Browsing by Subject Global Financial Crisis, 2008-2009

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Showing results 14 to 33 of 114 < previous   next >
Issue DateTitleAuthor(s)
2019A case study on the impact of regulatory pressures on governance, due to the global financial crisis, on public banks' performance in the EU Mediterranean GroupGauci, Glenn (2019)
2010The challenges of Euro adoption in Romania : some lessons from the Greek experienceTache, Ileana
2017The characteristics of the formation of income of multi-child households under conditions of a financial crisisKhamatkhanova, Makka Alaudinovna; Khusnutdinova, Guzeliya Faridovna
2017Cluster development of innovational entrepreneurship : new possibilities and priorities in the conditions of the innovational economy creationBogoviz, Aleksey V.; Ioda, Elena V.; Ioda, Yulia V.; Kuranova, Valentina B.; Bobrova, V. V.
2019Co-movements amongst gold and oil : a multivariate time-varying asymmetric approachToumi, Sirine
2017Commercial lending in Malta : the lending process and associated risksFalzon, Charlene
2017A comparative analysis of different stress testing frameworks for assessing risks in the banking sectorSant, Bernice
2020A comparative analysis of financial innovation : between Germany and China following the 2007/9 financial crisesAquilina, Owen (2020)
2018A comparative analysis of three major financial crises : the Asian crisis, the Japanese ‘lost decade’ and the U.S. sub-prime mortgage crisisAbdulrahman, Lubna
2017Comparing state pension reforms in EU countries before and after 2008Grech, Aaron George
2015Convergence or divergence? How the financial crisis affected European pensionersGrech, Aaron George
2016CRD IV : a post-financial crisis reaction to banking regulation : does more regulation make banks safer?Debattista, Kyle
2015Credit risk and credit risk mitigation : a study on European banksGalea, Christabelle
2021A critical analysis of the functions of the European Systemic Risk Board and the effect of macro-prudential supervision on MaltaStellini, Ayrton (2021)
2015A critical analysis of the impact on European banking supervision as a result of the implementation of the single supervisory mechanismAgius, Denise Marie
2021A critical assessment of the no creditor worse off principle (NCWO)Talbot, Celine (2021)
2020De-risking and sources of finance : the EU caseUrpani, Dirk (2020)
2014Debt crisis and fiscal consolidation in SpainGaletić, Fran; Ostojić, Maja
2018Determinants of the level of non-performing loans in commercial banks of transition countriesMazreku, Ibish; Morina, Fisnik; Misiri, Valdrin; Spiteri, Jonathan V.; Grima, Simon
2022The development of credit risk management after the financial crisisCamilleri, Jamie (2022)