Publications Search Results

October 25, 2014
 

The Search found 17 of 13789 documents sorted by Date with the following criteria:
Subject/Keyword: derivatives

 
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1. Title: "Puts" in the Shadow
  Author/Editor: Singh, Manmohan
  Series: Working Paper No. 12/229
  Published: September 01, 2012
  Subject(s): Banking systems | Financial institutions | Nonbank financial sector | Shadow economy
  Author's Keyword(s): shadow banking | money market funds | tri-party repo | OTC derivatives | CCPs | Floating Rate Notes | collateral | SIFIs | SIBs | non-banks
 
2. Title: Operative Principles of Islamic Derivatives - Towards a Coherent Theory
  Author/Editor: Jobst, Andreas ; Sole, Juan
  Series: Working Paper No. 12/63
  Published: March 01, 2012
  Subject(s): Financial instruments | Islamic banking | Risk management
  Author's Keyword(s): Derivatives | Islamic risk management | Islamic finance | shari’ah compliance | sukuk | mudaraba | ijarah | murabaha | riba | istisna | gharar | maisir | maslaha.
 
3. Title: CDS Spreads in European Periphery - Some Technical Issues to Consider
  Author/Editor: Bilal, Mohsan ; Singh, Manmohan
  Series: Working Paper No. 12/77
  Published: March 01, 2012
  Subject(s): Bond markets | Bonds | Economic models | Europe
  Author's Keyword(s): CDS spreads | peripheral Europe | stochastic recovery rate | probability of default | collateral use in OTC derivatives | cheapest-to-deliver bonds | price of risk
 
4. Title: Making OTC Derivatives Safe - A Fresh Look
  Author/Editor: Singh, Manmohan
  Series: Working Paper No. 11/66
  Published: March 01, 2011
  Subject(s): Bankruptcy | Capital markets | Credit risk | Financial institutions | Financial instruments | Risk management
  Author's Keyword(s): Collateral | Netting | Interoperability | OTC Derivatives | Central Bank LOLR | CCPs
 
5. Title: Collateral, Netting and Systemic Risk in the OTC Derivatives Market
  Author/Editor: Singh, Manmohan
  Series: Working Paper No. 10/99
  Published: April 01, 2010
  Subject(s): Asset management | Banks | Capital | Capital markets | Credit risk | Financial institutions | Financial instruments | Financial risk | Securities regulations
  Author's Keyword(s): Collateral | Netting | Margin | CCPs | OTC derivatives | Central Clearinghouse
 
6. Title: Credit Derivatives: Systemic Risks and Policy Options?
  Author/Editor: Kiff, John ; Elliott, Jennifer A. ; Kazarian, Elias G. ; Scarlata, Jodi G. ; Spackman, Carolyne
  Series: Working Paper No. 09/254
  Published: November 01, 2009
  Subject(s): Asset management | Credit risk | Financial instruments | Financial stability | Fiscal policy | Securities markets | Securities regulations | Transparency
  Author's Keyword(s): Financial Derivatives | Financial Stability
 
7. Title: The Derivatives Market in South Africa: Lessons for sub-Saharan African Countries
  Author/Editor: Adelegan, Olatundun Janet
  Series: Working Paper No. 09/196
  Published: September 01, 2009
  Subject(s): Bond markets | Capital flows | Capital markets | Financial instruments | Financial risk | Investment | Liquidity management | Risk management | Securities markets | Securities regulations | South Africa | Stock markets | Sub-Saharan Africa
  Author's Keyword(s): derivatives | South Africa | options | futures
 
8. Title: Counterparty Risk, Impact on Collateral Flows and Role for Central Counterparties
  Author/Editor: Singh, Manmohan ; Aitken, James
  Series: Working Paper No. 09/173
  Published: August 01, 2009
  Subject(s): Banking sector | Bankruptcy | Banks | Bonds | Capital markets | Financial institutions | Financial instruments | Financial risk | Nonbank financial sector | Securities markets
  Author's Keyword(s): Counterparty Risk | Large Complex Financial Institutions | OTC derivatives | Collateral Flow | Central Counterparties
 
