Publications Search Results

April 01, 2015
 

The Search found 68 of 14232 documents sorted by Date with the following criteria:
Subject/Keyword: systemic

 
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1. Title: Interconnectedness, Systemic Crises and Recessions
  Author/Editor: Marco A Espinosa-Vega ; Steven Russell
  Series: Working Paper No. 15/46
  Published: February 27, 2015
  Subject(s): Interconnectedness | Banks | Financial crises | Economic recession | Systemic risk assessment | Equilibrium. Econometric models
 
 
2. Title: Central Counterparties: Addressing their Too Important to Fail Nature
  Author/Editor: Froukelien Wendt
  Series: Working Paper No. 15/21
  Published: January 27, 2015
  Subject(s): Systemically important financial institutions | Financial institutions | Too-important-too-fail | Financial markets | Interconnectedness | Financial systems | International financial stability
 
 
3. Title: Centrality-based Capital Allocations
  Author/Editor: Adrian Alter ; Ben Craig ; Peter Raupach
  Series: Working Paper No. 14/237
  Published: December 24, 2014
  Subject(s): Banking systems | Interconnectedness | Capital requirements | Credit risk | Systemic risk | Financial contagion | Econometric models
 
 
4. Title: A Simple Macroprudential Liquidity Buffer
  Author/Editor: Daniel C. Hardy ; Philipp Hochreiter
  Series: Working Paper No. 14/235
  Published: December 22, 2014
  Subject(s): Banking sector | Liquidity | Bank financing | Systemic risk | Banking crisis | Macroprudential policies and financial stability | Crisis management
 
 
5. Title: An Overview of Macroprudential Policy Tools
  Author/Editor: Stijn Claessens
  Series: Working Paper No. 14/214
  Published: December 11, 2014
  Subject(s): Macroprudential policies and financial stability | Monetary policy | Procyclicality of financial system | Financial intermediation | Other systemic risk tools
 
 
6. Title: Limiting Taxpayer “Puts”—An Example from Central Counterparties
  Author/Editor: Manmohan Singh
  Series: Working Paper No. 14/203
  Published: November 12, 2014
  Subject(s): Nonbank financial sector | Systemically important financial institutions | Too-important-too-fail | Burden sharing | Risk management | Lender of last resort
 
 
7. Title: Republic of Korea: Financial Sector Assessment Program-Detailed Assessment of Compliance on the CPSS-IOSCO Principles for Financial Market Infrastructures—BOK-WIRE+ and KRX CPP
  Series: Country Report No. 14/308
  Published: October 14, 2014
  Subject(s): Financial Sector Assessment Program | Capital markets | Payment systems | Financial institutions | Core Principles for Systemically Important Payment Systems | Reports on the Observance of Standards and Codes | Korea, Republic of
 
 
8. Title: Macro-Prudential Policies to Mitigate Financial System Vulnerabilities
  Author/Editor: Stijn Claessens ; Swati R. Ghosh ; Roxana Mihet
  Series: Working Paper No. 14/155
  Published: August 19, 2014
  Subject(s): Macroprudential policies and financial stability | Banking systems | Systemic risk | Risk management | Econometric models
 
 
9. Title: Bank Size and Systemic Risk
  Author/Editor: Luc Laeven ; Lev Ratnovski ; Hui Tong
  Series: Staff Discussion Notes No. 14/4
  Published: May 08, 2014
  Subject(s): Systemic risk | Systemic risk assessment | Too-big-too-fail | Bank capital | Bank regulations | Corporate governance | Financial crisis | Bank financing | Bank deposits
 
 
10. Title: Estimating the Costs of Financial Regulation
  Author/Editor: Santos, Andre ; Elliott, Douglas
  Series: Staff Discussion Notes No. 12/11
  Published: September 11, 2012
  Subject(s): Financial institutions | Capital markets | Banks | Bank reforms | Bank supervision
  Author's Keyword(s): Basel III | Systemically Important Institutions | Banks | Financial Regulation | Capital Requirements | Liquidity Requirements
 
