Essays about: "thesis on banking sector"
Showing result 11 - 15 of 84 essays containing the words thesis on banking sector.
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11. Macroprudential Policy Activity and Financial Inclusion: Cross-country analysis of macroprudential tool use
University essay from Lunds universitet/Ekonomisk-historiska institutionenAbstract : Research suggests that multiple trade-offs and synergies characterise the relationship between financial inclusion and financial stability. For example, expanding access to financial services can lead to a more stable banking system but also excessive credit growth and decreased stability. READ MORE
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12. Biodiversity, Ecosystem Services and the Banking Industry - Exploring the Scale of Interdependency and Potential Risks
University essay from Lunds universitet/Internationella miljöinstitutetAbstract : Biodiversity loss and ecosystem service (BES) degradation are translating into different risks for financial institutions which are not accounted for in a sufficient and adequate manner. Being a topic outside its core expertise and foci, the financial sector is lacking assessment methodologies for BES risks. READ MORE
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13. Self-Leadership, a universal or situational concept? : A two-sided perspective between International banks and IT companies - from employees’ point of view
University essay from Södertörns högskola/Institutionen för samhällsvetenskaperAbstract : In today's high pace of globalization and constant development of organizations, it is highly crucial that companies are able to adapt and figure out how to do things differently, such as to resolve how to streamline their work with the resources they have in the best possible way. One way of doing this is through the concept of Self-leadership which is a phenomenon providing the employees with more freedom and working independently more frequently without constant external executive control. READ MORE
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14. A Quantitative Evaluation of Systemic Risk in the European Banking Sector
University essay from Göteborgs universitet/Graduate SchoolAbstract : This paper proposes a cross-section analysis of systemic risk in the European banking sector. The absence of a general definition of systemic risk makes it difficult to use a single, practically relevant model. READ MORE
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15. Challenges for Green Finance in India : An Analysis of Deficiencies in India’s Green Financial Market
University essay from Umeå universitet/FöretagsekonomiAbstract : Context:Over the years, India has evolved as a leading powerhouse of economic growthbut belongs to the nations that are most significantly affected by anthropogenicenviron-mental changes. As part of the Paris Agreement, India has formulated a national climate agenda, but a large gapprevalentin the green financialmarket as well as other deficien-cies in the general bondmarket and the underlying infrastructure restrain the country from attaining those goals. READ MORE