Publications Search Results

November 25, 2009

The search found 297 of 9265 documents sorted by Date with the following criteria:
Subject / Keyword: Capital markets

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1.

Title: From Lombard Street to Avenida Paulista: Foreign Exchange Liquidity Easing in Brazil in Response to the Global Shock of 2008-09
Author/Editor: Stone, Mark R. ; Walker, W. Christopher ; Yasui, Yosuke
Series: Working Paper No. 09/259
Published: November 1, 2009
Subject(s): Brazil | Capital markets | Central bank policy | Currency swaps | Domestic liquidity | Emerging markets | Exchange rate policy | Financial crisis | Foreign exchange operations | Global Financial Crisis 2008-2009 | Liquidity management
Author's keyword(s): Brazil | exchange rate intervention | futures | swaps | implied volatility

 

2.

Title: Institutional Factors and Financial Sector Development: Evidence from Sub-Saharan Africa
Author/Editor: Anayiotos, George C. ; Toroyan, Hovhannes
Series: Working Paper No. 09/258
Published: November 1, 2009
Subject(s): Access to capital markets | Cross country analysis | Data analysis | Data quality assessment framework | Development | Economic models | Financial institutions | Financial sector | Governance | Political economy | Sub-Saharan Africa
Author's keyword(s): Institutions | Financial sector development | data envelopment analysis | Sub-Saharan Africa

 

3.

Title: Monetary and Macroprudential Policy Rules in a Model with House Price Booms
Author/Editor: Kannan, Prakash ; Rabanal, Pau ; Scott, Alasdair
Series: Working Paper No. 09/251
Published: November 1, 2009
Subject(s): Asset prices | Capital markets | Central banks | Credit controls | Credit demand | Credit risk | Economic models | External shocks | Household credit | Housing prices | Monetary policy | Price increases
Author's keyword(s): house prices | monetary policy | macroprudential

 

4.

Title: Policies to Address Banking Sector Weakness: Evolution of Financial Markets and Institutional Indicators
Author/Editor: Guerra, Ivan ; Johnston, R. Barry ; Santos, Andre ; Youssef, Karim
Series: Staff Position Note No. 2009/24
Published: October 7, 2009
Subject(s): Bank credit | Bank reforms | Bank restructuring | Bank supervision | Banking sector | Capital markets | Central bank policy | Credit controls | Cross country analysis | Financial crisis | Financial institutions | Financial instruments | Liquidity management | Securities markets

 

5.

Title: Sovereign Wealth Funds and Financial Stability-An Event Study Analysis
Author/Editor: Sun, Tao ; Hesse, Heiko
Series: Working Paper No. 09/239
Published: October 1, 2009
Subject(s): Asset management | Asset prices | Capital markets | Corporate governance | Developed countries | Domestic investment | Emerging markets | Financial institutions | Financial stability | Sovereign wealth funds
Author's keyword(s): Sovereign Wealth Funds | Financial Stability | Event Study | Governance

 

6.

Title: Global Market Conditions and Systemic Risk
Author/Editor: González-Hermosillo, Brenda ; Hesse, Heiko
Series: Working Paper No. 09/230
Published: October 1, 2009
Subject(s): Banking sector | Central bank policy | Currency swaps | Developing countries | Economic models | Financial crisis | Financial risk | Financial systems | Fiscal policy | International capital markets | Nonbank financial sector | Risk management
Author's keyword(s): Systemic Risk | Global Financial Crises | Emerging Markets | Subprime Crisis | Volatility | Solvency | Markov-Switching

 

7.

Title: Euro Area Sovereign Risk During the Crisis
Author/Editor: Sgherri, Silvia ; Zoli, Edda
Series: Working Paper No. 09/222
Published: October 1, 2009
Subject(s): Bond markets | Capital markets | European Union | External debt | Financial crisis | Financial sector | Fiscal management | Fiscal policy | Fiscal sector | Investment | Pricing policy | Public finance | Risk premium | Sovereign debt
Author's keyword(s): Euro Area; Fiscal Policy; Sovereign Spreads; Global Risk Repricing

 

8.

Title: The Uncertainty Channel of Contagion
Author/Editor: Kannan, Prakash ; Köhler-Geib, Fritzi
Series: Working Paper No. 09/219
Published: October 1, 2009
Subject(s): Capital markets | Cross country analysis | Currencies | Economic models | Financial crisis | Investment | Sovereign debt | Spillovers | Stock markets

 

9.

Title: Access to Market Financing for IDA-eligible Countries—the Role of External Debt and IMF-Supported Programs
Author/Editor: Thomas, Alun H.
Series: Working Paper No. 09/217
Published: October 1, 2009
Subject(s): Access to capital markets | Bond markets | Bonds | Credit risk | Debt service ratios | Demand | Economic models | External debt | External financing | Fund facilities | HIPC Initiative | Political economy | Supply
Author's keyword(s): market access | external debt | decision point | enhanced HIPC Initiative | IMF-supported program

 

10.