9. Title: Counterparty Risk in the Over-The-Counter Derivatives Market
  Author/Editor: Segoviano Basurto, Miguel A. ; Singh, Manmohan
  Series: Working Paper No. 08/258
  Published: November 01, 2008
  Subject(s): Capital markets | Stock markets | Securities markets | Risk management | Banking systems | Bank regulations
  Author's Keyword(s): Counterparty risk | banking system stability | OTC derivatives | regulation
 
10. Title: The Capital Markets of Emerging Europe: Institutions, Instruments and Investors
  Author/Editor: Iorgova, Silvia ; Ong, Li L.
  Series: Working Paper No. 08/103
  Published: April 01, 2008
  Subject(s): Capital markets | Europe | Emerging markets | Financial instruments | Investment | Corporate governance | Transparency | Foreign exchange | Stock markets | Bonds
  Author's Keyword(s): Benchmarks | bonds | corporate governance and transparency | derivatives | foreign exchange | institutional investors | market infrastructure | stock markets. exchange | institutional investors | market infrastructure | stock markets
 
11. Title: Is Central Bank Intervention Effective Under Inflation Targeting Regimes? The Case of Colombia
  Author/Editor: Kamil, Herman
  Series: Working Paper No. 08/88
  Published: April 01, 2008
  Subject(s): Central banks | Colombia | Central bank role | Inflation targeting | Emerging markets | Intervention | Exchange rate management | Exchange rate appreciation
  Author's Keyword(s): central bank intervention | effectiveness | derivatives markets.
 
12. Title: The Credit Risk Transfer Market and Stability Implications for U.K. Financial Institutions
  Author/Editor: Chan-Lau, Jorge A. ; Ong, Li L.
  Series: Working Paper No. 06/139
  Published: June 01, 2006
  Subject(s): Credit risk | United Kingdom | Capital markets | Financial stability
  Author's Keyword(s): CDO | CDS | credit derivatives | credit risk transfer | structured credit products
 
13. Title: Is Systematic Default Risk Priced in Equity Returns? A Cross-Sectional Analysis Using Credit Derivatives Prices
  Author/Editor: Chan-Lau, Jorge A.
  Series: Working Paper No. 06/148
  Published: June 01, 2006
  Subject(s): Credit risk | Credit tranches
  Author's Keyword(s): Equity returns | default risk | credit derivatives | credit derivatives indices | collateralized debt obligations
 
14. Title: Idiosyncratic and Systemic Risk in the European Corporate Sector: A CDO Perspective
  Author/Editor: Chan-Lau, Jorge A. ; Lu, Yinqiu
  Series: Working Paper No. 06/107
  Published: April 01, 2006
  Subject(s): Financial risk | Europe | Credit risk | Risk management | Financial sector | Debt | Credit tranches | Asset prices | International capital markets | Corporate sector
  Author's Keyword(s): Systemic risk | idiosyncratic risk | credit derivatives | credit derivatives indices | collateralized debt obligations | tranches
 
15. Title: A Framework for the Surveillance of Derivative Activities
  Author/Editor: Gutierrez, Eva
  Series: Working Paper No. 05/61
  Published: March 01, 2005
  Subject(s): Financial stability | Financial crisis | Enhanced Surveillance
  Author's Keyword(s): Derivatives | Surveillance | Financial Stability
 
16. Title: Hedging Foreign Exchange Risk in Chile: Markets and Instruments
  Author/Editor: Chan-Lau, Jorge A.
  Series: Working Paper No. 05/37
  Published: February 01, 2005
  Subject(s): Foreign exchange | Chile | Markets | Currencies
  Author's Keyword(s): Chile | derivatives market | forward contracts | currency options
 
17. Title: Equity Prices, Credit Default Swaps, and Bond Spreads in Emerging Markets
  Author/Editor: Chan-Lau, Jorge A. ; Kim, Yoon Sook
  Series: Working Paper No. 04/27
  Published: February 01, 2004
  Subject(s): Stock markets | Credit | Bonds | Emerging markets | Economic models
  Author's Keyword(s): Credit derivatives | bond spreads | equity prices | price discovery | equilibrium | emerging markets
 

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