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Content
2024, Volume 59
2023, Volume 58
- 8-23 Overview of artificial intelligence deployment options
by Hirsa, Ali & Malhotra, Satyan
- 24-33 Applied Generative Ai Governance: A Viable Model Through Control Automation
by Scriven, Gerhardt & Braga, Marcel & Santos, Diogo & Sarai, Diego
- 44-53 Performance Of Using Machine Learning Approaches For Credit Rating Prediction: Random Forest And Boosting Algorithms
by Chiou, W. Paul & Dong, Yuchen & Ma, Sofia
- 54-69 A smart token model for native digital assets
by Hunt, Ian
- 90-97 Digital Transformation and Artificial Intelligence in Organizations
by Subramaniam, Niran
- 98-103 Is accounting keeping pace with digitalization?
by Bhimani, Alnoor
- 104-113 Bank And Fintech For Transformation Of Financial Services: What To Keep And What Is Changing In The Industry
by Omarini, Anna
- 116-125 The Truth Behind Artificial Intelligence: Illustrated by Designing an Investment Advice Solution
by Diderich, Claude
- 126-137 Duty calls - but is industry picking up?
by Taylor, Jessica & Vlaev, Ivo & Elliott, Antony
- 150-159 How can banks empower their customers to flag potential vulnerabilities?
by de Skuba, Przemek & Gabellini, Bianca & Taylor, Jessica
2023, Volume 57
- 8-13 Managing the uncertainties of cybersecurity
by Dekker, Martijn
- 14-19 Finance in Revolutionary Times
by Donovan, Paul
- 20-27 Fostering Digital Operational Resilience In The Financial Services Sector In Europe (Dora Compliance)
by Vandeput, Alexandre
- 36-45 Personal Identity Insurance: Coverage and Pricing in the U.S
by Woods, Daniel W
- 48-61 Sustainable finance regulation – authoritative governance or market-based governance for fund management?
by Chiu, Iris
- 70-77 Understanding Beneficial Ownership Disclosure
by Gilmour, Paul
- 78-83 Regulatory Reporting - The Road Ahead
by Patel, Tej & Nagpal, Mehak
- 94-107 Open Finance in Europe: What is coming and why it matters
by van Praag, Emanuel & Muçi, Eugerta
- 110-117 The fundamental problem with ESG? Conflicting letters
by Cabolis, Christos & Lavanchy, Maude & Schmedders, Karl
- 118-123 Transitioning to a low carbon economy - (Re)insuring climate change and potential business risks and opportunities
by Gale, Jonathan & Macfarlane, Andrew
- 125-129 Prudential Treatment Of Esg Risk
by Campagne, Guillaume & Rizk, Léa
2022, Volume 56
- 9-14 The impact of impact funds: A global analysis of funds with impact-claim
by Scheitza, Lisa & Busch, Timo & Metzler, Johannes
- 28-36 Understanding the Key Challenges and Opportunities in Creating Climate Transition Pathways
by Kumar, Rakhi & Hereid, Kelly & Yanco, Victoria
- 41-51 Structuring Sustainable Financial Instruments
by Lafon-Vinais, Veronique
- 69-78 The rise of ESG and the impact on the trade lifecycle
by Fleig, Marcus & Schrom, Vincent
- 79-84 Esg: Right Thesis, Wrong Data
by Saul, Jason & Kurlander Costanza, Phyllis
- 93-101 Finding the Return on Sustainability Investments
by Whelan, Tensie & Douglas, Elyse & Ehiemere, Chisara
- 110-116 Wealthy individuals: Not to be overlooked when thinking ESG investment strategy
by Baeckström, Ylva & Jeanette Carlsson Hauff, Jeanette & Elliot, Viktor
- 119-126 Enabling systematic engagement through index investing
by Harris, David & Staal, Arne & Soubeyran, Sandrine
- 168-176 Insights into Successful ESG Implementation in Organizations
by Castro, Armando & Gradillas Garcia, Maria
2022, Volume 55
2021, Volume 54
- 16-27 The impact of extreme cyber events on capital markets and insurers’ asset portfolios
by Eling, Martin & Schnell, Werner
- 62-69 Strategies for responding to pandemic risk: Removal and/or redistribution
by Jarzabkowski, Paula & Krull, Elisabeth & Kavas, Mustafa & Chalkias, Konstantinos
