Buscar
Mostrando ítems 11-20 de 368
Assessing Dodd Frank effects on banking capital structure and Banker´s pay structure
(2014-02-08)
The systemic financial crisis that started in 2008 in the United States had some severe effects in the economic activity and required the bailout of financial institutions with the use of taxpayer’s money. It also originated ...
Do Peruvian financial intermediaries face financial constraints? Evidence from a regulatory change
(2017-01-19)
Os intermediários financeiros como as instituições de micro finanças representam uma fonte significativa de fundos em mercados emergentes. As micro finanças no mercado bancário peruano tiveram uma grande evolução, criando ...
Conflict of interests within the real estate funds industry: empirical evidence from trading behavior of financial institutions
(2018-02-07)
Utilizing a database from B3 (formerly BM&FBOVESPA), we have analyzed if financial institutions that provide Custody and Asset Management within the Real Estate Funds industry and also have a distribution business such as ...
Um estudo sobre a estratégia de expansão de uma escola bilíngüe
(2007)
The present Study of Case has an objective to describe the development of the Project for the opening of a new unit of a bilingual educational organization in the west zone of Rio de Janeiro. The study of case shows the ...
Spread ex-post revisitado: um estudo empírico com base em demonstrações contábeis de instituições financeiras do mercado financeiro brasileiro
(2020-06-24)
O objetivo deste estudo foi avaliar o spread bancário sob uma ótica ex-post, utilizando-se de uma base trimestral de registros contábeis referentes a demonstrações do resultado do exercício de 72 instituições financeiras ...
Determinantes do spread bancário de crédito de recursos livres no Brasil: uma análise por produto
(2019-02-05)
Este estudo tem o objetivo de verificar os fatores que influenciam o nível do spread dos principais produtos do mercado de crédito de recursos livres dos bancos brasileiros. Para isso, foi utilizado o modelo em painel ...
Sale of credit portfolio and risk: the case of financial institutions in Brazil
(2009-04-17)
This study examines whether the sale of credit portfolios are used by financial institutions for risk management, according to Stanton (1998) and Murray (2001) or to capture resources, as indicated in Cebenoyan and Strahan ...
Fintechs as promoters of women’s financial inclusion: a comparative case study between Brazil, China and Kenya
(2022-01-11)
Discussions around the importance of women’s financial inclusion are a result of two main multidimensional issues: financial inclusion itself and gender equality. From the 1.7 billion people in this world that do not have ...
Board of directors and top management team: a study on CEO relative power and financial return
(2012-07-02)
Best corporate governance practices published in the primers of Brazilian Securities and Exchange Commission and the Brazilian Corporate Governance Institute promote board independence as much as possible, as a way to ...
Does Regulation matter? Institutional dimension of the 2008 financial crisis
(2010-04-07)
Why did house prices fall in 2007‐2009? This is the fundamental question to most Americans, and to those who lent them money. Most homeowners did not care why residential real estate prices rose. They assumed prices always ...