Title: Fiscal Implications of the Global Economic and Financial Crisis
Series: Occasional Paper No. 269
Published: September 18, 2009
Subject(s): Budgets | Capital markets | Developed countries | Emerging markets | Financial crisis | Financial institutions | Fiscal policy | Fiscal stability | Global Financial Crisis 2008-2009 | Pension funds | Public finance

 

11.

Title: What Determines Bond Market Development in sub-Saharan Africa?
Author/Editor: Adelegan, Olatundun Janet ; Radzewicz-Bak, Bozena
Series: Working Paper No. 09/213
Published: September 1, 2009
Subject(s): Access to capital markets | Banking sector | Bond markets | Bonds | Capital markets | Cross country analysis | External debt | Financial institutions | Financial systems | Investment | Nonbank financial sector | Public debt | Savings | Sub-Saharan Africa
Author's keyword(s): Bond market development | government bonds; corporate bonds | macroeconomic factors; sub-Saharan Africa.

 

12.

Title: Who Benefits from Capital Account Liberalization? Evidence from Firm-Level Credit Ratings Data
Author/Editor: Prati, Alessandro ; Schindler, Martin ; Valenzuela, Patricio
Series: Working Paper No. 09/210
Published: September 1, 2009
Subject(s): Access to capital markets | Asset management | Capital account liberalization | Capital controls | Corporate sector | Credit | Debt | Economic models | Foreign exchange transactions | Foreign investment | Time series
Author's keyword(s): Capital account liberalization; capital controls; credit access; credit ratings

 

13.

Title: How to Stop a Herd of Running Bears? Market Response to Policy Initiatives during the Global Financial Crisis
Author/Editor: Aït-Sahalia, Yacine ; Andritzky, Jochen R. ; Jobst, Andreas ; Nowak, Sylwia Barbara ; Tamirisa, Natalia T.
Series: Working Paper No. 09/204
Published: September 1, 2009
Subject(s): Banks | Capital markets | Central banks | Data analysis | Databases | Financial crisis | Financial sector | Monetary policy | Spillovers | Statistics
Author's keyword(s): Crisis | policy | announcement | event | financial | liquidity | monetary | fiscal | bank

 

14.

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 1, 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

 

15.

Title: What Drives China's Interbank Market?
Author/Editor: Porter, Nathaniel John ; Xu, TengTeng
Series: Working Paper No. 09/189
Published: September 1, 2009
Subject(s): Asset prices | Bank regulations | Banking sector | Bond markets | Capital markets | Central bank policy | China, People's Republic of | Economic models | Interest rates | Interest rates on deposits | Interest rates on loans | Liquidity | Monetary policy | Pricing policy
Author's keyword(s): Interbank market; monetary policy; GARCH; China

 

16.

Title: Understanding the Growth of African Financial Markets
Author/Editor: Yartey, Charles Amo ; Andrianaivo, Mihasonirina
Series: Working Paper No. 09/182
Published: August 1, 2009
Subject(s): Africa | Banking sector | Banking systems | Banks | Bond markets | Capital markets | Corporate sector | Cross country analysis | Economic models | Investment | Political economy | Private savings | Private sector | Stock markets
Author's keyword(s): Banks | Stock Markets | Political Risk | Africa

 

17.

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 1, 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

 

18.

Title: Interest Rate Liberalization in China
Author/Editor: Feyzioglu, Tarhan ; Porter, Nathaniel John ; Takáts, Elöd
Series: Working Paper No. 09/171
Published: August 1, 2009
Subject(s): Banking | Banking sector | Banks | Capital markets | China, People's Republic of | Credit controls | Credit demand | Cross country analysis | Economic models | Financial intermediation | Interest rates | Loans | Monetary policy
Author's keyword(s): Financial liberalization | financial deregulation | interest rate liberalization | China

 

19.

Title: The Challenge of Enforcement in Securities Markets: Mission Impossible?
Author/Editor: Carvajal, Ana ; Elliott, Jennifer A.
Series: Working Paper No. 09/168
Published: August 1, 2009
Subject(s): Capital markets | Cross country analysis | Financial institutions | Financial stability | Financial systems | Governance | International cooperation | Securities legislation | Securities markets | Securities regulations
Author's keyword(s): securities regulation; enforcement

 

20.

Title: Spillovers of the U.S. Subprime Financial Turmoil to Mainland China and Hong Kong SAR: Evidence from Stock Markets
Author/Editor: Sun, Tao ; Zhang, Xiaojing
Series: Working Paper No. 09/166
Published: August 1, 2009
Subject(s): Asset prices | Capital markets | China, People's Republic of | Credit risk | Economic integration | Economic models | External shocks | Financial crisis | Financial sector | Hong Kong Special Administrative Region of China | Spillovers | Stock markets | Stock prices | United States
Author's keyword(s): subprime crisis; spillovers; GARCH

 

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