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1、英国本科课程论文BANKINGANDFINANCE-->本文主要从银行分析,由代写留学生论文中心策划组提供。是英文语种、BANKINGANDFINANCE研究方向、不需要数据处理的本科课程论文BAAssignment,不需要盲审(博士或硕士生有这个需要),如有需求请联系本站论文购买中心或者提交相关文章的代写需求。IntroductionBankriskisthepossibilitiesofthebankincurredfinanciallossesduetovariousfactorsintheoperation,orthe
2、possibilityofthebank'sassetsandinelosses.Thebankriskgenerallyincludeliquidityrisk,interestrisk,creditrisk,operationalrisk,legalriskandmbabyllreputationrisk.Beforethecurrentfinancialcrisis,mercialbanksuseaprehensiveriskmanagementstrategy.Thisessayanceandbankriskdurin
3、gthecurrentfinancialcrisis;Finally,itanceandbankriskduringthecurrentfinancialcrisis23.Thetheoryoftoobigtofailanditsinfluenceonbanks’risktakingstrategies4Conclusion6Reference6ConclusionInshort,thefinancialcrisisandsomelaentsforriskmanagementofmercialbanks.Italsomakes
4、regulatorspaymoreandmoreattentionto"toobigtofail"phenomenonandproposesolutions.Thisistheenlightenmentandexperiencefromthefinancialcrisis.Reference[1]RonnieSadka.(2010).Liquidityriskandthecross-sectionofhedge-fundreturns.JournalofFinancialEconomics,11,54-71[2]MiguelA
5、.Martı́nez,BelénNieto,GonzaloRubio,MikelTapia.(2005).Assetpricingandsystematicliquidityrisk:AnempiricalinvestigationmbabylloftheSpanishstockmarketRevieicsFinance,1,81-103[3]RonnieSadka.(2011).Liquidityriskandaccountinginformation.JournalofAccountingandEcon
6、omics,8,15-76[4]RonAlquist.(2010).Hoportantisliquidityriskforsovereignbondriskpremia?EvidencefromtheLondonstockexchange.JournalofInternationalEconomics,11,219-229[5]J.Daley,K.Mattheaica.JournalofInternationalFinancialMarkets,InstitutionsandMoney,6,290-303[6]NassimN.
7、Taleb,CharlesS.Tapiero.(2010).Riskexternalitiesandtoobigtofail.PhysicaA:StatisticalMechanicsanditsApplications,9,3503-3507[7]atthiasHolBritishindustrialpolicy.(2011).TechnologicalForecastingandSocialChange.10,1286-1298[8]AdrianPop,DianaPop.Requiemformarketdiscipline
8、andthespecterofTBTFinJapa-->nesebanking.(2009).TheQuarterlyRevieicsandFinance,11,1429-1459