolios / [Recurso electrónico] Javier Mencía.
Mencía, Javier
En: Journal of Banking and Finance [Artículos], v. 36, n. 6, june 2012, p. 1665–1677
https://doi.org/10.1016/j.jbankfin.2012.01.007
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| 80 |
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Libro |
Assessing the risk-return trade-off in loan portfolios / Javier Mencía.
Mencía, Javier
Madrid : Banco de España, 2009.
https://repositorio.bde.es/handle/123456789/7009
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Fondos |
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| 81 |
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Artículo |
Assessing the stability of emerging market economies’ banking systems / Alastair Cunningham
Cunningham, Alastair W.F.
En: Financial Stability Review / Bank of England [Artículos], n. 11, dec 2001, p. 187-192
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| 82 |
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Libro |
Assessment of credit risk in the Norwegian business sector / by Espen Sjovoll
Sjovoll, Espen
Oslo : Norges Bank, 1999
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Fondos |
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| 83 |
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Libro |
Asset encumbrance and bank risk [Recurso electrónico] : theory and first evidence from public disclosures in Europe / Albert Banal-Estañol, Enrique Benito, Dmitry Khametshin and Jianxing Wei.
Banal-Estañol, Albert
Madrid : Banco de España, 2021.
https://repositorio.bde.es/handle/123456789/17413
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| 84 |
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Artículo |
Asset encumbrance in secured funding operations in the Spanish banking sector [Recurso electrónico] : Esther Cáceres and Jorge San Vicente.
Cáceres, Esther
En: Financial Stability Review / Banco de España [Artículos], n. 47, Autumn 2024, p. 29-44
https://repositorio.bde.es/handle/123456789/38944
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| 85 | 1557381399 | Libro |
Asset/liability management : investment strategies, liquidity requirements and risk controls for banks and thrifts / Frank J. Fabozzi, Atsuo Konishi, editors
Fabozzi, Frank J.
Chicago : Probus, 1991
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Fondos |
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| 86 | 9291810584 | Libro |
Asset prices and banking stability / BCE
BCE. Banco Central Europeo
Frankfurt am Main : BCE. Banco Central Europeo, 2000
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Fondos |
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| 87 | 1843742004 | Libro |
Asset securitisation and synthetic structures : innovations in the European credit markets / edited by Rick Watson and Jeremy Carter.
Watson, Rick (ed. lit.)
London : Euromoney Books, 2006.
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Fondos |
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| 88 |
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Libro |
L’assicurazione dei crediti / Vincenzo Nastasi
Nastasi, Vincenzo
Roma : Futura 2000, 1989
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Fondos |
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| 89 |
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Libro |
Assicurazione dei depositi, coefficienti patrimoniali e copertura dei rischi bancari / di Francesco Drudi e Roberto Tedeschi
Drudi, Francesco
Roma : Banca d’Italia, 1994
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Fondos |
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| 90 |
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Libro |
L’assicurazione nell’attivita bancaria / di Giorgio Szego
Szego, Giorgio P.
Roma : Banca d’Italia, 1986
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Fondos |
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| 91 |
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Artículo |
The association between banks’ performance ratios and market-determined measures of risk / I. Mansur, Hammed Zangeneh and Mark S. Zitz
Mansur, Iqbal
En: Applied economics [Artículos], v. 25, n. 12, dec 1993, p. 1503-1510
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| 92 |
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Artículo |
Asymmetric information and optimal bank reserves / Richard Cothren
Cothren, Richard D.
En: Journal of money, credit and banking [Artículos], vol. 19, n. 1, february 1987, pp. 68-77
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| 93 |
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Libro |
Asymmetric information, heterogeneity in risk perceptions and insurance : an explanation to a puzzle / by Kostas Koufopoulos
Koufopoulos, Kostas
London : London School of Economics. Financial Markets Group, 2002
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Fondos |
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| 94 |
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Artículo |
L’attitude des autorités françaises face au ratio Cooke / Ariane Obolensky
Obolensky, Ariane
En: Revue française d’économie [Artículos], v. 5, n. 1, hiver 1990, p. 31-38
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| 95 | 978-3-030-92466-9 (en línea) | Libro |
Audit defense [Recurso electrónico] : a management audit readiness guide / Ed Danter.
Danter, Ed
Cham : Palgrave Macmillan, 2022.
https://doi.org/10.1007/978-3-030-92466-9
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