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1. |
Title:
The Valuation Effects of Geographic Diversification: Evidence from U.S. Banks
Author/Editor: Goetz, Martin ; Laeven, Luc ; Levine, Ross
Series: Working Paper No. 12/50
Published: February 1, 2012
Subject(s): Bank regulations | Banking | Commercial banks | Corporate governance | United States
Author's keyword(s):
Geographic Corporate diversification; Agency problems; Economies of scope; Corporate insiders; Corporate valuation
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2. |
Title:
Measuring Energy Security: Trends in the Diversification of Oil and Natural Gas Supplies
Author/Editor: Cohen, Gail ; Joutz, Frederick L. ; Loungani, Prakash
Series: Working Paper No. 11/39
Published: February 1, 2011
Subject(s): Consumption | Cross country analysis | Energy sector | Exports | Imports | Natural gas | OECD | Oil | Risk management | Supply elasticity
Author's keyword(s):
Energy Security; Energy Independence; Diversification; OECD Energy Use
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3. |
Title:
International Risk Sharing: Through Equity Diversification or Exchange Rate Hedging?
Author/Editor: Engel, Charles ; Matsumoto, Akito
Series: Working Paper No. 09/138
Published: July 1, 2009
Subject(s): Asset prices | Bonds | Consumer goods | Domestic investment | Economic models | Exchange rates | Financial risk | Flexible pricing policy | Foreign exchange | Hedge funds | Price elasticity | Prices | Private investment | Stock prices
Author's keyword(s):
International portfolio choice
| international risk sharing
| international diversification
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4. |
Title:
External Debt Sustainability in HIPC Completion Point Countries: An Update
Author/Editor: Yang, Jie ; Nyberg, Dan
Series: Working Paper No. 09/128
Published: June 1, 2009
Subject(s): Cross country analysis | Debt sustainability | Export diversification | External debt | Fiscal policy | Fiscal reforms | Governance | HIPC Initiative | Low-income developing countries | Revenue mobilization
Author's keyword(s):
External Debt Sustainability; HIPCs; Low-Income Countries
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5. |
Title:
Inflation Hedging for Long-Term Investors
Author/Editor: Attie, Alexander P. ; Roache, Shaun K.
Series: Working Paper No. 09/90
Published: April 1, 2009
Subject(s): Inflation | Capital markets | Private investment | Financial instruments | Hedge funds | Commodities | Asset prices | Economic models
Author's keyword(s):
Inflation
| Hedging
| Investments
| Portfolio Allocation
| Diversification.
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6. |
Title:
Africa's Oil Abundance and External Competitiveness: Do Institutions Matter?
Author/Editor: Qureshi, Mahvash Saeed
Series: Working Paper No. 08/172
Published: July 1, 2008
Subject(s): Sub-Saharan Africa | Oil producing countries | Oil exporting countries | Competition | Financial institutions | Terms of trade | Export diversification | Foreign investment
Author's keyword(s):
oil abundance
| competitiveness
| institutions
| gravity model
| sub-Saharan Africa
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7. |
Title:
International Diversification Gains and Home Bias in Banking
Author/Editor: García-Herrero, Alicia ; Vázquez, Francisco F.
Series: Working Paper No. 07/281
Published: December 1, 2007
Subject(s): International banking | Bonds | Bank regulations | Emerging markets
Author's keyword(s):
International banking
| home bias
| portfolio diversification
| Basel II
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8. |
Title:
Sub-Saharan Africa: Forging New Trade Links with Asia
Author/Editor: Carey, Kevin Joseph ; Gupta, Sanjeev ; Jacoby, Ulrich
Published: October 16, 2007
Subject(s): Trade policy | Sub-Saharan Africa | Exports | Export diversification
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9. |
Title:
Sukuk vs. Eurobonds: Is There a Difference in Value-at-Risk?
