<An> Exposure of Commercial Banks in the Terms of an Impact of Government Bondholding with the Context of Its Risks and Implications
Aktuálne otázky týkajúce sa vládnych dlhopisov komerčných bánk v roku 2006.
Uložené v:
| Hlavný autor: | |
|---|---|
| Ďalší autori: | , , |
| Médium: | Kapitola |
| Jazyk: | English |
| Predmet: | |
| Tagy: |
Žiadne tagy, Buďte prvý, kto otaguje tento záznam!
|
Podobné jednotky: <An> Exposure of Commercial Banks in the Terms of an Impact of Government Bondholding with the Context of Its Risks and Implications
- Government bondholding of commercial banks in the Central European countries before and during the financial and debt crisis
- Wealth Creation through Corporate Diversification – the Bondholders’ Perspective
- Holdings of government bonds by commercial banks during the financial and debt crisis in Europe
- Main risk margin determinants of government bonds of Visegrad group countries
- Analysis of Macroeconomic Fundamentals of V4 Countries and Their Impact on Bond Risk Spreads
- Investment products of commercial banks for SME