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1. |
Title:
Survey of Reserve Managers: Lessons from the Crisis
Author/Editor: Morahan, Aideen ; Mulder, Christian
Series: Working Paper No. 13/99
Published: May 8, 2013
Subject(s): Central banks | Reserves | Risk management | Asset management
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2. |
Title:
Another Look at Governments’ Balance Sheets: The Role of Nonfinancial Assets
Author/Editor: Bova, Elva ; Dippelsman, Robert ; Rideout, Kara ; Schaechter, Andrea
Series: Working Paper No. 13/95
Published: May 2, 2013
Subject(s): Debt reduction | Debt strategy | Financial assets | Asset management | Asset prices | Cross country analysis
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3. |
Title:
The Investment Technology of Foreign and Domestic Institutional Investors in an Emerging Market
Author/Editor: Patnaik, Ila ; Shah, Ajay
Series: Working Paper No. 13/90
Published: April 22, 2013
Subject(s): Investment | Foreign investment | Asset management | Asset prices | Emerging markets
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4. |
Title:
Shadow Banking: Economics and Policy
Author/Editor: Claessens, Stijn ; Ratnovski, Lev ; Singh, Manmohan
Series: Staff Discussion Notes No. 12/12
Published: December 4, 2012
Subject(s): Banking | Asset management | Shadow economy | Monetary policy | Risk management
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5. |
Title:
Sovereign Risk and Asset and Liability Management—Conceptual Issues
Author/Editor: Das, Udaibir ; Lu, Yinqiu ; Papaioannou, Michael ; Petrova, Iva
Series: Working Paper No. 12/241
Published: October 4, 2012
Subject(s): Financial risk | Asset management | Risk management | Sovereign debt | Debt strategy | Accounting
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6. |
Title:
Trinidad and Tobago: Selected Issues
Series: Country Report No. 12/128
Published: June 1, 2012
Subject(s): Asset management | Energy sector | Energy prices | Exports | Natural gas | Sovereign wealth funds | Selected issues | Trinidad and Tobago
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7. |
Title:
Asymmetric Effects of the Financial Crisis: Collateral-Based Investment-Cash Flow Sensitivity Analysis
Author/Editor: Khramov, Vadim
Series: Working Paper No. 12/97
Published: April 1, 2012
Subject(s): Asset management | Capital | Economic models | Financial crisis | Global Financial Crisis 2008-2009 | Investment | United States
Author's keyword(s):
Financial Crisis; Asymmetric Effects; Investment-Cash Flow Sensitivity
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8. |
Title:
Money and Collateral
Author/Editor: Singh, Manmohan ; Stella, Peter
Series: Working Paper No. 12/95
Published: April 1, 2012
Subject(s): Asset management | Central banks | Money | Securities markets
Author's keyword(s):
Money
| collateral
| liquidity
| financial crisis
| securitization
| central bank
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9. |
Title:
How Risky Are Banks’ Risk Weighted Assets? Evidence from the Financial Crisis
Author/Editor: Das, Sonali ; Sy, Amadou N. R.
