Publications Search Results

October 25, 2014

The search found 37 of 12873 documents sorted by Date with the following criteria:
Subject / Keyword: Financial instruments

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1.

Title: Do the Type of Sukuk and Choice of Shari'a Scholar Matter?
Author/Editor: Christophe Godlewski ; Rima Turk Ariss ; Laurent Weill
Series: Working Paper No. 14/147
Published: August 11, 2014
Subject(s): Financial instruments | Bond issues | External financing | Bonds | Stock markets | Islamic banking

 

2.

Title: Securitization: Lessons Learned and the Road Ahead
Author/Editor: Miguel A. Segoviano Basurto ; Bradley Jones ; Peter Lindner ; Johannes Blankenheim
Series: Working Paper No. 13/255
Published: December 19, 2013
Subject(s): Financial crisis | Capital markets | Monetary policy | Financial instruments | Asset management | Global Financial Crisis 2008-2009

 

3.

Title: Procyclical Behavior of Institutional Investors During the Recent Financial Crisis: Causes, Impacts, and Challenges
Author/Editor: Michael G Papaioannou ; Joonkyu Park ; Jukka Pihlman ; Han van der Hoorn
Series: Working Paper No. 13/193
Published: September 11, 2013
Subject(s): Investment | Private sector | Financial institutions | Financial instruments | Asset management

 

4.

Title: Cooperative and Islamic Banks: What can they Learn from Each Other?
Author/Editor: Saeed Al-Muharrami ; Daniel C. Hardy
Series: Working Paper No. 13/184
Published: August 26, 2013
Subject(s): Islamic banking | Banks | Financial instruments | Financial institutions | Corporate governance

 

5.

Title: Italian Sovereign Spreads: Their Determinants and Pass-through to Bank Funding Costs and Lending Conditions
Author/Editor: Zoli, Edda
Series: Working Paper No. 13/84
Published: April 3, 2013
Subject(s): Banking sector | Italy | Sovereign debt | Loans | Financial instruments

 

6.

Title: Capital Requirements for Over-the-Counter Derivatives Central Counterparties
Author/Editor: Lin, Li ; Surti, Jay
Series: Working Paper No. 13/3
Published: January 8, 2013
Subject(s): International capital markets | Banks | Capital | Financial instruments | Economic models

 

7.

Title: Systemic Risk from Global Financial Derivatives: A Network Analysis of Contagion and Its Mitigation with Super-Spreader Tax
Author/Editor: Markose, Sheri
Series: Working Paper No. 12/282
Published: November 30, 2012
Subject(s): Financial systems | Financial risk | Nonbank financial sector | International capital markets | Financial instruments

 

8.

Title: Japan: Oversight and Supervision of Financial Market Infrastructures (FMIs) - Technical Note
Series: Country Report No. 12/229
Published: August 10, 2012
Subject(s): Capital markets | Core Principles for Systemically Important Payment Systems | Financial instruments | Financial Sector Assessment Program | Payment systems | Risk management | Securities markets | Japan

 

9.

Title: Spain: Oversight and Supervision of Financial Market Infrastructures Technical Note
Series: Country Report No. 12/144
Published: June 11, 2012
Subject(s): Capital markets | Core Principles for Systemically Important Payment Systems | Financial instruments | Financial risk | Financial Sector Assessment Program | Payment systems | Risk management | Securities markets | Spain

 

10.

Title: Leverage? What Leverage? A Deep Dive into the U.S. Flow of Funds in Search of Clues to the Global Crisis
Author/Editor: Bhatia, Ashok Vir ; Bayoumi, Tamim
Series: Working Paper No. 12/162
Published: June 1, 2012
Subject(s): Banks | Borrowing | Consumer credit | Credit expansion | Financial crisis | Financial instruments | Financial sector | Loans | Private sector | United States
Author's keyword(s): Leverage | securitization | collateral | investment banking

 

11.

Title: What’s in It for Me? A Primer on Differences between Islamic and Conventional Finance in Malaysia
Author/Editor: Krasicka, Olga ; Nowak, Sylwia
Series: Working Paper No. 12/151
Published: June 1, 2012
Subject(s): Banking sector | Bond markets | Bonds | Capital markets | Commercial banks | Financial instruments | Islamic banking | Malaysia
Author's keyword(s): Islamic banks; conventional banks; Sukuk; Malaysia

 

12.

Title: Operative Principles of Islamic Derivatives - Towards a Coherent Theory
Author/Editor: Jobst, Andreas ; Sole, Juan
Series: Working Paper No. 12/63
Published: March 1, 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.

 

13.

Title: Taxing Financial Transactions: An Assessment of Administrative Feasibility
Author/Editor: Brondolo, John
Series: Working Paper No. 11/185
Published: August 1, 2011
Subject(s): Capital markets | Financial instruments | Securities markets | Stock markets | Tax administration | Taxation
Author's keyword(s): financial transactions tax | tax administration

 

14.

Title: Country Insurance Using Financial Instruments
Author/Editor: Zhang, Yuanyan Sophia ; Chamon, Marcos ; Ricci, Luca Antonio
Series: Working Paper No. 11/169
Published: July 1, 2011
Subject(s): Cross country analysis | Economic models | Emerging markets | External shocks | Financial instruments | Insurance | Risk management
Author's keyword(s): hedging | financial innovation | country insurance | contagion | sudden stop | systemic risks

 

15.

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

 

16.

Title: Making OTC Derivatives Safe - A Fresh Look
Author/Editor: Singh, Manmohan
Series: Working Paper No. 11/66
Published: March 1, 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

 

17.

Title: Contingent Capital: Economic Rationale and Design Features
Author/Editor: Pazarbasioglu, Ceyla ; Zhou, Jian-Ping ; Le Leslé, Vanessa ; Moore, Michael
Series: Staff Discussion Notes No. 11/1
Published: January 25, 2011
Subject(s): Moral hazard | Banks | Bonds | Financial institutions | Financial instruments | Risk management
Author's keyword(s): financial regulation | financial reform | Contingent Capital | too big to fail | moral hazard

 

18.

Title: Managing Public Debt and Its Financial Stability Implications
Author/Editor: Das, Udaibir S. ; Papaioannou, Michael G ; Pedras, Guilherme ; Ahmed, Faisal ; Surti, Jay
Series: Working Paper No. 10/280
Published: December 1, 2010
Subject(s): Capital markets | Debt management | Debt strategy | Financial instruments | Financial stability | Public debt | Risk management | Sovereign debt
Author's keyword(s): Public Debt Structure | Public Debt Management | Financial Stability

 

19.

Title: Redesigning the Contours of the Future Financial System
Author/Editor: Kodres, Laura ; Narain, Aditya
Series: Staff Position Note No. 2010/10
Published: August 16, 2010
Subject(s): Banks | Bank supervision | Financial institutions | Financial instruments | Fund role | Global Financial Crisis 2008-2009 | Multilateral surveillance | Nonbank financial sector | Risk management
Author's keyword(s): Crises | financial structure | banks | nonbanks | regulation | financial markets

 

20.

Title: Financial Innovation, the Discovery of Risk, and the U.S. Credit Crisis
Author/Editor: Mendoza, Enrique ; Boz, Emine
Series: Working Paper No. 10/164
Published: July 1, 2010
Subject(s): Credit expansion | United States | Financial instruments | Household credit | Housing prices | Asset prices | Credit risk | Financial crisis | Economic models

 

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