Banking, Risk and Crises in Europe

Banking, Risk and Crises in Europe

From the Global Financial Crisis to COVID-19

Matysek-Jedrych, Anna; Niedziolka, Pawel; Karkowska, Renata; Korzeb, Zbigniew

Taylor & Francis Ltd

12/2024

184

Mole

9781032397436

Pré-lançamento - envio 15 a 20 dias após a sua edição

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1. Introduction: European banking transformation (the COVID-19 impact) 2. COVID-19 versus historical pandemics: Economic, social, and political impact 3. Banking crises: Theory, practice and the special case of a pandemic as a source of a banking crisis 4. European banking sector performance: From global financial crisis to COVID-19 pandemic 5. Policy response in the banking sector in the context of the COVID-19 epidemic 6. Changing the business model of banking operations 7. Transforming credit risk in the light of the COVID-19 pandemic 8. Challenges in managing other banking risks 9. Post-COVID-19 European banking sector: What is the "new normal"?
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Banking;banks' business model;COVID-19;credit;European Banking Sector;Banking Sector;ECB;Noninterest Income;Select EU Country;ESG Risk;Credit Holidays;Pandemic Crisis;Spanish Flu;PLN;Bank Profitability;Basel III;IFRS;MERS;SIFIs;Applying International Financial Reporting Standards;EU ETS;MERS Case;Cva;ECB's Action;Climate Risk;Sure;Banking Crises;NBP;Bank Liquidations