- 70-75 Pandemic insurance: A portfolio management approach
by Louaas, Alexis & Picard, Pierre
- 76-83 Using risk analytics to prevent accidents before they occur – the future of insurance
by Guillen, Montserrat & Cevolini, Alberto
- 84-95 Economic Policy in A World where Inflation, Production, and Productivity are Mismeasured and Misleading, and Where Macro-Models Cannot Work Effectively
by Kohlhagen, Steven W & Wilford, D Sykes
- 98-103 Innovation as a competitive advantage – experiences and insights from Baloise
by Bockelmann, Alexander
- 104-115 Artificial Intelligence and Digital Transformation of Insurance Markets
by Holland, Christopher & Kavuri, Anil
- 116-123 The Changing Face of Insurance
by Pyall, John
- 142-147 Bridging the Gap Between Medicine and Insurance: How to Leverage Data, Artificial Intelligence, and Neuroinformatics for Insurance and Financial Risk Management
by Rao, Anitha & Wiendling, Mark & Ridgeway, Paul & Kennedy, Liz & Eyre, Harris A. & Pinho, Paulo
- 166-177 Regulating insurtech in the European Union
by Marano, Pierpaolo & Siri, Michele
- 200-213 The Unintended Consequences Of Macroprudential Regulation In Insurance And Banking: Endogenous Financial System Instability Induced By Regulatory Capital Standards
by Thivaios, Periklis & Nuñez-Letamendia, Laura
2021, Volume 53
- 18-23 Operational Resilience:Industry Benchmarking
by Paisley, Matt & Packard, Will & Baghdadi, Samer & Rhodes, Chris
- 32-43 Operational resilience and stress testing: Hit or myth?
by Pescaroli, Gianluca & Needham-Bennett , Chris
- 64-69 Sailing on a Sea of Uncertainty: Reflections on Operational Resilience in the 21st Century
by Ashby, Simon
- 94-107 The Ties That Bind: A Framework to Assess the Linkage Between Cyber Risks and Financial Stability
by Healey, Jason & Mosser, Patricia & Rosen, Katheryn & Wortman, Alexander
- 108-115 Operational Resilience in the Financial Sector: Evolution and opportunity
by Hallinan, Aengus
- 125-132 Robotic Process Automation: A Digital Element Of Operational Resilience
by Gindin, Yan & Martinen, Michael
- 146-157 Operational Resilience in the Business-Battlespace
by Matthews, Ron & Ansari, Irfan & Watters, Bryan
2021, Volume 52
- 8-15 Digital Leadership: Meeting The Challenge Of Leading In A Digitally Transformed World
by Phillips, Nelson
- 16-23 Innovating for growth in an era of change
by Sion, Alex
- 24-33 Modern Delivery : Five Key Steps To Adopt Modern Delivery In Your Financial Institution
by Bhimavarapu, Poorna & Williams, David
- 42-53 Designing a digital workplace: Introducing complementary smart work elements
by Jensen, Tina Blegind & Stein, Mari-Klara
- 56-67 Team To Market: An Emerging Approach For Creating Dream Teams For The Postpandemic World
by Li, Feng & Avery, Clare
- 68-75 Engaging Employees with organizational change
by Hodges, Julie
- 76-85 Making collaboration tools work at work: Navigating four major implementation dilemmas
by Oostervink, Nick & van den Hooff, Bart
- 94-101 Can businesses recover from the crisis? Assessing scenarios, riding trends
by Willcocks, Leslie
- 102-111 Value Streams – A Future-Proof Way Of Organizing Your Firm
by Ord, Robert & Gancz, Alla & Chrysochou, Daniella & Tagoe, Ray & Nikolova, Ana
- 112-121 Managing Strategic and Cultural Change in Organizations
by Boonstra, Jaap
- 128-141 The risks of artificial intelligence used for decision making in financial services
by Milkau, Udo
- 142-151 Security Token Offering – new way of financing in the digital era
by Chew, Seen Meng & Spiegl, Florian
- 152-157 Eternal Coins? Control And Regulation Of Alternative Digital Currencies
by Mainelli, Michael & Leitch, Matthew
2020, Volume 51
- 8-20 SeLFIES: A NEW PENSION BOND AND CURRENCY FOR RETIREMENT
by Muralidhar, Arun & Merton, Robert
- 20-27 Robo-advice and the future of delegated investment
