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book (6)


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Financial systems in transition : a flow of funds analysis of financial evolution in Eastern Europe and Central Asia
Authors: ---
ISBN: 9810244061 9812792260 9789812792266 9789810244064 Year: 2000 Volume: 6 Publisher: Singapore ; River Edge, NJ : World Scientific Pub.,

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Abstract

It is now ten years since the former Soviet Union collapses and the countries of Europe and Central Asia abandoned central planning. Enough experience has accumulated to allow a more reflective study of the transition period. One of the most critical elements of the transition to a market-based economy has been the establishment of the institutions and markets that constitute a financial system. This book examines financial transition through the lens of flow of funds accounts. These accounts have been used in the OECD countries for many years as an aid in analyzing money flows around their fi


Book
Operational risk control with Basel II
Author:
ISBN: 1281003174 9786611003173 0080473636 9780080473635 1417507780 9781417507788 9780750659093 0750659092 9781281003171 6611003177 Year: 2004 Publisher: Amsterdam Boston Elsevier Butterworth-Heinemann

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Abstract

This book:*provides a sound methodology for operational risk control*focuses on management risk and ways to avoid it*explains why and how information technology is a major operational risk*shows how to integrate cost control in the operational risk perspective*details analytical approaches to operational risk control, to help with scorecard developments*explains the distinction between High Frequency Low Risk and Low Frequency High Risk events*provides many case studeies from banking and insurance to demonstrate the attention operational risks deserve*Assist


Book
Codes of Finance
Author:
ISBN: 9780691151502 0691151504 9786613212610 1283212617 1400840465 9781400840465 Year: 2011 Publisher: Princeton, NJ

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Abstract

The financial industry's invention of complex products such as credit default swaps and other derivatives has been widely blamed for triggering the global financial crisis of 2008. In Codes of Finance, Vincent Antonin Lépinay, a former employee of one of the world's leading investment banks, takes readers behind the scenes of the equity derivatives business at the bank before the crisis, providing a detailed firsthand account of the creation, marketing, selling, accounting, and management of these financial instruments-and of how they ultimately created havoc inside and outside the bank.

Keywords

Private finance --- Organization theory --- AA / International- internationaal --- FR / France - Frankrijk --- 333.605 --- 333.130.1 --- Nieuwe financiële instrumenten. --- Bankbedrijf. Buiten-balans verrichtingen. --- Bank management --- Derivative securities --- Financial engineering --- Selling --- Banks and banking --- Salesmanship --- Salesmen and salesmanship --- Business --- Retail trade --- Advertising --- Marketing --- Sales promotion --- Computational finance --- Engineering, Financial --- Finance --- Derivative financial instruments --- Derivative financial products --- Derivative instruments --- Derivatives (Finance) --- Financial derivatives --- Securities --- Structured notes (Securities) --- Management --- Bankbedrijf. Buiten-balans verrichtingen --- Nieuwe financiële instrumenten --- E-books --- 2008 financial crisis. --- CGPs. --- General Bank. --- back-office managers. --- bank. --- banks. --- border control. --- capital guarantee products. --- client preference. --- clients. --- codes. --- commoditization. --- competition. --- costs. --- credit default swaps. --- derivation. --- derivatives. --- economic derivation. --- economic goods. --- economic theorists. --- financial crisis. --- financial industry. --- financial instruments. --- financial operators. --- financial products. --- front office. --- high-maintenance products. --- investors. --- market values. --- market. --- markets. --- opaque strategies. --- portfolios. --- pricer. --- products. --- reverse finance. --- risks. --- salespeople. --- securities. --- services. --- traders. --- trading room. --- value creation.

International financial instability
Authors: --- ---
ISSN: 17933641 ISBN: 9812707638 9786611918569 1281918563 9812708731 9789812708731 9789812707635 9781281918567 6611918566 Year: 2007 Volume: v. 2 Publisher: New Jersey World Scientific

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Abstract

This book explores the potential and problems of bank safety and efficiency arising from the rapidly growing area of cross-border banking in the form of branches or subsidiaries with primarily only national prudential regulation. There are likely to be differences in the treatment of the same bank operating in different countries or of different banks from different home countries operating in the same country with respect to deposit insurance provisions, declaration of insolvency, resolution of insolvencies, and lender of last resort protection. The book identifies these protection problems


Book
Closing a failed bank
Authors: ---
ISBN: 9781616350277 161635027X 1455252247 9786613860590 1455256285 1455254266 1283548143 9781455254262 9781283548144 9781455256280 Year: 2011 Publisher: [Washington, D.C.]

