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April 24, 2014
 

The Search found 725 of 13349 documents sorted by Date with the following criteria:
Subject/Keyword: Crisis

 
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1. Title: Comparing the Performance of Logit and Probit Early Warning Systems for Currency Crises in Emerging Market Economies
  Author/Editor: Fabio Comelli
  Series: Working Paper No. 14/65
  Published: April 17, 2014
  Subject(s): Exchange markets | Foreign exchange reserves | Financial crisis | Emerging markets | Time series | Cross country analysis
 
 
2. Title: Financial Crises in DSGE Models: A Prototype Model
  Author/Editor: Jaromir Benes ; Michael Kumhof ; Douglas Laxton
  Series: Working Paper No. 14/57
  Published: April 04, 2014
  Subject(s): Financial crisis | Credit expansion | Bank credit | Credit risk | Banks | Loans | Macroprudential Policy | Monetary policy | Economic models
 
 
3. Title: Financial Crises in DSGE Models: Selected Applications of MAPMOD
  Author/Editor: Jaromir Benes ; Michael Kumhof ; Douglas Laxton
  Series: Working Paper No. 14/56
  Published: April 04, 2014
  Subject(s): Financial crisis | Credit expansion | Banks | Loans | Credit risk | Macroprudential Policy | Economic models
 
 
4. Title: Assessing Bias and Accuracy in the World Bank-IMF's Debt Sustainability Framework for Low-Income Countries
  Author/Editor: Andrew Berg ; Enrico Berkes ; Catherine A. Pattillo ; Andrea Presbitero ; Yorbol Yakhshilikov
  Series: Working Paper No. 14/48
  Published: March 27, 2014
  Subject(s): Debt sustainability analysis | Low-income developing countries | Debt burden | Sovereign debt | Financial crisis | Economic models | International Monetary Fund | World Bank
 
 
5. Title: The Regulatory Responses to the Global Financial Crisis: Some Uncomfortable Questions
  Author/Editor: Stijn Claessens ; Laura E. Kodres
  Series: Working Paper No. 14/46
  Published: March 14, 2014
  Subject(s): Financial systems | Fiscal risk | Financial crisis | Fiscal policy | Fiscal reforms | Macroprudential Policy | Monetary policy | Risk management
 
 
6. Title: Canada: Financial Sector Assessment Program-Crisis Management and Bank Resolution Framework-Technical Note
  Series: Country Report No. 14/67
  Published: March 07, 2014
  Subject(s): Financial Sector Assessment Program | Financial safety nets | Banking sector | Bank resolution | Deposit insurance | Bank supervision | Crisis prevention | Canada
 
 
7. Title: Why Was Asia Resilient? Lessons from the Past and for the Future
  Author/Editor: Phakawa Jeasakul ; Cheng Hoon Lim ; Erik J. Lundbäck
  Series: Working Paper No. 14/38
  Published: February 26, 2014
  Subject(s): Economic growth | Asia | Global Financial Crisis 2008-2009 | Credit expansion | Debt reduction | Macroprudential Policy | Monetary policy | Fiscal policy | Financial systems | Financial crisis
 
 
8. Title: Austria: Publication of Financial Sector Assessment Program Documentation—Technical Note on Crisis Preparedness and Management Framework
  Series: Country Report No. 14/15
  Published: January 21, 2014
  Subject(s): Financial Sector Assessment Program | Financial stability | Macroprudential Policy | Deposit insurance | Bank resolution | Bank supervision | Liquidity management | Financial safety nets | Crisis prevention | Risk management | Austria
 
 
9. Title: Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out
  Author/Editor: Fernando Broner ; Aitor Erce ; Alberto Martin ; Jaume Ventura
  Series: Working Paper No. 13/270
  Published: December 27, 2013
  Subject(s): Sovereign debt | Europe | Spillovers | Financial crisis | Bond issues | Investment | Economic models
 