Author/Editor: Cakir, Selim ; Raei, Faezeh
Series: Working Paper No. 07/237
Published: October 1, 2007
Subject(s): Islamic banking | Bonds | Eurobond market | Investment
Author's keyword(s):
Islamic finance
| Sukuk
| Sharia-Compliance
| Eurobonds
| Value-at-Risk
| Diversification
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10. |
Title:
Pooling Risk Among Countries
Author/Editor: Imbs, Jean ; Mauro, Paolo
Series: Working Paper No. 07/132
Published: June 1, 2007
Subject(s): Export diversification | Financial risk | Globalization | Trade integration
Author's keyword(s):
Risk sharing
| diversification
| enforceability
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11. |
Title:
Financial Integration in Asia: Estimating the Risk-Sharing Gains for Australia and Other Nations
Author/Editor: Mercereau, Benoît
Series: Working Paper No. 06/267
Published: December 1, 2006
Subject(s): Risk management | Australia | Asia and Pacific | Capital account liberalization | Foreign investment | Financial systems
Author's keyword(s):
Risk-sharing
| international diversification
| regional integration
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12. |
Title:
The Implications of Trade Barriers for Sectoral Diversification and Macroeconomic Stability in Developing Economies
Author/Editor: Srour, Gabriel
Series: Working Paper No. 06/50
Published: February 1, 2006
Subject(s): Developing countries | Economic models | Exchange rate policy | Export diversification | Trade restrictions
Author's keyword(s):
Economic integration
| exchange rate policy
| diversification
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13. |
Title:
Does Economic Diversification Lead to Financial Development? Evidence from Topography
Author/Editor: Ramcharan, Rodney
Series: Working Paper No. 06/35
Published: January 1, 2006
Subject(s): Financial sector | Financial systems | Development | Economic growth
Author's keyword(s):
Financial development
| diversification
| geography
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14. |
Title:
India's Pattern of Development: What Happened, What Follows?
Author/Editor: Kochhar, Kalpana ; Kumar, Utsav ; Rajan, Raghuram ; Subramanian, Arvind ; Tokatlidis, Ioannis
Series: Working Paper No. 06/22
Published: January 1, 2006
Subject(s): Development | Export diversification | India | Manufacturing | Skilled labor
Author's keyword(s):
Manufacturing
| services
| diversification
| decentralization
| liberalization
| labor intensity
| skill intensity
| scale
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15. |
Title:
Burkina Faso: Selected Issues and Statistical Appendix
Series: Country Report No. 05/358
Published: September 30, 2005
Subject(s): Agricultural development | Agricultural diversification | Burkina Faso | Corruption | Debt sustainability analysis | Economic indicators | Economic reforms | Energy sector | Land reform | Land tenure | Monetary statistics | Selected issues | Statistical annexes
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16. |
Title:
United Arab Emirates: Selected Issues and Statistical Appendix
Series: Country Report No. 05/268
Published: August 5, 2005
Subject(s): Economic indicators | Export diversification | Labor markets | Natural gas sector | Oil sector | Selected issues | Statistical annexes | Stock markets | United Arab Emirates
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17. |
Title:
A Latent Factor Model with Global, Country, and Industry Shocks for International Stock Returns
Author/Editor: Brooks, Robin ; Del Negro, Marco
Series: Working Paper No. 05/52
Published: March 1, 2005
Subject(s): Globalization | International capital markets | Risk premium | Export diversification | Industrialization | Stock markets | Economic models
Author's keyword(s):
Diversification
| risk
| international financial markets
| industrial structure
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18. |
Title:
How Big Are The Benefits of Economic Diversification?: Evidence from Earthquakes
Author/Editor: Ramcharan, Rodney
Series: Working Paper No. 05/48
Published: March 1, 2005
Subject(s): Consumption | Exchange risk | Credit | Risk premium | Export diversification
Author's keyword(s):
Risk
| diversification
| consumption
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19. |
Title:
A Theory of Workers' Remittances With An Application to Morocco
Author/Editor: Bouhga-Hagbe, Jacques
Series: Working Paper No. 04/194
Published: October 1, 2004
Subject(s): Salary remittances | Morocco | Economic models
Author's keyword(s):
Morocco
| remittances
| altruism
| portfolio diversification
| co-integration
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20. |
Title:
Economic Integration, Sectoral Diversification, and Exchange Rate Policy in a Developing Economy
Author/Editor: Srour, Gabriel
Series: Working Paper No. 04/60
Published: April 1, 2004
Subject(s): Exchange rate policy | Developing countries | Economic models | Production | Prices | Wages | Trade | Price elasticity | Demand elasticity | Consumption | Economic stabilization
Author's keyword(s):
Economic integration
| exchange rate policy
| diversification
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