X
Search Filters
Format Format
Format Format
X
Sort by Item Count (A-Z)
Filter by Count
Newspaper Article (5946) 5946
Journal Article (4189) 4189
Trade Publication Article (2276) 2276
Magazine Article (1551) 1551
Book / eBook (1083) 1083
Paper (326) 326
Report (319) 319
Publication (241) 241
Book Chapter (117) 117
Government Document (87) 87
Web Resource (65) 65
Dissertation (49) 49
Transcript (34) 34
Newsletter (23) 23
Conference Proceeding (21) 21
Book Review (19) 19
Data Set (3) 3
Reference (2) 2
Electronic Resource (1) 1
more...
Subjects Subjects
Subjects Subjects
X
Sort by Item Count (A-Z)
Filter by Count
subprime lending (4828) 4828
lending (2282) 2282
banking industry (1946) 1946
loans (1883) 1883
mortgages (1689) 1689
banks (1550) 1550
lending institutions (1493) 1493
economics (1383) 1383
interest rates (1379) 1379
financial institutions (1354) 1354
securities lending (1316) 1316
investments (1144) 1144
international finance (1136) 1136
debt (1056) 1056
bank loans (1025) 1025
banking (1002) 1002
finance (992) 992
bank lending (953) 953
financial services (915) 915
banks, depository institutions, micro finance institutions, mortgages (898) 898
agricultural lending (881) 881
financial markets (872) 872
international lending (833) 833
bank (824) 824
commercial banks (822) 822
mortgage servicing (819) 819
credit (817) 817
business, finance (810) 810
monetary policy (795) 795
risk management (775) 775
studies (775) 775
liquidity (725) 725
banking sector (702) 702
earnings per share (697) 697
economic crisis (684) 684
financial crisis (683) 683
foreign exchange (679) 679
banking system (678) 678
stock exchanges (671) 671
mortgage companies (662) 662
equity (643) 643
credit risk (639) 639
inflation (639) 639
capital markets (616) 616
portfolio (607) 607
analysis (603) 603
economic growth (602) 602
predatory lending (588) 588
accounting (579) 579
central banks (570) 570
housing (570) 570
foreclosure (557) 557
economic conditions (554) 554
loan (549) 549
developing countries (547) 547
emerging markets (539) 539
financial performance (532) 532
regulation of financial institutions (525) 525
central bank (521) 521
bonds (518) 518
management (517) 517
mortgage banks (516) 516
financial system (510) 510
securities (509) 509
stock prices (505) 505
mortgage backed securities (500) 500
interest rate (490) 490
stockholders (487) 487
insurance (483) 483
capital adequacy (481) 481
deposit (481) 481
economic development (469) 469
financial sector (468) 468
dividends (459) 459
international lending and debt problems (459) 459
microfinance (458) 458
exchange rate (455) 455
collateral (454) 454
balance sheets (453) 453
credit unions (452) 452
ratings & rankings (452) 452
financial market (447) 447
investment policy (444) 444
return on assets (441) 441
borrowing (439) 439
deposit insurance (436) 436
bank credit (435) 435
securitization (432) 432
deposits (429) 429
securities markets (426) 426
financial crises (422) 422
profitability (422) 422
bond (415) 415
present value (415) 415
risk (412) 412
europe (408) 408
commercial credit (407) 407
international bank (397) 397
home loans (395) 395
bankruptcy (391) 391
more...
Library Location Library Location
Library Location Library Location
X
Sort by Item Count (A-Z)
Filter by Count
Robarts - Stacks (143) 143
Online Resources - Online (37) 37
UTL at Downsview - May be requested (29) 29
Collection Dvlpm't (Acquisitions) - Vendor file (21) 21
UofT at Mississauga - Stacks (19) 19
UofT at Scarborough - Stacks (11) 11
Law (Bora Laskin) - Stacks (7) 7
St. Michael's College (John M. Kelly) - 2nd Floor (4) 4
Trinity College (John W Graham) - Storage (4) 4
New College (Ivey) - Stacks (3) 3
Trinity College (John W Graham) - Stacks (3) 3
Victoria University E.J. Pratt - Stacks (3) 3
Business (Joseph L Rotman) - Stacks (2) 2
Collection Dvlpm't (Acquisitions) - Closed Orders (2) 2
OISE - Stacks (2) 2
Robarts - Government Pubs (2) 2
Robarts - Not Returned (2) 2
Business (Joseph L Rotman) - Library use only (1) 1
Earth Sciences (Noranda) - Circulation Desk (1) 1
Earth Sciences (Noranda) - Stacks (1) 1
Gerstein Science - Stacks (1) 1
Indust. Rel's & Hum. Resources (Newman) - Library use only (1) 1
OISE - May be requested in 6-10 wks (1) 1
Robarts - Course Reserves (1) 1
University Archives - Archives (1) 1
UofT at Scarborough - Withdrawn (1) 1
more...
