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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:
Monetary Transaction Costs and the Term Premium
Author/Editor: Espinoza, Raphael ; Tsomocos, Dimitrios P.
Series: Working Paper No. 13/85
Published: April 3, 2013
Subject(s): Monetary policy | Central banks | Liquidity | Asset prices | Interest rate structures | Economic models
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5. |
Title:
Asset Price Bubbles: A Selective Survey
Author/Editor: Scherbina, Anna
Series: Working Paper No. 13/45
Published: February 21, 2013
Subject(s): Asset prices | Business cycles | Investment | Economic models
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6. |
Title:
Global House Price Fluctuations: Synchronization and Determinants
Author/Editor: Hirata, Hideaki ; Kose, M. ; Otrok, Christopher ; Terrones, Marco
Series: Working Paper No. 13/38
Published: February 6, 2013
Subject(s): Housing prices | Asset prices | Business cycles | Developed countries | Time series
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7. |
Title:
Financial Crises Explanations, Types, and Implications
Author/Editor: Claessens, Stijn ; Kose, M.
Series: Working Paper No. 13/28
Published: January 30, 2013
Subject(s): Financial crisis | Banking crisis | Asset prices | Business cycles
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8. |
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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9. |
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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10. |
Title:
Fiscal Foresight and Information Flows
Author/Editor: Leeper, Eric M. ; Walker, Todd B. ; Yang, Shu-Chun S.
Series: Working Paper No. 12/153
Published: June 1, 2012
Subject(s): Asset prices | Economic forecasting | Fiscal policy | Forecasting models | Tax policy
Author's keyword(s):
News
| anticipated taxes
| non-fundamental representation
| identified VARs
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11. |
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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12. |
Title:
Optimal Liquidity and Economic Stability
Author/Editor: Han, Linghui ; Lee, Il Houng
Series: Working Paper No. 12/135
Published: May 1, 2012
Subject(s): Asset prices | Economic stabilization | Liquidity | Monetary aggregates | Monetary policy | Private sector
Author's keyword(s):
Monetary policy; liquidity; dynamic panel
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13. |
Title:
Global Financial Stability Report, April 2012: The Quest for Lasting Stability
Author/Editor: International Monetary Fund. Monetary and Capital Markets Department
Series: Global Financial Stability Report
Published: April 18, 2012
Author's keyword(s):
Deleveraging; sovereign debt; safe assets; Capital Adequacy Ratios; euro area credit supply; financial market supervision; Basel III; financial regulatory framework; longevity risk
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14. |
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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15. |
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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16. |
Title:
Bank credit, asset prices and financial stability: Evidence from French banks
Author/Editor: Pouvelle, Cyril
Series: Working Paper No. 12/103
Published: April 1, 2012
Subject(s): Asset prices | Bank credit | Banks | Corporate sector | Credit demand | Credit expansion | Economic models | Financial stability | Household credit | Housing prices | France
Author's keyword(s):
Credit growth
| asset prices
| financial stability
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17. |
Title:
Consequences of Asset Shortages in Emerging Markets
Author/Editor: Chen, Jiaqian ; Imam, Patrick A.
Series: Working Paper No. 12/102
Published: April 1, 2012
Subject(s): Asset prices | Cross country analysis | Current account | Economic growth | Economic models | Emerging markets
Author's keyword(s):
Asset Shortage
| Emerging Market
| Crisis
| Current Account
| Asset Bubble
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18. |
Title:
Revisiting Risk-Weighted Assets
Author/Editor: Le Leslé, Vanessa ; Avramova, Sofiya
Series: Working Paper No. 12/90
Published: March 1, 2012
Subject(s): Asia and Pacific | Bank regulations | Bank supervision | Banking sector | Capital | Credit risk | Cross country analysis | Europe | North America | Risk management
Author's keyword(s):
Banks
| Regulation
| Risk-weighted Assets
| Basel I
| II
| III
| Capital
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19. |
Title:
Macrofinance Model of the Czech Economy: Asset Allocation Perspective
Author/Editor: Kollar, Miroslav
Series: Working Paper No. 12/78
Published: March 1, 2012
Subject(s): Capital markets | Economic models | Financial assets | Interest rate structures | Czech Republic
Author's keyword(s):
Yield curve modeling
| macrofinance modeling
| vector auto-regression model
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20. |
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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