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Showing 1 to 17 of 17 for “"Too big to fail"”.

  1. A "too big to fail" elve és alkalmazása az USA-ban a 2007-2008-as válság folyamán

    Dolgozatom központi témája a "too big to fail" jelensége, melynek először közgazdasági elméleti hátterét vizsgálom, majd pedig az elvnek az Amerikai Egyesült Államokban, a 2007-ben kezdődő subprime válság és az abból kialakuló világméretű Nagy Recesszió folyamán történt főbb alkalmazásait tekintem …

    debrecen Repository record for A "too big to fail" elve és alkalmazása az USA-ban a 2007-2008-as válság folyamán (opens in a new tab)

  2. Probing local group galactic substructure with cosmological simulations

    … the problems have been the missing satellite, too big to fail, and cusp/core problems, which concern the expected abundance of satellites and their inner structure. This Ph.D. thesis consists of a series of studies using dark matter only cosmological N-body simulations of MW-mass galaxies to

    mit Repository record for Probing local group galactic substructure with cosmological simulations (opens in a new tab)

  3. Essays on Banking and the Macroeconomic Effects of Financial Intermediation

    … through a bank capital channel and that Too-Big-To-Fail (TBTF) policies helped the economy avoid a deeper recession by reducing the effects of this channel in the case of big banks. In my model, when the banking sector is hit with a negative systemic shock, small banks contract their …

    umn Repository record for Essays on Banking and the Macroeconomic Effects of Financial Intermediation (opens in a new tab)

  4. Financial stability of the banking sector - interbank contagion, market discipline, and macroeconomic roots of crises

    … the systemic risk of the banking sector and justifies an overhaul. First, it simulates the contagion impact of the UK interbank market. Subject to a number of assumptions (netting agreement, seniority, etc), it finds that the contagion is much severer if the simulation uses …

    birmingham Repository record for Financial stability of the banking sector - interbank contagion, market discipline, and macroeconomic roots of crises (opens in a new tab)

  5. Fall of the Titans, a study of the financial behemoths that crumbled in 2008

    … and their greed. This study goes back to that tumultuous period of 2007-2009, when some of the world's biggest names in finance, the players that were considered "too big to fail", failed. Through careful studies of international and American economics, politics and society, the first …

    mit Repository record for Fall of the Titans, a study of the financial behemoths that crumbled in 2008 (opens in a new tab)

  6. A practical implementation of XVA in the new normal

    … the time, society witnessed the collapse of the “too big to fail” institutions. Gaping holes within the existing risk framework lurked, which both regulators and practitioners failed to detect. This dissertation discusses the symptoms of the crisis that were overlooked and explores the financial …

    pretoria Repository record for A practical implementation of XVA in the new normal (opens in a new tab)

  7. Financial crisis : through various perspectives

    … Monetary policy can be explained according to the BB-NN and IS-LM models. Another way to view the crisis is from a banking perspective by analyzing the changes in the financial market and the deregulation of the banking industry. As the financial sector has grown enormously over the past …

    mit Repository record for Financial crisis : through various perspectives (opens in a new tab)

  8. Three Essays in Empirical Asset Pricing

    The financial crisis of 2007-2008 led to extraordinary government intervention in firms and markets. The scope and depth of government action rivaled that of the Great Depression. Many traded markets experienced dramatic declines in liquidity leading to the existence of conditions normally assumed …

    uiuc Repository record for Three Essays in Empirical Asset Pricing (opens in a new tab)

  9. Liberalización financiera y disciplina de mercado en diferentes entornos legales e institucionales : implicaciones sobre el riesgo bancario

    Esta tesis doctoral tiene como objetivo proporcionar evidencia empírica internacional sobre la influencia de la liberalización financiera y de la disciplina de mercado en la estabilidad bancaria en diferentes entornos legales e institucionales. Dicho objetivo se puede desglosar en tres: 1) el …

    oviedo Repository record for Liberalización financiera y disciplina de mercado en diferentes entornos legales e institucionales : implicaciones sobre el riesgo bancario (opens in a new tab)

  10. Gambling on a bail-out : regulation, moral hazard and time inconsistencies in the international banking system

    The purpose of this thesis is to analyze the international banking system from a broad perspective. The intent is to study the legal and regulatory framework in modern banking in order to gain insights into key debates that are currently taking place amongst policy planners on an optimum banking …

    bifrost Repository record for Gambling on a bail-out : regulation, moral hazard and time inconsistencies in the international banking system (opens in a new tab)

  11. An Examination of the Reno Sparks Real Estate Bubble

    … at the local, state and national level have led to the near consensus conclusion that the US has experienced a housing bubble. While many formal definitions of a bubble exist, the common concept is that a bubble forms when the actual market price increases above the "fundamental" price, which is …

    unr Repository record for An Examination of the Reno Sparks Real Estate Bubble (opens in a new tab)

  12. Banking in Lebanon : an empirical investigation of performance, capitalisation and mergers

    … of Lebanese banks between 1993 and 2003 to analyse the (different) detenninants of domestic and foreign banks' profitability. Using the Fixed Effects Regression Model, we find that foreign banks are more profitable than domestic ones and factors that shape a domestic bank's profitability …

    city-london Repository record for Banking in Lebanon : an empirical investigation of performance, capitalisation and mergers (opens in a new tab)

  13. Banking sector of the Russian Federation : study of the correlation between commodity prices and key safety, soundness and performance indicators

    The purpose of this work is to provide a comprehensive overview of the state of banking system in Russia, and to understand its core dependencies and potential risks. The system, the way we find it now, has evolved though difficult transition from highly centralized and planned Soviet economy to

    mit Repository record for Banking sector of the Russian Federation : study of the correlation between commodity prices and key safety, soundness and performance indicators (opens in a new tab)

  14. Impact of financial distress on UK bank performance and customer loyalty : an empirical study.

    … financial crisis of 2007 which is considered to be the worst since the Great Depression of the 1930s, it is evident that no bank is too big to fail. There have been a number of corporate failures in recent years, including instances in the United Kingdom. These events, therefore, motivated …

    uwtsd Repository record for Impact of financial distress on UK bank performance and customer loyalty : an empirical study. (opens in a new tab)

  15. Le novità di Basilea III e le implicazioni per le banche italiane

    … we first present the reasons that have brought to the Basel III framework – development of the previous Basel I and Basel II Accords – and the possible operational and strategic consequences for the banks. The new rules derive from critical issues arisen within the previous regulation, namely:  …

    cagliari Repository record for Le novità di Basilea III e le implicazioni per le banche italiane (opens in a new tab)

  16. Ethical business modeling: developing a business model for the REIT industry towards an ethical structure

    … and validity of a questioning framework to better understand the Real Estate Investment Trust (REIT) business model. This framework will equip investors to navigate the rough seas of public equity investing. As an equity research analyst with two decades of experience, I aspire to enhance …

    middlesex Repository record for Ethical business modeling: developing a business model for the REIT industry towards an ethical structure (opens in a new tab)