Bankaların döviz türevi kullanımını etkileyen faktörler

A Coşkun, AO Gürbüz - BDDK Bankacılık ve Finansal Piyasalar …, 2024 - dergipark.org.tr
Bankalar, türev ürünlerin en büyük kullanıcılarıdır ve bankaların türev ürün kullanım
kararlarını etkileyen karmaşık faktörlerin incelenmesi önemlidir. Ancak mevcut literatürde …

Do Trading Derivatives Classification Affect Bank Holding Company's Earnings Volatility And Firm Value?

CM Callahan, S Hairston - Journal of Applied Business …, 2020 - journals.klalliance.org
This study examines the differential impact of bank holding companies (BHCs) that
consistently report trading gains (successful speculators) and those that consistently report …

[ΒΙΒΛΙΟ][B] Financial risk management in banking: evidence from Asia Pacific

S Zakaria, S Islam - 2019 - taylorfrancis.com
As risk-taking is an essential part of the banking industry, banks must practise efficient risk
management to ensure survival in uncertain financial climates. Banking operations are …

Türk Bankacılık Sektörü'Nde Faiz Swaplarının Kullanımı: Türk lirası Faiz Swap Spreadleri Üzerine Analitik Uygulama

O Karaca - 2013 - search.proquest.com
Abstract Türkiye'de, 1980'lerckn itibaren yapılmış çalışmalara bakıldığında, türev ürünkrin
kullanımı ile ilgili çok sayıda tez yazıldığı görülmektedir. Bunların önemli bir kısmı, türev …

Speculative derivative use: External financing costs and financial reporting effects

S Hairston - 2014 - digitalcommons.memphis.edu
This dissertation examines the effects of speculative derivative use on various aspects of
firm valuation and performance. The majority of empirical accounting literature related to …

[ΒΙΒΛΙΟ][B] Derivative-Based Hedging and its Impact on Firm Value: A Study on the South African Mining Industry

B Letsuma - 2021 - search.proquest.com
Abstract The South African mining industry is an integral part of the domestic economy and
the global commodity markets. Evidence in previous studies suggests that the mining …

The evolution of derivative use by community banks from 1995-2003.

SH Robicheaux - Journal of Commercial Banking and Finance, 2005 - go.gale.com
We analyze the use of interest rate derivatives by community banks from 1995 to 2003. We
can be reasonably sure that community banks' use of derivative securities is purely as end …

Faktor–Faktor yang Berpengaruh terhadap Penggunaan Swap Suku Bunga (Studi pada Bank Konvensional di Indonesia)

KLP Dewi, N Abundanti - 2017 - neliti.com
Tujuan penelitian ini adalah untuk mengetahui faktor-faktor yang berpengaruh terhadap
penggunaan Swap Suku Bunga pada Bank Konvensional di Indonesia periode 2011-2015 …

Modelli e metodi per la misurazione e gestione del rischio di tasso di interesse negli intermediari finanziari

L Bertaggia - 2016 - dspace.unive.it
L'aumento della competitività a livello di mercato ha portato gli intermediari finanziari a far
confluire risorse nello sviluppo dei processi di risk management rendendoli a partire dagli …

El uso de derivados financieros en las instituciones bancarias y su impacto en el volumen de crédito otorgado en México

M Chamorro Camara - 2008 - repositorio-digital.cide.edu
El documento está organizado de la siguiente manera: en un primer apartado se hace una
revisión muy sucinta acerca del mercado de derivados y los principales instrumentos …