Skip navigation
Home
Browse
Communities
& Collections
Browse Items by:
Author
Title
Subject
Issue Date
Material Type
Language
Access Rights
Help
OAR@UM Help
FAQs
OAR@UM Policies
Submission Forms
Sign on to:
My OAR@UM
OAR@UM
Browsing by Subject Global Financial Crisis, 2008-2009
Jump to:
0-9
A
B
C
D
E
F
G
H
I
J
K
L
M
N
O
P
Q
R
S
T
U
V
W
X
Y
Z
or enter first few letters:
Sort by:
title
issue date
submit date
In order:
Ascending
Descending
Results/Page
5
10
15
20
25
30
35
40
45
50
55
60
65
70
75
80
85
90
95
100
Authors/Record:
All
1
5
10
15
20
25
30
35
40
45
50
Showing results 8 to 27 of 114
< previous
next >
Issue Date
Title
Author(s)
2022
An analysis on the reputation of credit rating agencies
Calleja, Omar (2022)
2021
Assessing the impact of regulatory implementation since joining the European Union : analysing Fisher’s equation of exchange for Malta
Spiteri, Sarah (2021)
2017
Assurance in crisis : a critical appraisal of recent developments in the regulation of bank recoveries and resolutions
Scerri, Kyle
2017
Banks’ risk taking behavior and the optimization monetary policy
Triandhari, Risna
;
Safuan, Sugiharso
;
Syamsudin, M.
;
Alamsyah, Halim
2019
[Book Review] The growth of shadow banking : a comparative institutional analysis
Cassar, Dylan
2019
Capturing volatility spillovers across national stock markets in Asia, Europe and the US
Caruana, Luca (2019)
2019
A case study on the impact of regulatory pressures on governance, due to the global financial crisis, on public banks' performance in the EU Mediterranean Group
Gauci, Glenn (2019)
2010
The challenges of Euro adoption in Romania : some lessons from the Greek experience
Tache, Ileana
2017
The characteristics of the formation of income of multi-child households under conditions of a financial crisis
Khamatkhanova, Makka Alaudinovna
;
Khusnutdinova, Guzeliya Faridovna
2017
Cluster development of innovational entrepreneurship : new possibilities and priorities in the conditions of the innovational economy creation
Bogoviz, Aleksey V.
;
Ioda, Elena V.
;
Ioda, Yulia V.
;
Kuranova, Valentina B.
;
Bobrova, V. V.
2019
Co-movements amongst gold and oil : a multivariate time-varying asymmetric approach
Toumi, Sirine
2017
Commercial lending in Malta : the lending process and associated risks
Falzon, Charlene
2017
A comparative analysis of different stress testing frameworks for assessing risks in the banking sector
Sant, Bernice
2020
A comparative analysis of financial innovation : between Germany and China following the 2007/9 financial crises
Aquilina, Owen (2020)
2018
A comparative analysis of three major financial crises : the Asian crisis, the Japanese ‘lost decade’ and the U.S. sub-prime mortgage crisis
Abdulrahman, Lubna
2017
Comparing state pension reforms in EU countries before and after 2008
Grech, Aaron George
2015
Convergence or divergence? How the financial crisis affected European pensioners
Grech, Aaron George
2016
CRD IV : a post-financial crisis reaction to banking regulation : does more regulation make banks safer?
Debattista, Kyle
2015
Credit risk and credit risk mitigation : a study on European banks
Galea, Christabelle
2021
A critical analysis of the functions of the European Systemic Risk Board and the effect of macro-prudential supervision on Malta
Stellini, Ayrton (2021)