Language Language
Language Language
X
Sort by Item Count (A-Z)
Filter by Count
English (14961) 14961
Spanish (33) 33
Urdu (9) 9
French (8) 8
Korean (7) 7
Chinese (6) 6
Russian (5) 5
German (4) 4
Portuguese (3) 3
Afrikaans (1) 1
Croatian (1) 1
Czech (1) 1
Hungarian (1) 1
Indonesian (1) 1
Japanese (1) 1
Lithuanian (1) 1
Slovak (1) 1
Turkish (1) 1
more...
Publication Date Publication Date
Click on a bar to filter by decade
Slide to change publication date range


2009, ISBN 0691141487, ix, 283
Nearly forty percent of humanity lives on an average of two dollars a day or less. If you've never had to survive on an income so small, it is hard to imagine.... 
Poor | Microfinance | Home economics | Accounting | Economics | Sociology | Business
Book
Journal of Financial Economics, ISSN 0304-405X, 07/2014, Volume 113, Issue 1, pp. 1 - 28
Using novel data on bank applications to the Troubled Asset Relief Program (TARP), we study the effect of government assistance on bank risk taking. Bailed-out... 
Lending | Bailout | Banking | Risk | TARP | Financial crisis | Moral hazard | GOVERNANCE | LAYOFFS | CAPITAL REQUIREMENTS | INCENTIVES | DEBT | UNEMPLOYMENT-INSURANCE | BUSINESS, FINANCE | COMPETITION | DEPOSIT INSURANCE | ECONOMICS | OWNERSHIP | ECONOMY | Government aid | Financial risk
Journal Article
Journal of International Economics, ISSN 0022-1996, 09/2018, Volume 114, pp. 376 - 388
Bonds denominated in the investor's currency are special. We show this indirectly in a global dataset of bilateral bond holdings—indirectly because the global... 
International investment | Home bias | International bonds | INVESTMENT | ECONOMICS | FLOWS | GOODS | EQUITY | Bonds | Foreign securities | Business schools
Journal Article
01/2009, OUP Catalogue, ISBN 9780199232130, 400
Credit scoring — the quantitative and statistical techniques which assess the credit risks when lending to consumers — has been one of the most successful if... 
applied mathematics | Credit scoring systems | Consumer credit | Mathematical models | Consumer lending | Profitability | Basel accord | Portfolio level credit risk | Pricing | Scoring systems | Credit scoring
eBook
Journal of Banking and Finance, ISSN 0378-4266, 2010, Volume 34, Issue 2, pp. 388 - 398
This paper explores how bank characteristics and the institutional environment influence the composition of banks’ loan portfolios. We use a new and unique... 
Foreign banks | Legal environment | SMEs | Portfolio composition | CREDIT | MATTER | ENTRY | INFORMATION | MARKETS | BUSINESS, FINANCE | FINANCE | SMALL BUSINESSES | ECONOMICS | Foreign banks SMEs Legal environment Portfolio composition
Journal Article
The Review of Economics and Statistics, ISSN 0034-6535, 8/2008, Volume 90, Issue 3, pp. 538 - 549
Journal Article
Model Assisted Statistics and Applications, ISSN 1574-1699, 2017, Volume 12, Issue 4, pp. 359 - 367
Fluctuation in mortgage default rates provides vital information to financial institutions and is a key indicator of the state of the economy. Using a decade’s... 
latent class | Mortgage default | Bayesian estimation | mixture model | time-to-default | Segmentation | Computer simulation | Subprime lending | Variations | Markov chains | Mathematical models | Markov analysis | Parameterization | Default | Monte Carlo simulation | Mortgages
Journal Article
Journal of Financial Economics, ISSN 0304-405X, 2009, Volume 94, Issue 3, pp. 428 - 447
Journal Article
Journal of Financial Intermediation, ISSN 1042-9573, 07/2013, Volume 22, Issue 3, pp. 373 - 396
I examine how US commercial bank loan portfolios change in response to the rise of securitization markets and banking market deregulations over 1976–2003.... 
BUSINESS, FINANCE | DISTANCE | IMPACT | SECURITIZATION | INDUSTRY | INFORMATION | DEREGULATION | MERGERS | Deregulation | Bank loans | Commercial banks | Innovations | Studies | Regulation of financial institutions | Portfolio management
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 05/2014, Volume 42, Issue 1, pp. 232 - 246
Using a unique dataset that matches banks with their client firms, we investigate the differences between foreign and domestic banks in a developing country.... 
