[PDF][PDF] Spis treści–cd.

F SCHRÖDER - 2018 - humanum.org.pl
ECB's negative interest rate policy leads to more and more higher liquidity in banks. Higher
risks for commercial banks are suspected from this. The article researches the effects on …

[PDF][PDF] Liquidity risk management in the banking book: a practical framework approach to Basel III regulations

PC Nkou Mananga - 2012 - core.ac.uk
The recent market turmoil caused by the subprime crisis highlighted the fact that an
inappropriate liquidity risk management process may strongly affect the capacity of banks to …

[PDF][PDF] The management and the analysis of the commercial banks' liquidity risk

MD RODEAN, N BALTEŞ… - International Finance and …, 2016 - ebsco.ectap.ro
Maintaining an optimal level of a commercial bank'existing liquidity is one of its management
and supervisors priority. The difficulties that faced commercial banks during the crisis and …

[引用][C] Managing Bank Liquidity Risk–The Case of Croatia

I Šverko, Z Martinovski - International Conference of the School of …, 2008 - croris.hr
Sažetak The aim of this articel is to show liquidity risk principles in Croatian banking sector

[PDF][PDF] A Case of Liquidity Risk: Demirbank

M YAZICI - researchgate.net
Liquidity risk is the possible loss of funds as a result of not being able to find the required
amount of funds at an appropriate cost when needed or not being able to sell a financial …

Upravljanje rizikom likvidnosti kao dio upravljanja aktivom i pasivom banke

I Živko - Zbornik radova Ekonomskog fakulteta u Sarajevu, 2005 - ceeol.com
Banks, like other firms, borrow money and transform it into different forms of assets. Liquidity
of banks is its ability to meet all payment obligations. Liquidity risk is the possibility of …

[PDF][PDF] Influence of the financial crisis on regulatory approach to liquidity risk in the light of guidelines of the Basel Committee on Banking Supervision

D Skała - Zeszyty Naukowe Uniwersytetu Szczecińskiego …, 2011 - go4business.wneiz.pl
Liquidity has recently re-emerged as a central point within bank risk management, following
the financial markets turmoil that started in mid-2007. in this paper, liquidity risk is studied in …

LIQUIDITY RISK MANAGEMENT MODEL FOR LOCAL BANKS.

P Aniunas, G Gipiene, M Valukonis… - … in Business & …, 2017 - search.ebscohost.com
The liquidity risk problem is predefined by the nature of banking and arises due to maturity
mismatches, when fixed assets (loans, securities) are financed by short-term deposits …

How do banks make the trade-offs among risks? The role of corporate governance

HJ Chen, KT Lin - Journal of Banking & Finance, 2016 - Elsevier
This study analyzes the role of corporate governance in the relationship among credit,
interest rate, and liquidity risks encountered by banks. In particular, the study investigates …

Liquidity risk and interest rate risk on banks: are they related?

C Baldan, F Zen - The IUP Journal of Financial Risk Management …, 2012 - papers.ssrn.com
The study aims at ascertaining whether a relationship exists between the liquidity risk and
the interest rate risk of credit institutions. By analysing the balance sheet of a small Italian …