by Merkle, Christoph
- 28-33 Wealth management in the age of digital assets: How financial advisors can find opportunities amongst disruption
by Salathe, Tyler & McDonald, James
- 34-43 The E.U. alternative investment fund industry: Insights from AIFMD repeorting
by Bouveret, Antoine & Ferrari, Massimo & Kern, Steffen
- 44-54 Consideration On Better Tokenization Practices And Regulations Concerning Investor Protection
by Takanashi, Yuta & Matsuo, Shin'ichiro & Jacobs, John & Burger, Eric & Sullivan, Clare & Angel, James & Saito, Tatsuya & Hashirisaka, Toshiki & Sato, Hirotoshi
- 57-66 Digital Disruption - a CEO's survival guide
by Lali, Jet
- 67-74 Applying artificial intelligence in finance and asset management: A discussion of status quo and the way forward
by Dr. Rahmel, Juergen
- 75-80 Front Office Efficiency: Improving Business Development and Increasing Sales
by Rauser, Ingo & Wehrli, Tobias
- 82-92 Client Preferences for Digitalization and Ecosystems in Wealth Management
by Cocca, Teodoro
- 115-130 Human Capital and the Future of Work: Implications for Investors and ESG Integration
by Kotsantonis, Sakis & Serafeim, George
- 115-130 Human capital and the future of work: implications for investors and ESG integration
by Kotsantonis, Sakis & Serafeim, George
- 139-148 Download Paper Shaping A Sustainable Economy : A Bird’S Eye View Of The E.U.’S Esg Reform Project
by McErlane, Caitlin
- 155-162 Greta's Expectations - We Must All Be Stewards Now!
by Murray, Eoin
- 163-171 Regulatory Implications of ESG Investment
by O'Leary, Luke & Hauman, Mindy
- 180-188 Regulating ESG investing the E.U. way
by Szapiro, Aron & Pettit, Andy
2019, Volume 50
- 10-23 The big gap between strategic intent and actual, realized strategy
by Yu, Howard & Shan, Jialu
- 44-51 CFO of the Future
by Govender, Bash & Monterio, Axel
- 54-59 Artificial Intelligence and Data Analytics: Emerging Opportunities and Challenges In Financial Services
by Coombs, Crispin & Chopra, Raghav
- 94-103 Data Entropy And The Role Of Large Program Implementations In Addressing Data Disorder
by Deolalkar, Ameya & Vishnu, Sandeep & Simotas, George
- 110-117 Data Technologies and Next Generation Insurance Operations
by Herbert, Ian & Milne, Alistair & Zarifis, Alex
- 118-125 Data Quality Imperatives for Data Migration Initiatives: A Guide for Data Practicioners
by Längst, Gerhard & Elsner, Jürgen & Berzhanin, Anastasia
2019, Volume 49
- 8-21 Bitcoins, Cryptocurrencies and Blockchains
by Francis, Clark
- 22-31 Designing Digital Experiences in Wealth
by Shah, Raza & Khatri, Manish
- 42-55 Future-proofing Insurance: Asia's Insurers Gearing up for Digitization
by Feliciano-Wendleken, Isabel & Chow, Edith & Soohoo, Matthew & Cheung, Ronald
- 70-77 An implementation framework to guide system design in response to FRTB requirements
by Collard, Olivier & Bechara, Charly & Swinkels, Gilbert
- 94-99 Ai Augmentation For Large-Scale Global Systemic And Cyber Risk Management Projects: Model Risk Management For Minimizing The Downside Risks Of Ai And Machine Learning
by Malhotra, Yogesh
- 102-109 U.S. Law: Crypto Is Money, Property, A Commodity, And A Security, All At The Same Time
by Goforth, Carol
- 110-121 Behavioral Basis Of Cryptocurrencies Markets : Examining Effects Of Public Sentiment, Fear, And Uncertainty On Price Formation
by Gurdgiev, Constantin & O'Loughlin, Daniel & CHLEBOWSKI, BARTOSZ
2018, Volume 48
- 1-12 Empathy And Co-Creation In Capital Markets Operations – Insights From The Field
by Dotan, Amir
- 42-47 Why Design Thinking Matters
by Fayard, Anne-Laure
- 64-73 Understanding the value of design thinking to innovation in banking
by Diderich, Claude
- 76-87 Digitally-driven change in the insurance industry-- disruption or transformation?