11. Title: Japan: Oversight and Supervision of Financial Market Infrastructures (FMIs) : Technical Note
  Series: Country Report No. 12/229
  Published: August 10, 2012
  Subject(s): Core Principles for Systemically Important Payment Systems | Financial instruments | Financial Sector Assessment Program | Risk management
 
 
12. Title: Measuring Systemic Risk-Adjusted Liquidity (SRL) : A Model Approach
  Author/Editor: Andreas Jobst
  Series: Working Paper No. 12/209
  Published: August 01, 2012
  Subject(s): Banking sector | Economic models | Risk management
  Author's Keyword(s): Systemic risk | liquidity risk | Net Stable Funding Ratio (NSFR) | extreme value theory | financial contagion | macroprudential regulation
 
13. Title: Indonesia: CPSS-IOSCO Recommendations for Securities Settlement Systems : The Equity and Corporate Bonds Securities Settlement Systems
  Series: Country Report No. 12/186
  Published: July 18, 2012
  Subject(s): Core Principles for Systemically Important Payment Systems | Financial Sector Assessment Program | Reports on the Observance of Standards and Codes | Securities regulations
 
 
14. Title: Indonesia : CPSS Core Principles for Systemically Important Payment Systems
  Series: Country Report No. 12/187
  Published: July 18, 2012
  Subject(s): Core Principles for Systemically Important Payment Systems | Financial Sector Assessment Program | Reports on the Observance of Standards and Codes
 
 
15. Title: Building Blocks for Effective Macroprudential Policies in Latin America : Institutional Considerations
  Author/Editor: Patrick A. Imam ; Erlend Nier ; Luis Ignacio Jácome
  Series: Working Paper No. 12/183
  Published: July 01, 2012
  Subject(s): Financial stability | Banking crisis | Latin America | Macroprudential Policy
  Author's Keyword(s): Macrorpudential policy | financial stability | systemic crises | central banks | banking supervision.
 
16. Title: Measuring Systemic Liquidity Risk and the Cost of Liquidity Insurance
  Author/Editor: Tiago Severo
  Series: Working Paper No. 12/194
  Published: July 01, 2012
  Subject(s): Banks | Credit risk | International banks | Liquidity
  Author's Keyword(s): Liquidity | systemic risk | banks | stock returns | insurance
 
17. Title: Spain : Oversight and Supervision of Financial Market Infrastructures Technical Note
  Series: Country Report No. 12/144
  Published: June 11, 2012
  Subject(s): Core Principles for Systemically Important Payment Systems | Financial instruments | Financial risk | Financial Sector Assessment Program | Risk management
 
 
18. Title: Externalities and Macroprudential Policy
  Author/Editor: De Nicoló, Gianni ; Favara, Giovanni ; Ratnovski, Lev
  Series: Staff Discussion Notes No. 12/5
  Published: June 07, 2012
  Subject(s): Macroprudential Policy | Financial systems | Banks | Capital markets | Financial risk | Financial stability | Risk management
  Author's Keyword(s): Externalities | systemic risk | macroprudential policy
 
19. Title: Systemic Risk and Asymmetric Responses in the Financial Industry
  Author/Editor: Germán López-Espinosa ; Antonio Rubia ; Laura Valderrama ; Antonio Moreno
  Series: Working Paper No. 12/152
  Published: June 01, 2012
  Subject(s): Banking systems | Commercial banks | Economic models | Financial risk | Risk management
  Author's Keyword(s): Value at Risk | systemic risk | tail-risk dependence | downside risk.
 
20. Title: Monitoring Systemic Risk Basedon Dynamic Thresholds
  Author/Editor: Kasper Lund-Jensen
  Series: Working Paper No. 12/159
  Published: June 01, 2012
  Subject(s): Banking crisis | Banking sector | Economic models | Financial risk | Financial stability | Macroprudential Policy
  Author's Keyword(s): Systemic Risk | Financial Stability | Macroprudential Policy.
 

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