 
10. Title: Financial and Sovereign Debt Crises: Some Lessons Learned and Those Forgotten
  Author/Editor: Carmen Reinhart ; Kenneth Rogoff
  Series: Working Paper No. 13/266
  Published: December 24, 2013
  Subject(s): Financial crisis | Sovereign debt | Debt conversion | Debt restructuring | External debt | Public debt | Inflation | Economic growth | Developed countries | Emerging markets
 
 
11. Title: Does Financial Connectedness Predict Crises?
  Author/Editor: Camelia Minoiu ; Chanhyun Kang ; V.S. Subrahmanian ; Anamaria Berea
  Series: Working Paper No. 13/267
  Published: December 24, 2013
  Subject(s): Global Financial Crisis 2008-2009 | Financial crisis | Banking crisis | Financial risk | Economic integration
 
 
12. Title: Financial Soundness Indicators and Banking Crises
  Author/Editor: Matias Costa Navajas ; Aaron Thegeya
  Series: Working Paper No. 13/263
  Published: December 23, 2013
  Subject(s): Financial soundness indicators | Banking sector | Banking crisis | External shocks
 
 
13. Title: Resilience in Latin America: Lessons from Macroeconomic Management and Financial Policies
  Author/Editor: Jose De Gregorio
  Series: Working Paper No. 13/259
  Published: December 20, 2013
  Subject(s): Economic recovery | Latin America | Emerging markets | Economic growth | Monetary policy | Reserves accumulation | Fiscal policy | Financial systems | Global Financial Crisis 2008-2009
 
 
14. Title: External Imbalances and Financial Crises
  Author/Editor: Alan Taylor
  Series: Working Paper No. 13/260
  Published: December 20, 2013
  Subject(s): Financial crisis | Current account | Credit expansion | Capital flows | Business cycles
 
 
15. Title: Securitization: Lessons Learned and the Road Ahead
  Author/Editor: Miguel A. Segoviano Basurto ; Bradley Jones ; Peter Lindner ; Johannes Blankenheim
  Series: Working Paper No. 13/255
  Published: December 19, 2013
  Subject(s): Financial crisis | Capital markets | Monetary policy | Financial instruments | Asset management | Global Financial Crisis 2008-2009
 
 
16. Title: Inequality, Leverage and Crises: The Case of Endogenous Default
  Author/Editor: Michael Kumhof ; Romain Ranciere ; Pablo Winant
  Series: Working Paper No. 13/249
  Published: December 17, 2013
  Subject(s): Income distribution | Private sector | Credit demand | Debt | Financial crisis
 
 
17. Title: Bailouts and Systemic Insurance
  Author/Editor: Giovanni Dell'Ariccia ; Lev Ratnovski
  Series: Working Paper No. 13/233
  Published: November 12, 2013
  Subject(s): Banking crisis | Financial intermediation | Moral hazard | Banking systems | Risk management | Economic models
 
 
18. Title: Rules of Thumb for Bank Solvency Stress Testing
  Author/Editor: Daniel C. Hardy ; Christian Schmieder
  Series: Working Paper No. 13/232
  Published: November 11, 2013
  Subject(s): Banks | Banking crisis | Stress testing | Economic models
 
 
19. Title: The Big Split: Why Did Output Trajectories in the ASEAN-4 Diverge after the Global Financial Crisis?
  Author/Editor: Agnes Isnawangsih ; Vladimir Klyuev ; Longmei Zhang
  Series: Working Paper No. 13/222
  Published: October 30, 2013
  Subject(s): Economic growth | Indonesia | Malaysia | Philippines | Thailand | Association of Southeast Asian Nations | Production growth | External shocks | Global Financial Crisis 2008-2009 | Cross country analysis
 
 
20. Title: The Euro Area Crisis: Need for a Supranational Fiscal Risk Sharing Mechanism?
  Author/Editor: Davide Furceri ; Aleksandra Zdzienicka
  Series: Working Paper No. 13/198
  Published: September 25, 2013
  Subject(s): Financial crisis | Euro Area | Fiscal risk | Fiscal policy | Fiscal stability
 
 

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