by Bohn, Jeffrey
- 88-97 The Case for a 21 Million Bitcoin Conspiracy
by Østbye, Peder
- 104-111 New Technologies: Destruction Or New Opportunities? Or Both…
by Derungs, Thierry
- 120-131 Trading Bricks for Clicks - Hong Kong poised to launch its virtual banks
by Feliciano-Wendleken, Isabel
- 142-155 Early warning indicators of banking crises: expanding the family
by Aldasoro, Iñaki & Borio, Claudio & Drehmann, Mathias
- 160-169 Financial stability as a pre-condition for a hard budget constraint: Principles for a European Monetary Fund
by Gros, Daniel
2018, Volume 47
- 25-33 Fintech and the banking bandwagon
by Bunea, Sinziana & Kogan, Benjamin & Kund, Arndt-Gerrit & Stolin, David
- 35-50 Can blockchain make trade finance more inclusive?
by Jessel, Benjamin & DiCaprio, Alisa
- 45-50 The aftermath of money market fund reform
by Wilhelmus, Jakob & Adams-Kane, Jonathon
- 67-78 Household deformation trumps demand management policy in the 21st century
by Karagiannidis, Iordanis & Wilford, D. Sykes
- 125-131 Cyber security ontologies supporting cyber-collisions to produce actionable information
by Bento, Manuel & Vilares da Silva, Luis & Silva, Mariana
- 143-150 Digital identity: The foundation for trusted transactions in financial services
by Jessel, Benjamin & Lowmaster, Kaelyn & Hughes, Neil
- 155-164 Setting a standard path forward for KYC
by Christie, Robert
2017, Volume 46
- 10-17 Regtech as a new legal challenge
by Weber, Rolf H.
- 76-88 The financial auditing of distributed ledgers, blockchain and cryptocurrencies
by broby, Daniel & Paul, Greig
- 88-104 Targeting the robo-advice customer: The development of a psychographic segmentation model for financial advice robots
by van Thiel, Diederick & van Raaij, Fred
- 104-115 Avoiding pitfalls and unlocking real business value with RPA
by Rutaganda, Lambert & Bergstrom, Rudolf & Jayashekhar, Avijeet & Jayasinghe, Danushka & Ahmed, Jibran
- 116-127 The impact of financial regulation on business models of cooperative banks in Germany
by Fischer, Matthias
- 159-165 Thank you and goodbye – ending customer relationships and its significance
by Lim, David
- 193-206 Actively managed versus passive mutual funds: A race of two portfolios
by Saha, Atanu & Rinaudo, Alex
- 207-218 Aligning Interests over the Long Term: an Incentive Structure for U.S. 501(C)(3) Private Foundations
by Rapcewicz, Christopher
- 219-235 Financial Inclusion and Consumer Payment Choice
by Greene, Claire & Cole, Allison
2017, Volume 45
- 14-21 Algorithmic Regulation: Automating Financial Compliance Monitoring and Regulation Using AI and Blockchain
by Treleaven, Philip & Batrinca, Bogdan
- 22-29 RegTech is the New Black - The Growth of RegTech Demand and Investment
by Larsen, Kari & Gilani, Shariq
- 30-40 From “Blockchain Hype” to a Real Business Case for Financial Markets
by Morini, Massimo
- 49-59 Towards a Standards-Based Technology Architecture for RegTech
by Butler, Tom
- 60-67 Machine learning: A revolution in risk management and compliance?