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Abstract

This manual addresses problem bank resolution from the time a bank is identified as being in financial trouble through intervention to liquidation. It comes with an interactive CD-Rom from which users can download and tailor documents to use in their own closing processes. The book draws on the author’s lengthy career as a bank liquidator for the Federal Deposit Insurance Corporation and Resolution Trust Corporation and his worldwide consulting experience with the IMF and other international organizations.

Keywords

Bank failures --- Liquidation --- Banques --- Liquidation (Droit) --- Handbooks, manuals, etc. --- Faillites --- Guides, manuels, etc. --- AA / International- internationaal --- 333.17 --- 333.130.1 --- 657.42 --- U28 - Droit de l'insolvabilité - Insolventierecht --- Banks and banking --- -Liquidation --- 332.1 --- Winding up of companies --- Commercial law --- Corporation law --- Liquidating dividends --- Partition --- Agricultural banks --- Banking --- Banking industry --- Commercial banks --- Depository institutions --- Finance --- Financial institutions --- Money --- Failure of banks --- Business failures --- Crises, saneringen en hervormingen van het bankwezen. --- Bankbedrijf. Buiten-balans verrichtingen. --- Financiële boekhouding van banken en verzekeringen. --- State supervision --- Law and legislation --- Business & Economics --- Bank failures. --- Liquidation. --- E-books --- Bankbedrijf. Buiten-balans verrichtingen --- Crises, saneringen en hervormingen van het bankwezen --- Financiële boekhouding van banken en verzekeringen --- Banks and Banking --- Finance: General --- Financial Risk Management --- Public Finance --- Industries: Financial Services --- Corporate Finance --- Banks --- Depository Institutions --- Micro Finance Institutions --- Mortgages --- Financial Institutions and Services: Government Policy and Regulation --- Taxation, Subsidies, and Revenue: General --- Financial Institutions and Services: General --- Public Administration --- Public Sector Accounting and Audits --- Economic & financial crises & disasters --- Public finance & taxation --- Financial services law & regulation --- Bank resolution --- Loans --- Bank liquidation --- Legal support in revenue administration --- Financial crises --- Revenue administration --- Bank deposits --- Financial services --- Crisis management --- Revenue --- Financial services industry --- United States

Economic capital allocation with Basel II
Author:
ISBN: 9780750661829 0750661828 9780080472560 0080472567 9786611003371 1281003379 Year: 2004 Publisher: Amsterdam Boston Elsevier, Butterworth Heinmann

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Abstract

This book is a complimentary follow-on book to Operational Risk Control with Basel II. While the previous book focuses on operational risk, Economic Capital Allocation provides an overview of credit risk within the context of the Basel II accords.The book provides:* comprehensive coverage of the evolution of the banking industry with Basel II in mind* extensive information on the capital requirements for bank liquidity and solvency * coverage of the new rules as laid down by the supervisory authorities of the Group of Ten industrialized nations* key information on the

Keywords

Business policy --- Banks and banking --- Risk management. --- Capital. --- Credit. --- Borrowing --- Finance --- Money --- Loans --- Capital assets --- Fixed assets --- Economics --- Capitalism --- Infrastructure (Economics) --- Wealth --- Insurance --- Management --- State supervision. --- Basel II --- Bâle II --- Basel Accord --- Basel Capital Accord --- Basel II Capital Accord --- Convergence internationale de la mesure et des normes de fonds propres --- Convergencia internacional de medidas y normas de capital --- Convergenza internazionale della misurazione del capitale e dei coefficienti patrimoniali --- International Convergence of Capital Measurement and Capital Standards --- Internationale Konvergenz der Eigenkapitalmessung und der Eigenkapitalanforderungen --- Risk management --- Capital --- Credit --- State supervision --- Basle Committee on Banking Supervision. --- Basel Committee on Banking Supervision --- Baseler Ausschuss für Bankenaufsicht --- Comité de Bâle sur le contrôle bancaire --- Basler Ausschuss für Bankenaufsicht --- Comitato di Basilea per la vigilanza bancaria --- Comité de Supervisión Bancaria de Basilea --- Committee on Banking Regulations and Supervisory Practices (Basel, Switzerland) --- E-books --- AA / International- internationaal --- 333.130.1 --- 333.130.2 --- 333.70 --- 333.109 --- -Risk management --- 332.041 --- Agricultural banks --- Banking --- Banking industry --- Commercial banks --- Depository institutions --- Financial institutions --- Bankbedrijf. Buiten-balans verrichtingen --- Bankliquiditeit. Verplichte reserves. Solvabiliteit --- Theorie en organisatie van het bankkrediet --- Veiligheid. Bankovervallen. Bankrisico's

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