Bank ownership | Financial market crisis | Information asymmetry | Bank portfolio | Foreign entry | ENTRY | MARKETS | INFORMATION | INTERMEDIATION | BUSINESS, FINANCE | SMALL BUSINESSES | ECONOMIES | ECONOMICS | CAPITAL REGULATION | Foreign investments | Foreign banks
Journal Article
Journal of Financial Stability, ISSN 1572-3089, 10/2018, Volume 38, pp. 1 - 17
This paper investigates the impact of the integration of traditional and nontraditional banking activities on loan portfolio management at the consolidated... 
Bank lending | Nontraditional banking | Loan portfolio management | RISK-MANAGEMENT | DIVERSIFICATION | FIRMS | FINANCIAL-SYSTEM | MODEL | DEBT | POLICIES | HOLDING COMPANIES | BUSINESS, FINANCE | INVESTMENT | CRISIS | ECONOMICS | Federal Reserve banks | Business schools | Consumer credit | Bank loans | Portfolio management | Merchant banks
Journal Article
2010, World Bank working paper, ISBN 0821385216, Volume no. 203, xi, 39
The reality of climate change associated with anthropogenic emissions is now widely acknowledged by the scientific community. Its potential devastating future... 
Environmental aspects | Economic aspects | Greenhouse gas mitigation | Economic development | Greenhouse gases | Emissions trading | SECONDARY MARKET | INVESTMENT FINANCING | MATURITIES | ALLOCATION | CLIMATE SYSTEM | PRIVATE INVESTORS | EXTREME WEATHER | ABATEMENT COST | HFC23 | DEVELOPED COUNTRIES | ISSUANCE | EMISSIONS REDUCTIONS | OUTSTANDING AMOUNT | CERTIFICATION PROCESS | CLIMATE | BASIS POINT | ECONOMIC GROWTH | FINANCIAL DEVELOPMENT | FLOW OF INVESTMENTS | HUMAN RESOURCES | ATMOSPHERE | CREDIT RISK PREMIUM | EMISSION REDUCTION POTENTIAL | CALCULATION | PLEDGES | BONDS | COMPARATIVE ADVANTAGE | CARBON OFFSETS | MARKET PRICE | LIQUIDITY | SF6 | ENVIRONMENTAL | LAND USE CHANGE | FINANCIAL INSTITUTIONS | BALANCE SHEET | CLIMATE CHANGE | ENERGY EFFICIENCY | CARBON TRADING | EMISSION REDUCTION COMMITMENTS | DEVELOPING COUNTRIES | ALLOWANCES | CAPITAL INVESTMENTS | CAPITAL STRUCTURE | EMISSIONS FROM DEFORESTATION | GLOBAL ENVIRONMENT FACILITY | FINANCIAL TERMS | ABATEMENT COSTS | INNOVATIVE FINANCING | TREATY | ANNUAL EMISSION | STREAMS | RISK MANAGEMENT | PRIVATE SECTOR BANKS | CARBON MARKET | MARGINAL COST | INTERNATIONAL CAPITAL MARKETS | SHAREHOLDERS | INTERNATIONAL BANK | EMISSIONS | FUEL SWITCHING | CLEAN TECHNOLOGY | GLOBAL BANKING | ENVIRONMENTAL IMPACTS | DUE DILIGENCES | MARGINAL ABATEMENT | ENERGY SAVINGS | INTERNATIONAL OFFSETS | FINANCIAL MANAGEMENT | RATE OF RETURN | PRICE SIGNAL | GLOBAL GREENHOUSE GAS | MARKET ANALYSTS | FIDUCIARY RESPONSIBILITY | DEVELOPING COUNTRY | ATMOSPHERIC CARBON | ATMOSPHERIC CARBON DIOXIDE | PROBABILITY DISTRIBUTION | ECONOMIC BENEFITS | GLOBAL WARMING | ABSOLUTE EMISSION | GREENHOUSE | PFCS | DEFAULT RISK | MATURITY | BORROWER | OUTSTANDING LOANS | CREDIT SPREAD | ENVIRONMENTAL INTEGRITY | RETURN | LOAN | TEMPERATURE | ENVIRONMENTAL PROTECTION | DEFAULT RATE | MARKET LEVELS | ECONOMIC DEVELOPMENT | ATMOSPHERIC CONCENTRATIONS | CARBON ECONOMY | LOW-CARBON | CARBON CAPTURE | CERTIFIED EMISSION REDUCTIONS | SUSTAINABLE DEVELOPMENT | GREENHOUSE GAS ABATEMENT COST | ENVIRONMENTAL PERFORMANCE | CLIMATE CHANGE POLICIES | RESERVES | CLEAN DEVELOPMENT MECHANISM | GLOBAL CARBON MARKET | CARBON STORAGE | CARBON DIOXIDE | ABATEMENT EFFORT | GLOBAL FINANCE | REDUCING EMISSIONS | NATURAL CAPITAL | MARGINAL COST OF ABATEMENT | SUSTAINABLE GROWTH | ANNUAL EMISSION REDUCTIONS | GREENHOUSE GASES | GREENHOUSE GAS | CREDIT RISK | EXTREME WEATHER EVENTS | UNEP | LIQUID MARKET | AIR | MARGINAL ABATEMENT COST | CARBON CREDITS | INVESTMENT PROJECTS | COMMERCIAL BANK LOANS | EMISSION REDUCTION | PRIMARY MARKET | REGULATORY FRAMEWORK | CO2 | GLOBAL EMISSIONS | INTERNATIONAL FINANCIAL INSTITUTION | CARBON MARKETS | GREENHOUSE GAS ABATEMENT | ABATEMENT POTENTIAL | SOVEREIGN DEFAULT | COMMERCIAL BANK | FINANCIAL RETURNS | INCOME | FINANCIAL INFORMATION | FORESTRY | DEFAULTS | SOLVENCY | SECURITIES | CARBON TAX | INVESTMENT FLOWS | FINANCIAL CRISIS | SOVEREIGN GUARANTEE | NET COST | CREDIT QUALITY | LENDERS | EMISSION ABATEMENT | GREENHOUSE GAS EMISSIONS | LOAN SIZE | ECONOMIC EFFICIENCY | FINANCIAL STRUCTURE | EMISSIONS SCENARIOS | ECONOMIC COSTS | COMMERCIAL BANKS | LAND USE | PORTFOLIOS | GHG | CARBON EXCHANGES | PORTFOLIO DIVERSIFICATION | DEFAULT RATES | COST OF ABATEMENT | SHAREHOLDER | FINANCIAL FLOWS | COLORS | UNCERTAINTIES | AMOUNT OF CAPITAL | TRANSACTION COSTS | CAPITALIZATION | EMISSIONS REDUCTION | GHGS | CONCENTRATION TARGET | ALLOWANCE | COST EFFECTIVENESS | SWAP | FINANCIAL ANALYSIS | TREASURY RATE | INTERNATIONAL CAPITAL | TRADE REGIME | DIVERSIFIED PORTFOLIO | CARBON FINANCE | EMISSION TRADING | EMISSIONS MITIGATION | LOAN PORTFOLIO | PRICE OF OFFSETS | HFCS | INTERNATIONAL DEVELOPMENT | CREDITOR | FINANCES | CLIMATE SENSITIVITY | EMISSION TARGETS | REPAYMENT | TREASURY | ACCESS TO FINANCING | CARBON ENERGY | BASIS POINTS | PORTFOLIO | FOREIGN DIRECT INVESTMENT | IPCC | ATMOSPHERIC CARBON DIOXIDE CONCENTRATION | BANKING SECTOR | BASELINE EMISSIONS | FRAMEWORK CONVENTION ON CLIMATE CHANGE | CAPITAL MARKETS | INSTRUMENT | PRIVATE BANKS | CARBON TECHNOLOGIES | FINANCIAL BARRIERS | ANTHROPOGENIC EMISSIONS | LENDING SPREAD
Book
Journal of International Money and Finance, ISSN 0261-5606, 12/2014, Volume 49, pp. 401 - 424
This study investigates the way a crisis spreads within a country and across borders by testing the investor induced contagion hypothesis through the liquidity... 
Portfolio rebalancing | Contagion | Banking crisis | Sovereign debt crisis | Stock-bond relationships | Wealth effect | EMPIRICAL-ANALYSIS | LIQUIDITY | MARKET LINKAGES | INFORMATION | RETURNS | STOCK | BUSINESS, FINANCE | TRANSMISSION | CONDITIONAL HETEROSKEDASTICITY | BOND | VOLATILITY | Public debts | Banks (Finance)
Journal Article
International Review of Financial Analysis, ISSN 1057-5219, 07/2016, Volume 46, pp. 239 - 256
Journal Article
Economic Modelling, ISSN 0264-9993, 08/2017, Volume 64, pp. 178 - 200
Journal Article