Structural changes and evolution of the solvency in the spanish banking sector
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Mostrar el registro completo del ítemcomunitat-uji-handle:10234/158176
comunitat-uji-handle2:10234/71324
comunitat-uji-handle3:10234/97664
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Metadatos
Título
Structural changes and evolution of the solvency in the spanish banking sectorAutoría
Tutor/Supervisor
Maset Llaudes, AmparoTutor/Supervisor; Universidad.Departamento
Universitat Jaume I. Departament de Finances i ComptabilitatFecha de publicación
2016-07-19Editor
Universitat Jaume IResumen
Owing to the financial crisis which starts at the beginning of 2008, the Spanish banking
sector has been one of the most affected in our country. This has been evaluated with
stress test, whose aim is to value the ... [+]
Owing to the financial crisis which starts at the beginning of 2008, the Spanish banking
sector has been one of the most affected in our country. This has been evaluated with
stress test, whose aim is to value the solvency of the entities, since they have suffered
a process of banking restructuring. This provoked that the society lost the confidence in
the banks and saving banks. Such evaluation are carried out by means of the analysis
of the ratio Tier 1 and his indicators. This can allow to know the level of capital of
maximum quality (core capital), and if in a future the banking entities could to cope with
another period of economic slowdown. The objective of this work is to analyse if there
are differences in the solvency level, taking like a measure some banking ratios
including the Tier 1, and which the differences owe. These differences will be analysed
taking as reference the year 2008, before the effects of the crisis are put into feel, and
the year 2014, after the restructuring of the banking sector. [-]
Palabras clave / Materias
Grau en Finances i Comptabilitat | Grado en Finanzas y Contabilidad | Bachelor's Degree in Finance and Accounting | Evaluación del riesgo | Bancos | Cajas de ahorros | Risk assessment | Financial risk management | Savings banks | Mortgages | Avaluació del risc | Bancs | Gestió del risc financer | Caixes d'estalvis
Descripción
Treball Final de Grau en Finances i Comptabilitat. Codi: FC1049. Curs: 2015/2016
Tipo de documento
info:eu-repo/semantics/bachelorThesisDerechos de acceso
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