Series: Working Paper No. 12/36
Published: January 1, 2012
Subject(s): Asset management | Bank supervision | Banks | Credit risk | Financial crisis | Global Financial Crisis 2008-2009 | Investment | Stock prices
Author's keyword(s):
Banks
| capital
| crisis
| liquidity
| regulation
| risk weighted assets
| Basel III
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10. |
Title:
Morocco: 2011 Article IV Consultation - Staff Report; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Morocco
Series: Country Report No. 11/341
Published: December 2, 2011
Subject(s): Article IV consultation reports | Asset management | Banks | Financial sector | Fiscal policy | Fiscal reforms | Monetary policy | Public information notices | Resource mobilization | Staff Reports | Morocco
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11. |
Title:
The Nonbank-Bank Nexus and the Shadow Banking System
Author/Editor: Pozsar, Zoltan ; Singh, Manmohan
Series: Working Paper No. 11/289
Published: December 1, 2011
Subject(s): Asset management | Banking systems | Capital markets | Financial intermediation | Nonbank financial sector
Author's keyword(s):
shadow banking system; rehypothecation; collateral; maturity transformation
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12. |
Title:
Market Discipline and Conflicts of Interest between Banks and Pension Funds
Author/Editor: Barajas, Adolfo ; Catalán, Mario
Series: Working Paper No. 11/282
Published: December 1, 2011
Subject(s): Asset management | Banking crisis | Banks | Economic models | Investment | Pension funds | Argentina
Author's keyword(s):
conflicts of interest
| institutional investors
| pension funds
| banks
| market discipline
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13. |
Title:
Velocity of Pledged Collateral: Analysis and Implications
Author/Editor: Singh, Manmohan
Series: Working Paper No. 11/256
Published: November 1, 2011
Subject(s): Asset management | Banks | Economic models | Hedge funds | International financial system | Nonbank financial sector
Author's keyword(s):
pledged collateral
| velocity of collateral
| churning
| rehypothecation
| monetary policy
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14. |
Title:
Kingdom of the Netherlands-Netherlands: Publication of Financial Sector Assessment Program Documentation - Technical Note on Pensions Sector Issues
Series: Country Report No. 11/209
Published: July 25, 2011
Subject(s): Asset management | Financial Sector Assessment Program | Investment | Investment policy | Pension funds | Risk management | Netherlands
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15. |
Title:
Kingdom of the Netherlands-Netherlands: Detailed Assessment Report on Anti-Money Laundering and Combating the Financing of Terrorism
Series: Country Report No. 11/92
Published: April 19, 2011
Subject(s): Anti-money laundering | Asset management | Banks | Combating the financing of terrorism | Financial institutions | Financial sector | Insurance | International cooperation | Legislation | Nonbank financial sector | Private sector | Netherlands
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16. |
Title:
International Mutual Funds, Capital Flow Volatility, and Contagion-A Survey
Author/Editor: Gelos, Gaston
Series: Working Paper No. 11/92
Published: April 1, 2011
Subject(s): Asset management | Bond markets | Capital flows | Emerging markets | Financial instruments | Financial risk | International capital markets | Investment | Transparency
Author's keyword(s):
Capital flows
| contagion
| mutual funds
| institutional investors
| emerging markets
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17. |
Title:
Fat Tails and their (Un)happy Endings: Correlation Bias and its Implications for Systemic Risk and Prudential Regulation
Author/Editor: Chan-Lau, Jorge A. ; International Monetary Fund
Series: Working Paper No. 11/82
Published: April 1, 2011
Subject(s): Asset management | Bank supervision | Banks | Corporate governance | Economic models | Financial institutions | Financial risk | Risk management
Author's keyword(s):
Basel III
| correlation bias
| copula capital structure model
| corporate governance
| prudential regulation
| systemic risk.
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18. |
Title:
Investing in Public Investment: An Index of Public Investment Efficiency
Author/Editor: Dabla-Norris, Era ; Brumby, Jim ; Kyobe, Annette ; Papageorgiou, Chris ; Mills, Zac
Series: Working Paper No. 11/37
Published: February 1, 2011
Subject(s): Asset management | Financial management | Infrastructure | Low-income developing countries | Public investment
Author's keyword(s):
Public investment
| public investment management
| project appraisal
| selection
| implementation
| and evaluation
| growth.
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19. |
Title:
Investment Objectives of Sovereign Wealth Funds - A Shifting Paradigm
Author/Editor: Kunzel, Peter ; Lu, Yinqiu ; Petrova, Iva ; Pihlman, Jukka
Series: Working Paper No. 11/19
Published: January 1, 2011
Subject(s): Asset management | Investment policy | Resource allocation | Sovereign wealth funds
Author's keyword(s):
Sovereign Wealth Funds
| Portfolio Choice
| Investment and Risk Management
| Government Policy and Regulation
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20. |
Title:
Government Involvement in Corporate Debt Restructuring: Case Studies from the Great Recession
Author/Editor: Grigorian, David A. ; Raei, Faezeh
Series: Working Paper No. 10/260
Published: November 1, 2010
Subject(s): Asset management | Banking sector | Corporate sector | Cross country analysis | Debt restructuring | Economic recession | Economic recovery | Fiscal policy | Governance | Legislation | Public enterprises
Author's keyword(s):
corporate debt restructuring
| contingent liablities
| quasi-sovereign risk.
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