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Showing 1 to 14 of 14 for “"European banks"”.

  1. Essays on European Banks' Consolidation, Integration and Systemic Risk

    This thesis consists of three essays about European banks and provides several useful policy implications for bank supervisors, regulators and managers. In the first essay, firstly, we find some evidences that size, liquidity ratio, efficiency, leverage ratio, tier 1 ratio, concentration ratio, …

    essex Repository record for Essays on European Banks' Consolidation, Integration and Systemic Risk (opens in a new tab)

  2. CRR/CRD IV: An empirical analysis on the impact of the regulatory requirements on the dividend policy and pay out of European banks.

    La crisis financiera de 2007/2008 dio lugar a varias discusiones sobre el impacto de la regulación del mercado financiero. Principalmente, tal crisis fue causada por los problemas en un sistema financiero internacional e interconectado y sus efectos a varios niveles, lo que llevó a una política …

    murcia-diss Repository record for CRR/CRD IV: An empirical analysis on the impact of the regulatory requirements on the dividend policy and pay out of European banks. (opens in a new tab)

  3. Optimal regulatory design in banking in transition economies

    … all related to the optimal regulatory design of banks in transition economies. The contributions in this dissertation are mainly empirical, but also contain some significant theoretical insights. The countries under investigation are Russia (Part I) and Central and Eastern Europe (Part II). In a …

    ghent Repository record for Optimal regulatory design in banking in transition economies (opens in a new tab)

  4. Globalizzazione e sistema bancario europeo: Determinanti e impatto sulla redditività

    Based on a dataset that allows tracking banks across four Euro countries and across different modes of foreign entry, this study addresses the multi-nationalization strategies of European banks in the aftermath of the financial crisis of 2007. In this period the relevant regulatory activities that …

    cagliari Repository record for Globalizzazione e sistema bancario europeo: Determinanti e impatto sulla redditività (opens in a new tab)

  5. The evaluation of the impact of risk disclosure and bank-level stability: an empirical study of European and US banks

    … disclosure and bank-level stability of US and European banks. More specifically, four main topics have been empirically examined: the impact of risk disclosure following the implementation of Basel II pillar III on bank-level stability; the response of banks’ level of risk disclosure to the …

    middlesex

  6. Comparing bank mergers in Europe and the USA: bidding bank performance

    … of continuing merger activity in the US and European banking sectors, this thesis (i) compares the performance implications of bank mergers and acquisitions (M&A) for bidding banks in both geographic regions and (ii) seeks to explain reported differences. Research on European bank M&A has …

    whiterose Repository record for Comparing bank mergers in Europe and the USA: bidding bank performance (opens in a new tab)

  7. Die Kapitalstruktur europäischer Emittenten von bedingten Pflichtwandelanleihen im Bankensektor: eine robuste Korrelationsund Portfoliooptimierungsanalyse mit besonderer Berücksichtigung der Wavelet-Analyse und von Bayesschen Netzen

    … comprises capital structure instruments of European banks that have contingent convertible bonds outstanding. The robust estimation procedures focus on the correlation of returns and are based on the Wavelet Analysis and on Bayesian Nets. The estimation results will feature rolling and …

    middlesex Repository record for Die Kapitalstruktur europäischer Emittenten von bedingten Pflichtwandelanleihen im Bankensektor: eine robuste Korrelationsund Portfoliooptimierungsanalyse mit besonderer Berücksichtigung der Wavelet-Analyse und von Bayesschen Netzen (opens in a new tab)

  8. The impact of change in the definition of bank capital according to Basel 3

    … introduced by Basel 3 is the requirement that banks hold more capital. However, the Basel 3 accord also changed the definition of bank capital and the definition of risk-weighted assets (RWAs). In comparing Basel 2 with Basel 3, several changes in the definition of capital appear. It is …

    cape-town Repository record for The impact of change in the definition of bank capital according to Basel 3 (opens in a new tab)

  9. Essays on Sovereign Risk and Banking

    … dynamics. In the second essay we focus on European banks' sovereign bond exposures. By using a novel bank-level dataset covering the entire timeline of the Eurozone crisis, we first reconfirm that the crisi led to the reallocation of sovereign debt from foreign to domestic banks. This …

    city-london Repository record for Essays on Sovereign Risk and Banking (opens in a new tab)

  10. Three essays on econometrics: Network estimators with applications and assessment of the effects of Covid-19 pandemic

    … to reconstruct the network among a set of large European banks using stock prices. Possibly, this network has an important role for better understanding systemic risk in the banking sector, and more broadly, in the financial system. The second part focuses on the assessment of the impact of the …

    trento Repository record for Three essays on econometrics: Network estimators with applications and assessment of the effects of Covid-19 pandemic (opens in a new tab)

  11. Interface of insurance and banking in European countries

    … one of the crucial issues currently facing the European financial institutions, in particular, banks and insurance companies. Currently in Europe, the banks are engaging into insurance business, and, the insurance companies, to a lesser effect, are engaging into banking business. These …

    city-london Repository record for Interface of insurance and banking in European countries (opens in a new tab)

  12. Assessing cost efficiency and economies of scale in the European banking system, a Bayesian stochastic frontier approach

    Cost e_x000E_fficiency of banks is a key indicator that provides valuable insight to researchers and policymakers about the functioning of the _x000C_financial intermediation process, as well as, the overall performance of the entire financial system. This thesis focuses on the cost …

    lsu-thes Repository record for Assessing cost efficiency and economies of scale in the European banking system, a Bayesian stochastic frontier approach (opens in a new tab)