... credit risk for stable as well as instable bank position for both types of banks; commercial, Islamic, (Ghenimi, Chaibi, & Omri, ...of risk for the banking sector of this ...in taking the level ...
... We find little support for our hypotheses. Boys and girls in Colombia are equally competitive in all four tasks using both competitiveness measures. This is not the case in Sweden. Girls in Sweden increase their ...
... We are grateful for comments from Johan Almenberg, Thomas Buser, Alison Cool, Bart Golsteyn, Moshe Hoffman, Magnus Johannesson, Astri Muren, David G. Rand and seminar participants at ESA Copenhagen 2010, Gruter’s Squaw ...
... bank risktaking when banks compete in a monopolistically competitive deposit market, and then exploit such association to study the effects of bank mergers and deposit insurance on the risk ...
... Resumen: La presente investigación tuvo como objetivo la validación de la Escala Domain - Specific Risk -Taking (DOSPERT) Scale en la población colombiana. Esta prueba creada por Blais y Weber (2002) mide ...
... utilizado con frecuencia en el ámbito anglosajón es la Aversion to RiskTaking Scale (Escala de Aversión al Riesgo; en adelante ARTS) propuesta por Dorn y Machin (2004). Se trata de una medida de ...
... more risk in the expectation of maintaining a positive intermediation ...that risktaking increases with the degree of substitutability for a fixed number of banks in the ...
... En esta investigación se decidió utilizar la tasa de intervención real porque al incorporar la tasa nominal en el modelo, el efecto de la tasa de inflación terminaba afectando el crecimi[r] ...
... of risk-taking behavior, allowing to identify risk-prone people and to implement prevention ...towards risk can modulate the main behavior of interest ...
... “RiskTaking”, so it seems that people tend to attribute the causes of events outside, will also avoid entering into risky situations, probably because they do not warn about the possibility of personal ...
... bank risk for a sample of commercial banks in the Baltic countries over the period ...individual risk-taking behaviour of banks, and could be detrimental to the stability of the banking sector in the ...
... seismic risk-benefit analysis are more focused on examining benefits and costs associated with three hypothetical earthquakes of varying magnitudes and frequencies for different kind of land ...
... formalized risk management ...of risk recently interpret it as a need to change and build up their risk management programs, or shrug it off and hope it doesn’t happen again? The world is moving ...
... Disaster Risk Index (UDRi) (also known in the literature as Urban Seismic Risk Index – USRi when seismic risk is assessed) provides a holistic view of disaster risk by capturing through ...
... the risk assessment approaches presented ...in risk assessment (NRC, ...the risk, and it is not clear to the risk manager what the uncertainty of the calculated risk is – only that the ...
... Before we get into the legal risk analysis we need to remember a few things. First, the fact that the software is free does not imply property. No matter if the software was obtained for free or paying money for ...
... credit risk is not homogenous amongst sovereigns/corporations and US/non-US ...default risk depend more strongly on global than on country ...credit risk, Longstaff et ...peripheral risk plays ...
... Disaster risk estimation is an important task to ensure a sustainable development which requires a multidisciplinary approach that takes into account not only the expected physical damage, the number and type of ...
... financial risk to the ...financial risk in the ...financial risk to providers (IPS), while on the fee-for-service scheme the EPS bears all financial ...
... In the end, web globalization isn’t just about translating one site; it’s about creating entirely new web sites. The challenges extend well beyond language and require the support of your entire organization. Yet despite ...