by van Liebergen, Bart
- 68-76 Data-centered Dependencies and Opportunities for Robotics Process Automation in Banking
by Vishnu, Sandeep & Agochiya, Vipul & Palkar, Ranjit
- 90-100 Do Credit Rating Agencies Inflate Their Ratings? A Review
by Bae, Kee-Hong & Driss, Hamdi
- 101-110 The Power of “Negative Beta”: Why Every Portfolio Should Include Private Equity
by Freeman, Andrew & Karagiannidis, Iordanis & Wilford, D. Sykes
- 107-118 John Bull Can't Stand 2 Percent: QE's Depressing Implications for Investment
by Thomas, Jason
- 111-120 Downside risk protection of Retirement Assets: A new approach
by Saha, Atanu & Rinaudo, Alex
- 111-120 Downside Risk Protection of Retirement Assets: A New Approach
by Saha, Atanu & Rinaudo, Alex
- 121-128 The Asset Management Industry, Systemic Risk, and Macroprudential Policy
by Lopez, Claude
- 121-128 The Asset Management Industry, Systemic Risk, and Macroprudential Policy
by Lopez, Claude
- 129-135 The Role of Asset Owners in the Market for Investment Research: Where Are the Fiduciary Capitalists?
by Haig, Alistair
- 136-157 Risk, Data and the Barcodes of Finance
by Grody, Allan
2016, Volume 44
- 13-16 Preparing for Shortened Settlement Cycles Beyond T+2
by Halliwell, Steven & Martinen, Michael & Simmons, Julia
- 39-44 Safety in Numbers: Toward a New Methodology for Quantifying Cyber Risk
by Dash, Sidhartha & Mestchian, Peyman
- 45-57 Potential and Limitations of Virtual Advice in Wealth Management
by Cocca, Teodoro
- 79-86 The Emergence of RegTech 2.0: From Know Your Customer to Know Your Data
by Arner, Douglas W & Barberis, Janos & Buckley, Ross P
- 87-96 U.S. Regulation of FinTech - Recent Developments and Challenges
by Gerlach, C. Andrew & Simmons, Rebecca & Lam, Stephen
- 111-121 Banking 2025: The Bank of the Future
by Lenz, Rainer
- 122-131 Banks Versus FinTech: At Last, it's Official
by Bunea, Sinziana & Kogan, Benjamin & Stolin, David
- 132-140 The Un-Level Playing Field for P2P Lending
by Milne, Alistair
- 151-159 FinTech in Developing Countries: Charting New Customer Journeys
by Buckley, Ross P & Webster, Sarah
2016, Volume 43
- 9-14 Crowdfunding - A new disruptive technology?
by Smith, Roy & Hong, Won
- 15-20 Get Bold with Blockchain
by Jessel, Benjamin & Marshall, Tommy
- 21-29 The role of financial institutions in advancing responsible value chains
by Mulder, Herman
- 30-36 Robo-Advice 2.0: The Next Generation
by Arwas, Andrew & Soleil, Katie
- 38-61 Economists’ hubris – the case of business ethics in financial services
by Shojai, Shahin
- 62-71 The Dodd-Frank act five years later: are we more stable?
by Zywicki, Todd
- 72-85 The Volcker Rule as structural law: implications for cost-benefit analysis and administrative law
by Coates, John
- 86-91 A Historical Perspective on the Different Origins of U.S. Financial Market Regulators
by Phillips, Susan & Putnam, Bluford
- 106-117 Private Equity Capital Commitments: An Options- Private Equity Capital Commitments: An Options-Theoretic Risk Management Approach
by Freeman, Andrew & Wilford, D. Sykes
- 117-123 Credit Risk Decomposition for Asset Allocation
by Chamizo Cana, Álvaro & Novales Cinca, Alfonso
- 124-131 Time to rethink the “sophisticated investor”
by Morris, Peter
- 132-149 Fund transfer pricing for bank deposits: the case of products with undefined maturity
by Dermine, jean
- 144-157 Delegated Portfolio Management, Benchmarking, and the Effects on Financial Markets
by Igan, Deniz & Pinheiro, Marcelo
2016, Volume 1
2013, Volume 37
- 12-15 Navigating the pitfalls of wholesale and corporate portal transformation
by Ikpase, Leonard
- 16-24 Core transformations and related operational risks in retail banking: engaging for success in complex IT transformations
by Stüve, Jan
- 29-38 Industrialization in Financial Services: a new wave of opportunities
by Gileadi, Ido & O'Sullivan, Stephen & Hamilton, Christopher
