Publications Search Results

August 22, 2014
 

The Search found 15 of 13652 documents sorted by Date with the following criteria:
Subject/Keyword: Basel II

 
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1. Title: Estimating the Costs of Financial Regulation
  Author/Editor: Santos, Andre ; Elliott, Douglas
  Series: Staff Discussion Notes No. 12/11
  Published: September 11, 2012
  Subject(s): Financial institutions | Capital markets | Banks | Bank reforms | Bank supervision
  Author's Keyword(s): Basel III | Systemically Important Institutions | Banks | Financial Regulation | Capital Requirements | Liquidity Requirements
 
2. Title: Global Financial Stability Report, April 2012: The Quest for Lasting Stability
  Author/Editor: International Monetary Fund. Monetary and Capital Markets Department
  Series: Global Financial Stability Report
  Published: April 18, 2012
  Author's Keyword(s): Deleveraging | sovereign debt | safe assets | Capital Adequacy Ratios | euro area credit supply | financial market supervision | Basel III | financial regulatory framework | longevity risk
 
3. Title: The Global Macroeconomic Costs of Raising Bank Capital Adequacy Requirements
  Author/Editor: Roger, Scott ; Vitek, Francis
  Series: Working Paper No. 12/44
  Published: February 01, 2012
  Subject(s): Banks | Capital | Cross country analysis | Economic models | Monetary policy | Spillovers
  Author's Keyword(s): Capital requirements | Basel III
 
4. Title: Bank Funding Structures and Risk: Evidence from the Global Financial Crisis
  Author/Editor: Vázquez, Francisco F. ; Federico, Pablo
  Series: Working Paper No. 12/29
  Published: January 01, 2012
  Subject(s): Bankruptcy | Banks | Financial crisis | Global Financial Crisis 2008-2009 | Risk management
  Author's Keyword(s): Bank capital | bank liquidity creation | financial crisis | Basel III | macro-prudential regulations
 
5. Title: Bank Capital Adequacy in Australia
  Author/Editor: Jang, B. ; Sheridan, Niamh
  Series: Working Paper No. 12/25
  Published: January 01, 2012
  Subject(s): Bank supervision | Banking sector | Capital | Australia
  Author's Keyword(s): Australia | Canada | Basel II | Basel III | capital | loss given default | probability of default | stress tests
 
6. Title: How Risky Are Banks’ Risk Weighted Assets? Evidence from the Financial Crisis
  Author/Editor: Das, Sonali ; Sy, Amadou N. R.
  Series: Working Paper No. 12/36
  Published: January 01, 2012
  Subject(s): Asset management | Bank supervision | Banks | Credit risk | Financial crisis | Global Financial Crisis 2008-2009 | Investment | Stock prices
  Author's Keyword(s): Banks | capital | crisis | liquidity | regulation | risk weighted assets | Basel III
 
7. Title: Next Generation System-Wide Liquidity Stress Testing
  Author/Editor: Schmieder, Christian ; Hesse, Heiko ; Neudorfer, Benjamin ; Puhr, Claus ; Schmitz, Stefan W.
  Series: Working Paper No. 12/3
  Published: January 01, 2012
  Subject(s): Bank supervision | Banks | Financial risk | Liquidity management | Risk management
  Author's Keyword(s): Stress Testing | Liquidity Risk | Basel III
 
8. Title: Developments in Financial Supervision and the Use of Macroprudential Measures in Central America
  Author/Editor: Delgado, Fernando L ; Meza, Mynor
  Series: Working Paper No. 11/299
  Published: December 01, 2011
  Subject(s): Bank regulations | Bank supervision | Banking sector | Basel Core Principles | Central America | Costa Rica | Dominican Republic | El Salvador | Financial stability | Guatemala | Panama
  Author's Keyword(s): Financial regulation | financial supervision | Basel Core Principles | Basel III | macroprudential policy | Central America | Latin America
 
9. Title: Possible Unintended Consequences of Basel III and Solvency II
  Author/Editor: Al-Darwish, Ahmed I ; Hafeman, Michael ; Impavido, Gregorio ; Kemp, Malcolm ; O'Malley, Padraic
  Series: Working Paper No. 11/187
  Published: August 01, 2011
  Subject(s): Accounting | Bank supervision | Banks | Basel Core Principles | Capital | Financial institutions | Insurance | Insurance supervision | Standards and codes
  Author's Keyword(s): Basel III | Solvency II | Cost of Capital | Funding | Interconnectedness.
 
10. Title: Fat Tails and their (Un)happy Endings: Correlation Bias and its Implications for Systemic Risk and Prudential Regulation
  Author/Editor: Chan-Lau, Jorge A. ; International Monetary Fund
  Series: Working Paper No. 11/82
  Published: April 01, 2011
  Subject(s): Asset management | Bank supervision | Banks | Corporate governance | Economic models | Financial institutions | Financial risk | Risk management
  Author's Keyword(s): Basel III | correlation bias | copula capital structure model | corporate governance | prudential regulation | systemic risk.
 
11. Title: Next Generation Balance Sheet Stress Testing
  Author/Editor: Schmieder, Christian ; Puhr, Claus ; Hasan, Maher
  Series: Working Paper No. 11/83
  Published: April 01, 2011
  Subject(s): Bank supervision | Banks | Basel Core Principles | Credit risk | Financial risk | Risk management
  Author's Keyword(s): Stress Testing | Solvency Risk | Credit Risk | Basel II | Basel III
 
12. Title: Impact of Regulatory Reforms on Large and Complex Financial Institutions
  Author/Editor: Ötker, Inci ; Pazarbasioglu, Ceyla
  Series: Staff Position Note No. 2010/16
  Published: November 03, 2010
  Subject(s): Bank reforms | Bank supervision | Banking | Basel Core Principles | Capital controls | Liquidity controls
  Author's Keyword(s): Basel III | business models | capital requirements | financial reform | Large Complex Financial Institutions | regulatory reform | liquidity requirements
 
13. Title: International Diversification Gains and Home Bias in Banking
  Author/Editor: García-Herrero, Alicia ; Vázquez, Francisco F.
  Series: Working Paper No. 07/281
  Published: December 01, 2007
  Subject(s): International banking | Bonds | Bank regulations | Emerging markets
  Author's Keyword(s): International banking | home bias | portfolio diversification | Basel II
 
14. Title: Consistent Quantitative Operational Risk Measurement and Regulation: Challenges of Model Specification, Data Collection, and Loss Reporting
  Author/Editor: Jobst, Andreas
  Series: Working Paper No. 07/254
  Published: November 01, 2007
  Subject(s): Risk management | Bank regulations | Globalization | Banking systems
  Author's Keyword(s): Risk management | operational risk | financial regulation | bank regulation | Basel Committee | Basel II | New Basel Capital Accord | fat tail behavior | extreme tail behavior | extreme value theory | g-and-h distribution | AMA
 
15. Title: Operational Risk--The Sting is Still in the Tail but the Poison Depends on the Dose
  Author/Editor: Jobst, Andreas
  Series: Working Paper No. 07/239
  Published: October 01, 2007
  Subject(s): Financial risk | Bank regulations | Risk management | Economic models
  Author's Keyword(s): Operational risk | risk management | financial regulation | Basel committe | Basel II | New Basel Capital Accord | extreme value theory | generalized extreme value (GEV) distribution
 

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