- 29-38 Ten pitfalls with credit risk reporting
by Vishnu, Sandeep & Taylor, Larry
- 39-52 Optimizing risk allocation for CCPs under the European market infrastructure regulation
by Zepeda, Rodrigo
- 53-76 Stress testing credit risk portfolios
by Jacobs Jr, Michael
- 77-94 Basel III: solving the liquidity business challenge
by Fiedler, Robert & Mahlknecht, Michael
- 99-109 Sovereign credit risk in a hidden Markov regime-switching framework. Part 1: methodology
by Potgeiter, Louise & Fusai, Gianluca
- 111-116 FX volatility adjustment for risk factors stimulation
by Kondratyev, Alexei
2013, Volume 36
- 8-17 Benefits by DaaS for FSI - principles and limits of modern SOAs
by Maravilla, Ian & Krauskopf, Oliver & Wennemuth, Kevin
- 18-25 Understanding business economics for investment managers
by Ashkenazy, Irene & Mackris, Frank
- 27-42 A constitutional system of money and finance
by Acharya, Sankarshan
- 43-48 The failure of financial econometrics: confirmation and publication biases
by Moosa, Imad
- 49-54 Optimal business model for financial institutions under post-crisis regulatory environment
by Dehnad, Kosrow & Dehnad, Darius
- 55-66 Strategic risk management: practice in systemically important banks
by McConnell, Patrick
- 67-73 The changing role of sovereign credit ratings
by Strong, Simon
- 77-92 Contingent capital, systemically important banks, and the public
by Bürgi, Markus P.H.
- 93-104 Who or what has been hobbling CoCos: three essentials for making CoCos a success
by von Furstenberg, George M
- 105-110 What is the appropriate index construction methodology for African equity investment?
by Broby, Daniel & Lochhead, Morgan
- 111-116 Multi-fractal identification of "sick" markets: the LIBOR scandal case
by Prado, Sylvain Michael & Rawlinson, Ian
- 117-121 Naive Monte Carlo
by Kondratyev, Alexei
2012, Volume 35
- 8-16 Service profitability: for pricing strategies, cross-service discounting and optimization
by Leigh Giles, Natasha
- 17-26 Kernel alternatives to approximate operational severity distribution: an empirical application
by di Pietro, Filippo & Oliver Alfonso, Maria Dolores & Irimia Dieguez, Ana I.
- 27-38 The properties of short term investing in leveraged ETFs
by Deng, Geng & McCann, Craig
- 39-48 A systems accident approach to systemic financial risk
by Calandro Jr., Joseph
- 49-56 Do investors care about noise trader risk?
by Beer, Francisca & Watfa, Mohamad & Zouaoui, Mohamed
- 57-70 Are investor sentiments priced by the CAPM?
by Verma, Rahul & Soydemir, Gökçe
- 71-80 Risk management and Pillar II: implementing ICAAP in Italian credit cooperative banks
by Cerrone, Rosaria & Madonna, Michele Maria
- 81-90 How to back-test operational risk: an empirical basic analysis
by Feria-Dominguez, Jose Manuel & Jimenez-Rodriguez, Enrique J. & Rivera-Perez, Paz
- 91-105 Bank internationalization since 1995
by Batten, Jonathan A. & Szilagyi, Peter G.
- 109-122 Short-selling bans and contagion risk
by Pais, Amelia & Stork, Philip A.
- 123-132 Tests of the correlation between portfolio performance measures
by Adcock, Chris & Areal, Nelson & Armada, Manuel & Cortez, Maria Ceu & Oliveira, Benilde & Silva, Florinda
- 133-146 Measuring market liquidity risk - which model works best?
by Ernst, Cornelia & Stange, Sebastian & Kaserer, Christoph
- 147-158 The power of k: politically-targeted activities, connections and the financial system
by Igan, Deniz & Mishra, Prachi
- 159-172 Understanding bank supervisors' risk assessments
by O'Keefe, John & Wilcox, James A.
- 173-178 A risk-based risk finance paradigm
by Gao, Siwei & Powers, Michael R. & Chapman, Zaneta A.
- 179-185 Quantitative modeling of operational risk losses when combining internal and external data
by Nielsen, Jens Perch & Guillen, Montserrat & Bolance, Catalina & Gustafsson, Jim
2012, Volume 34